THE GENEVA RISK AND INSURANCE REVIEW

The Geneva Risk and Insurance Review  (formerly The Geneva Papers on Risk and Insurance – Theory) is an international journal published by Palgrave Macmillan in annual volumes of two issues. Its purpose is to support and encourage research in the economics of risk, uncertainty, insurance and related institutions by providing a forum for the scholarly exchange of findings and opinions.

The Geneva Risk and Insurance Review is a refereed journal. Each submitted manuscript is reviewed by an anonymous reviewer and a member of the Editorial Board. The Editors try to provide authors with a decision within eight weeks of receiving the manuscript.

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The Geneva Risk and Insurance Review  No: 34 (1)
June 2009

The Geneva Risk and Insurance Review  No: 33 (1)
June 2008

The Geneva Risk and Insurance Review  No: 32 (2)
December 2007

The Geneva Risk and Insurance Review  No: 32 (1)
June 2007

The Geneva Risk and Insurance Review  No: 31 (2)
December 2006

The Geneva Risk and Insurance Review  No: 31 (1)
July 2006

The Geneva Risk and Insurance Review  No: 30 (2)
December 2005

The Geneva Risk and Insurance Review  No: 30 (1)
June 2005

The Geneva Papers on Risk and Insurance Theory  No: 29 (2)
December 2004

The Geneva Papers on Risk and Insurance Theory  No: 29 (1)
June 2004

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Insurance Economics Newsletter No. 65
The Geneva Association Secretary General’s Outlook for 2012
Insurance Companies’ Highly Controlled Use of Derivatives Has Also Resulted in Protection from the Rogue Trader Problem
Expert Submission to the Financial Stability Oversight Council (FSOC) on Authority to Require Supervision and Regulation of Certain Nonbank Financial Companies
PROGRES No. 54
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