
Loss volatility, bankruptcy, and the demand for reinsurance
Publication
, Journal Article
Hoerger, TJ; Sloan, FA; Hassan, M
Published in: Journal of Risk and Uncertainty
September 1, 1990
Insurers in our model reinsure to lower the risk of bankruptcy. In the conceptual part of the study, we show that given bankruptcy cost, reinsurance may be demanded even if the insurer is risk-neutral. The model allows us to assess how the insurer's surplus, size, and volatility of losses affect the amount of reinsurance the insurer purchases. As predicted by our comparative statics analysis, we find empirically that property/casualty and medical malpractice insurers with higher prereinsurance loss volatility, lower surplus-to-premium ratios, and smaller sizes demand more reinsurance. © 1990 Kluwer Academic Publishers.
Duke Scholars
Published In
Journal of Risk and Uncertainty
DOI
EISSN
1573-0476
ISSN
0895-5646
Publication Date
September 1, 1990
Volume
3
Issue
3
Start / End Page
221 / 245
Related Subject Headings
- Economics
- 3802 Econometrics
- 3801 Applied economics
- 3502 Banking, finance and investment
- 1502 Banking, Finance and Investment
- 1402 Applied Economics
Citation
APA
Chicago
ICMJE
MLA
NLM
Hoerger, T. J., Sloan, F. A., & Hassan, M. (1990). Loss volatility, bankruptcy, and the demand for reinsurance. Journal of Risk and Uncertainty, 3(3), 221–245. https://doi.org/10.1007/BF00116782
Hoerger, T. J., F. A. Sloan, and M. Hassan. “Loss volatility, bankruptcy, and the demand for reinsurance.” Journal of Risk and Uncertainty 3, no. 3 (September 1, 1990): 221–45. https://doi.org/10.1007/BF00116782.
Hoerger TJ, Sloan FA, Hassan M. Loss volatility, bankruptcy, and the demand for reinsurance. Journal of Risk and Uncertainty. 1990 Sep 1;3(3):221–45.
Hoerger, T. J., et al. “Loss volatility, bankruptcy, and the demand for reinsurance.” Journal of Risk and Uncertainty, vol. 3, no. 3, Sept. 1990, pp. 221–45. Scopus, doi:10.1007/BF00116782.
Hoerger TJ, Sloan FA, Hassan M. Loss volatility, bankruptcy, and the demand for reinsurance. Journal of Risk and Uncertainty. 1990 Sep 1;3(3):221–245.

Published In
Journal of Risk and Uncertainty
DOI
EISSN
1573-0476
ISSN
0895-5646
Publication Date
September 1, 1990
Volume
3
Issue
3
Start / End Page
221 / 245
Related Subject Headings
- Economics
- 3802 Econometrics
- 3801 Applied economics
- 3502 Banking, finance and investment
- 1502 Banking, Finance and Investment
- 1402 Applied Economics