Starten Sie Ihre Suche...


Durch die Nutzung unserer Webseite erklären Sie sich damit einverstanden, dass wir Cookies verwenden. Weitere Informationen

Prof. Dr. Sebastian Schlütter

Fachbereich Wirtschaft, Hochschule Mainz

Lucy-Hillebrand-Str.2, 55128 Mainz

  • 06131/628-3237
  • 06131/628-93237
Publikationen
Ergebnisse pro Seite:  10

Grochola, Nicolaus; Browne, Mark J.; Gründl, Helmut et al.

Exploring the Market Risk Profiles of U.S. and European Stock Insurers

ICIR. Bd. 39. 2023 S. 1 - 55


Schlütter, Sebastian; Fianu, Emmanuel S.; Gründl, Helmut

Responsible investments in life insurers’ optimal portfolios under solvency constraints

Zeitschrift für die gesamte Versicherungswissenschaft. Bd. 112. 2023 S. 53 - 81


Paulusch, Joachim; Schlütter, Sebastian

Sensitivity-implied tail-correlation matrices

Journal of Banking & Finance. Bd. 134. 2022 S. 1 - 14


Schlütter, Sebastian

Scenario-based measurement of interest rate risks

The Journal of Risk Finance. Bd. 22. H. 1. 2021 S. 56 - 77


Schlütter, Sebastian

Optimal Taxation in Non-life Insurance Markets

The Geneva Risk and Insurance Review. Bd. 44. H. 1. 2019 S. 1 - 26


Höring, Dirk; Gründl, Helmut; Schlütter, Sebastian

Impediment of Communication in Financial Institutions: Implications for the Risk Management Organization

The Geneva Risk and Insurance Review. Bd. 41. H. 2. 2016 S. 193 - 224


Dong, Ming; Gründl, Helmut; Schlütter, Sebastian

Is the Risk-based Mechanism Always Better? The Risk-shifting Behavior of Insurers under Different Insurance Guarantee Schemes

Journal of Insurance Issues. Bd. 38. H. 1. 2015 S. 72 - 95


Fischer, Katharina; Schlütter, Sebastian

Optimal Investment Strategies for Insurance Companies when Capital Requirements are Imposed by a Standard Formula

The Geneva Risk and Insurance Review. Bd. 40. H. 1. 2015 S. 15 - 40


Stoyanova, Rayna; Schlütter, Sebastian

Safety versus Affordability as Targets of Insurance Regulation: A Welfare Approach

Journal of Insurance Regulation. Bd. 34. H. 1. 2015 S. 1 - 29


Schlütter, Sebastian

Capital Requirements or Pricing Constraints? An Economic Analysis of Measures for Insurance Regulation

The Journal of Risk Finance. Bd. 15. H. 5. 2014 S. 533 - 554