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      What Drives Insurers’ Demand for Cat Bond Investments? Evidence from a Pan-European Survey

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          Some contributions to maximum likelihood factor analysis

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            ON THE PRICING OF CORPORATE DEBT: THE RISK STRUCTURE OF INTEREST RATES*

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              A more realistic look at the robustness and Type II error properties of the t test to departures from population normality.

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                Author and article information

                Journal
                The Geneva Papers on Risk and Insurance - Issues and Practice
                Geneva Pap Risk Insur Issues Pract
                Springer Nature
                1018-5895
                1468-0440
                July 2013
                January 30 2013
                July 2013
                : 38
                : 3
                : 580-611
                Article
                10.1057/gpp.2012.51
                8300f73e-ee57-4fe5-998e-96e9d1ec62d2
                © 2013

                http://www.springer.com/tdm

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