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Georges Dionne

Personal Details

First Name:Georges
Middle Name:
Last Name:Dionne
Suffix:
RePEc Short-ID:pdi189
http://www.riskmanagementresearch.com
Terminal Degree:1980 Département de Sciences Économiques; Université de Montréal (from RePEc Genealogy)

Affiliation

HEC Montréal (École des Hautes Études Commerciales)

Montréal, Canada
http://www.hec.ca/
RePEc:edi:hecmtca (more details at EDIRC)

Research output

as
Jump to: Working papers Articles Books Editorship

Working papers

  1. Dionne, Georges & Fenou, Akouété & Mnasri, Mohamed, 2024. "Insurers’ M&A in the United States during the 1990-2022 period: Is the Fed monetary policy a causal factor," Working Papers 24-2, HEC Montreal, Canada Research Chair in Risk Management.
  2. Loubergé, Henri & Dionne, Georges, 2024. "Developments in risk and insurance economics: The past 50 years," Working Papers 24-1, HEC Montreal, Canada Research Chair in Risk Management.
  3. Saissi Hassani, Samir & Dionne, Georges, 2023. "Using skewed exponential power mixture for VaR and CVaR forecasts to comply with market risk regulation," Working Papers 23-2, HEC Montreal, Canada Research Chair in Risk Management.
  4. Nathalie Fombaron & Georges Dionne & Wanda Mimra, 2023. "Adverse Sélection in Insurance," Post-Print hal-04416340, HAL.
  5. Dionne, Georges & El Hraiki, Rayane & Mnasri, Mohamed, 2023. "Determinants and real effects of joint hedging: An empirical analysis of US oil and gas producers," Working Papers 23-3, HEC Montreal, Canada Research Chair in Risk Management.
  6. Dionne, Georges, 2023. "Causality in empirical analyses with emphasis on asymmetric information and risk management," Working Papers 23-4, HEC Montreal, Canada Research Chair in Risk Management.
  7. Dionne, Georges & Fenou, Akouété & Mnasri, Mohamed, 2023. "Consolidation of the US property and casualty insurance industry: Is climate risk a causal factor for mergers and acquisitions?," Working Papers 23-1, HEC Montreal, Canada Research Chair in Risk Management.
  8. Dionne, Georges & Desjardins, Denise, 2022. "A re-examination of the U.S. insurance market’s capacity to pay catastrophe losses," Working Papers 22-2, HEC Montreal, Canada Research Chair in Risk Management.
  9. Poutré, Cédric & Dionne, Georges & Yergeau, Gabriel, 2022. "The Profitability of Lead-Lag Arbitrage at High-Frequency," Working Papers 22-5, HEC Montreal, Canada Research Chair in Risk Management.
  10. Saissi Hassani, Samir & Dionne, Georges, 2022. "Forecasting VaR and CVaR based on a skewed exponential power mixture, in compliance with the new market risk regulation," Working Papers 22-3, HEC Montreal, Canada Research Chair in Risk Management.
  11. Dionne, Georges & El Hraiki, Rayane & Mnasri, Mohamed, 2022. "Determinants and real effects of joint hedging: An empirical analysis of the US petroleum industry," Working Papers 22-4, HEC Montreal, Canada Research Chair in Risk Management.
  12. Dionne, Georges & Desjardins, Denise & Angers, Jean-François, 2021. "Road safety for fleets of vehicles," Working Papers 21-3, HEC Montreal, Canada Research Chair in Risk Management.
  13. Saissi Hassani, Samir & Dionne, Georges, 2021. "The new international regulation of market risk: Roles of VaR and CVaR in model validation," Working Papers 20-3, HEC Montreal, Canada Research Chair in Risk Management.
  14. Desjardins, Denise & Dionne, Georges & Lu, Yang, 2021. "Hierarchical random effects model for insurance pricing of vehicles belonging to a fleet," Working Papers 21-2, HEC Montreal, Canada Research Chair in Risk Management.
  15. Poutré, Cédric & Dionne, Georges & Yergeau, Gabriel, 2021. "International High-Frequency Arbitrage for Cross-Listed Stocks," Working Papers 21-4, HEC Montreal, Canada Research Chair in Risk Management, revised 15 Mar 2022.
  16. Gilles Boevi KOUMOU & Georges DIONNE, 2021. "Coherent Diversification Measures in Portfolio Theory: An Axiomatic Foundation," Working Papers 7, Africa Institute for Research in Economics and Social Sciences.
  17. Dionne, Georges & Desjardins, Denise & Angers, Jean-François, 2020. "Sécurité routière des flottes et des conducteurs de véhicules lourds," Working Papers 20-2, HEC Montreal, Canada Research Chair in Risk Management.
  18. Desjardins, Denise & Dionne, Georges & Koné, N’Golo, 2020. "Reinsurance demand and liquidity creation: A search for bi-causality," Working Papers 20-1, HEC Montreal, Canada Research Chair in Risk Management, revised 20 Jan 2022.
  19. Dionne, Georges & Zhou, Xiaozhou, 2019. "Information Environments and High Price Impact Trades: Implication for Volatility and Price Efficiency," Working Papers 19-3, HEC Montreal, Canada Research Chair in Risk Management, revised 04 Nov 2019.
  20. Guesmi, Sahar & Ben-Abdallah, Ramzi & Breton, Michèle & Dionne, Georges, 2019. "The CDS-bond Basis: Negativity Persistence and Limits to Arbitrage," Working Papers 19-4, HEC Montreal, Canada Research Chair in Risk Management.
  21. Jedidi, Helmi & Dionne, Georges, 2019. "Nonparametric testing for information asymmetry in the mortgage servicing market," Working Papers 19-1, HEC Montreal, Canada Research Chair in Risk Management, revised 28 Oct 2019.
  22. Anténor-Habazac, Cassandre & Dionne, Georges & Guesmi, Sahar, 2018. "Cyclical variations in liquidity risk of corporate bonds," Working Papers 18-3, HEC Montreal, Canada Research Chair in Risk Management.
  23. Dionne, Georges & Mnasri, Mohamed, 2018. "Real implications of corporate risk management: Evidence from U.S. oil producers," Working Papers 18-5, HEC Montreal, Canada Research Chair in Risk Management.
  24. Dionne, Georges & Maalaoui Chun, Olfa & Triki, Thouraya, 2018. "The Governance of Risk Management: The Importance of Directors’ Independence and Financial Knowledge," Working Papers 18-7, HEC Montreal, Canada Research Chair in Risk Management.
  25. Fortin, Alain-Philippe & Simonato, Jean-Guy & Dionne, Georges, 2018. "Forecasting Expected Shortfall: Should we use a Multivariate Model for Stock Market Factors?," Working Papers 18-4, HEC Montreal, Canada Research Chair in Risk Management, revised 25 Jun 2021.
  26. Dionne, Georges & Koumou, Gilles Boevi, 2018. "Machine Learning and Risk Management: SVDD Meets RQE," Working Papers 18-6, HEC Montreal, Canada Research Chair in Risk Management.
  27. Akari, Mohamed-Ali & Ben-Abdallah, Ramzi & Breton, Michèle & Dionne, Georges, 2018. "The impact of central clearing on the market for single-name credit default swaps," Working Papers 18-1, HEC Montreal, Canada Research Chair in Risk Management, revised 25 Jan 2019.
  28. Dionne, Georges & Desjardins, Denise, 2017. "Reinsurance Demand and Liquidity Creation," Working Papers 17-3, HEC Montreal, Canada Research Chair in Risk Management.
  29. Dionne, Georges & Liu, Ying, 2017. "Effects of Insurance Incentives on Road Safety: Evidence from a Natural Experiment in China," Working Papers 17-1, HEC Montreal, Canada Research Chair in Risk Management, revised 15 Oct 2019.
  30. Dionne, Georges & Harrington, Scott, 2017. "Insurance and Insurance Markets," Working Papers 17-2, HEC Montreal, Canada Research Chair in Risk Management.
  31. Okou, Cedric & Maalaoui Chun, Olfa & Dionne, Georges & Li, Jingyuan, 2016. "Can Higher-Order Risks Explain the Credit Spread Puzzle?," Working Papers 16-1, HEC Montreal, Canada Research Chair in Risk Management.
  32. Dionne, Georges & Zhou, Xiaozhou, 2016. "The Dynamics of Ex-ante High-Frequency Liquidity: An Empirical Analysis," Working Papers 15-5, HEC Montreal, Canada Research Chair in Risk Management.
  33. Dionne, Georges & Saissi-Hassani, Samir, 2016. "Hidden Markov Regimes in Operational Loss Data: Application to the Recent Financial Crisis," Working Papers 15-3, HEC Montreal, Canada Research Chair in Risk Management.
  34. Dionne, Georges & Gueyie, Jean-Pierre & Mnasri, Mohamed, 2016. "Dynamic Corporate Risk Management: Motivations and Real Implications," Working Papers 16-2, HEC Montreal, Canada Research Chair in Risk Management, revised 08 Aug 2018.
  35. Dionne, Georges & Zhou, Xiaozhou, 2016. "The Dynamics of Ex-ante Weighted Spread: An Empirical Analysis," Working Papers 16-4, HEC Montreal, Canada Research Chair in Risk Management, revised 04 Nov 2019.
  36. Cenesizoglu, Tolga & Dionne, Georges & Zhou, Xiaozhou, 2016. "Asymmetric Effects of the Limit Order Book on Price Dynamics," Working Papers 16-5, HEC Montreal, Canada Research Chair in Risk Management, revised 09 Nov 2021.
  37. Dionne, Georges & Malekan, Sara, 2015. "Optimal form of retention for securitized loans under moral hazard," Working Papers 15-4, HEC Montreal, Canada Research Chair in Risk Management.
  38. Georges Dionne & Amir Saissi Hassani, 2015. "Endogenous Hidden Markov Regimes in Operational Loss Data: Application to the Recent Financial Crisis," Cahiers de recherche 1516, CIRPEE.
  39. Georges Dionne & Jean-François Angers & Denise Desjardins, 2015. "Étude des comportements de sécurité routière des propriétaires, exploitants et conducteurs des véhicules lourds au Québec," Cahiers de recherche 1507, CIRPEE.
  40. Dionne, Georges, 2015. "Policy making and climate risk insurability: How can (re)insurers contribute to economic resilience in climate risk events?," Working Papers 15-6, HEC Montreal, Canada Research Chair in Risk Management.
  41. Jean-François Angers & Denise Desjardins & Georges Dionne & François Guertin, 2015. "Modelling and Estimating Individual and Firm Effects with Count Panel Data," Cahiers de recherche 1506, CIRPEE.
  42. Dionne, Georges & Li, Jingyuan, 2014. "When can expected utility handle first-order risk aversion?," Working Papers 11-1, HEC Montreal, Canada Research Chair in Risk Management.
  43. Georges Dionne & Denise Desjardins & Martin Lebeau & Stéphane Messier & André Dascal, 2014. "Health Care Workers' Risk Perceptions of Personal and Work Activities and Willingness to Report for Work During an Influenza Pandemic," Cahiers de recherche 1416, CIRPEE.
  44. Georges Dionne & Casey G. Rothschild, 2014. "Economic Effects of Risk Classification Bans," Cahiers de recherche 1420, CIRPEE.
  45. Tolga Cenesizoglu & Georges Dionne & Xiaozhou Zhou, 2014. "Effects of the Limit Order Book on Price Dynamics," Cahiers de recherche 1426, CIRPEE.
  46. Georges Dionne & Maria Pacurar & Xiaozhou Zhou, 2014. "Liquidity-adjusted Intraday Value at Risk modeling and Risk Management: an Application to Data from Deutsche Börse," Cahiers de recherche 1414, CIRPEE.
  47. Georges Dionne & Marc Santugini, 2014. "Production Flexibility and Hedging," Cahiers de recherche 1417, CIRPEE.
  48. Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013. "How Do Firms Hedge Risks? Empirical Evidence from U.S. Oil and Gas Producers," Cahiers de recherche 1307, CIRPEE.
  49. Mohamed Mnasri & Georges Dionne & Jean-Pierre Gueyie, 2013. "The Maturity Structure of Corporate Hedging: the Case of the U.S. Oil and Gas Industry," Cahiers de recherche 1337, CIRPEE.
  50. Georges Dionne, 2013. "Gestion des risques : histoire, définition et critique," Cahiers de recherche 1301, CIRPEE.
  51. Jean Marc J. M. Bourgeon & Georges G. Dionne, 2013. "On debt service and renegotiation when debt-holders are more strategic," Post-Print hal-01000655, HAL.
  52. Georges Dionne & Olfa Maalaoui Chun, 2013. "Default and Liquidity Regimes in the Bond Market during the 2002-2012 Period," Cahiers de recherche 1322, CIRPEE.
  53. Georges Dionne, 2013. "Risk Management : History, Definition and Critique," Cahiers de recherche 1302, CIRPEE.
  54. Georges Dionne & Jingyuan Li & Cedric Okou, 2012. "An Extension of the Consumption-based CAPM Model," Cahiers de recherche 1214, CIRPEE.
  55. Sara Malekan & Georges Dionne, 2012. "Securitization and Optimal Retention under Moral Hazard," Cahiers de recherche 1221, CIRPEE.
  56. Georges Dionne, 2012. "The Empirical Measure of Information Problems with Emphasis on Insurance Fraud and Dynamic Data," Cahiers de recherche 1233, CIRPEE.
  57. Georges Dionne & Nathalie Fombaron & Neil Doherty, 2012. "Adverse Selection in Insurance Contracting," Cahiers de recherche 1231, CIRPEE.
  58. Georges Dionne & Jingyuan Li, 2012. "Comparative Ross Risk Aversion in the Presence of Quadrant Dependent Risks," Cahiers de recherche 1226, CIRPEE.
  59. Georges Dionne & Casey G. Rothschild, 2012. "Risk Classification and Health Insurance," Cahiers de recherche 1232, CIRPEE.
  60. Georges Dionne & Marc Santugini, 2012. "Entry, Imperfect Competition, and Futures Market for the Input," Cahiers de recherche 1215, CIRPEE.
  61. Georges Dionne & Jingyuan Li, 2012. "Comparative Ross Risk Aversion in the Presence of Mean Dependent Risks," Cahiers de recherche 1211, CIRPEE.
  62. Georges Dionnne & Pierre-Carl Michaud & Jean Pinquet, 2012. "A Review of Recent Theoretical and Empirical Analyses of Asymmetric Information in Road Safety and Automobile Insurance," Cahiers de recherche 1204, CIRPEE.
  63. Anne-Sophie Bergerès & Philippe d'Astous & Georges Dionne, 2011. "Is there Any Dependence Between Consumer Credit Line Utilization and Default Probability on a Term Loan? Evidence from Bank-Level Data," Cahiers de recherche 1119, CIRPEE.
  64. Georges Dionne & Jingyuan Li, 2011. "First-order (Conditional) Risk Aversion, Background Risk and Risk Diversification," Cahiers de recherche 1111, CIRPEE.
  65. Jean Pinquet & Georges Dionne & Charles Vanasse & Maurice Mathieu, 2011. "Incentive Mechanisms for Safe Driving: A Comparative Analysis with Dynamic Data," Post-Print hal-00567866, HAL.
  66. Dionne, Georges, 2011. "Book review of The Theory of Corporate Finance," Working Papers 11-2, HEC Montreal, Canada Research Chair in Risk Management.
  67. Georges Dionne, 2011. "Book Review of : The Theory of Corporate Finance," Cahiers de recherche 1120, CIRPEE.
  68. Georges Dionne & Kili C. Wang, 2011. "Does Opportunistic Fraud in Automobile theft Insurance Fluctuate with the Business Cycle ?," Cahiers de recherche 1121, CIRPEE.
  69. Georges Dionne & Casey G. Rothschild, 2011. "Risk Classification in Insurance Contracting," Cahiers de recherche 1137, CIRPEE.
  70. Georges Dionne & Pierre-Carl Michaud & Maki Dahchour, 2010. "Separating Moral Hazard from Adverse Selection and Learning in Automobile Insurance: Longitudinal Evidence from France," Cahiers de recherche 1035, CIRPEE.
  71. Jingyuan Li & Georges Dionne, 2010. "A Theoretical Extension of the Consumption-based CAPM Model," Cahiers de recherche 1047, CIRPEE.
  72. Hela Dahen & Georges Dionne & Daniel Zajdenweber, 2010. "Extremal Events in a Bank Operational Losses," Cahiers de recherche 1014, CIRPEE.
  73. Dionne, Georges & Pinquet, Jean, 2010. "Analyse empirique du pouvoir prédictif des infractions au Code de la sécurité routière sur les risques d’accident," Working Papers 09-5, HEC Montreal, Canada Research Chair in Risk Management.
  74. Georges Dionne & Martin Lebeau, 2010. "Le calcul de la valeur statistique d'une vie humaine," Cahiers de recherche 1041, CIRPEE.
  75. Georges Dionne & Mélissa La Haye & Anne-Sophie Bergères, 2010. "Does Asymmetric Information Affect the Premium in Mergers and Acquisitions?," Cahiers de recherche 1015, CIRPEE.
  76. Jingyuan Li & Georges Dionne, 2010. "The Impact of Prudence on Optimal Prevention Revisited," Cahiers de recherche 1024, CIRPEE.
  77. Georges Dionne & Karima Ouederni, 2010. "Corporate Risk Management and Dividend Signaling Theory," Cahiers de recherche 1008, CIRPEE.
  78. Olfa Maalaoui & Georges Dionne & Pascal François, 2009. "Credit Spread Changes within Switching Regimes," Cahiers de recherche 0905, CIRPEE.
  79. Georges Dionne & Sadok Laajimi, 2009. "On the Determinants of the Implied Default Barrier," Cahiers de recherche 0914, CIRPEE.
  80. Georges Dionne, 2009. "Structured Finance, Risk Management, and the Recent Financial Crisis," Cahiers de recherche 0944, CIRPEE.
  81. Georges Dionne & Geneviève Gauthier & Nadia Ouertani, 2009. "Basket Options on Heterogeneous Underlying Assets," Cahiers de recherche 0918, CIRPEE.
  82. Georges Dionne & Pascal François & Olfa Maalaoui Chun, 2009. "Detecting Regime Shifts in Corporate Credit Spreads," Cahiers de recherche 0929, CIRPEE.
  83. Shady Aboul-Enein & Georges Dionne & Nicolas Papageorgiou, 2009. "Performance Analysis of a Collateralized Fund Obligation (CFO) Equity Tranche," Cahiers de recherche 0931, CIRPEE.
  84. Maalaoui Chun, Olfa & Dionne, Georges & François, Pascal, 2008. "Detecting regime shifts in credit spreads," Working Papers 08-2, HEC Montreal, Canada Research Chair in Risk Management.
  85. J. David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2008. "The Costs and Benefits of Reinsurance," Cahiers de recherche 08-04, HEC Montréal, Institut d'économie appliquée.
  86. Georges DIONNE & Pascal ST-AMOUR & Desire VENCATACHELLUM, 2008. "Asymmetric Information and Adverse Selection in Mauritian Slave Auctions," Swiss Finance Institute Research Paper Series 08-40, Swiss Finance Institute.
  87. Jean Pinquet & Georges Dionne & Mathieu Maurice & Charles Vanasse, 2008. "Point-record incentives, asymmetric information and dynamic data (revised version)," Working Papers hal-00331180, HAL.
  88. Georges Dionne & Benoit Dostie, 2008. "Correlated Poisson Processes with Unobserved Heterogeneity: Estimating the Determinants of Paid and Unpaid Leave," Cahiers de recherche 08-07, HEC Montréal, Institut d'économie appliquée.
  89. Georges Dionne & Hela Dahen, 2007. "What about Underevaluating Operational Value at Risk in the Banking Sector?," Cahiers de recherche 0723, CIRPEE.
  90. Jean-François Angers & Denise Desjardins & Georges Dionne & Benoit Dostie & François Guertin, 2007. "Poisson Models with Employer-Employee Unobserved Heterogeneity: An Application to Absence Data," Cahiers de recherche 07-02, HEC Montréal, Institut d'économie appliquée.
  91. Jean Pinquet & Georges Dionne & Charles Vanasse & Mathieu Maurice, 2007. "Point-record incentives, asymmetric information and dynamic data," Working Papers hal-00243056, HAL.
  92. Dionne, Georges & Harchaoui, Tarek, 2007. "Bank Capital, Securitization and Credit Risk: an Empirical Evidence," MPRA Paper 56693, University Library of Munich, Germany, revised 2007.
  93. Hela Dahen & Georges Dionne, 2007. "Scaling Models for the Severity and Frequency of External Operational Loss Data," Cahiers de recherche 0702, CIRPEE.
  94. Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2007. "Determinants of Insurers’ Performance in Risk Pooling, Risk Management, and Financial Intermediation Activities," Cahiers de recherche 07-03, HEC Montréal, Institut d'économie appliquée.
  95. Georges Dionne & Benoit Dostie, 2007. "Estimating the effect of a change in insurance pricing regime on accidents with endogenous mobility," Cahiers de recherche 07-11, HEC Montréal, Institut d'économie appliquée.
  96. Georges DIONNE & Pascal ST-AMOUR & Désiré VENCATACHELLUM, 2007. "Information Asymmetry in Mauritius Slave Auctions," Cahiers de Recherches Economiques du Département d'économie 07.06, Université de Lausanne, Faculté des HEC, Département d’économie.
  97. Georges Dionne & Geneviève Gauthier & Khemais Hammami & Mathieu Maurice & Jean-Guy Simonato, 2007. "A Reduced Form Model of Default Spreads with Markov Switching Macroeconomic Factors," Cahiers de recherche 0741, CIRPEE.
  98. Dionne, Georges & Fluet, Claude & Desjardins, Denise, 2007. "Predicted risk perception and risk-taking behavior: The case of impaired driving," Working Papers 06-4, HEC Montreal, Canada Research Chair in Risk Management.
  99. Oussama Chakroun & Georges Dionne & Amélie Dugas-Sampara, 2006. "Empirical Evaluation of Investor Rationality in the Asset Allocation Puzzle," Cahiers de recherche 0635, CIRPEE.
  100. Georges Dionne & Pascal St-Amour & Désiré Vencatachellum, 2006. "Adverse Selection in the Market for Slaves in Mauritius, 1825-1835," Cahiers de recherche 0607, CIRPEE.
  101. Georges Dionne & Geneviève Gauthier & Nadia Ouertani & Nabil Tahani, 2006. "Heterogeneous Basket Options Pricing Using Analytical Approximations," Cahiers de recherche 0605, CIRPEE.
  102. Dachraoui, Khaïs & Dionne, Georges, 2006. "Conditions ensuring the decomposition of asset demand for all risk-averse investors," Working Papers 04-1, HEC Montreal, Canada Research Chair in Risk Management.
  103. Yves Alarie & Georges Dionne, 2006. "Lottery Qualities," Cahiers de recherche 0617, CIRPEE.
  104. Dionne, Georges, 2006. "Book review of Foundations of Economic Analysis of Law, by Steven Shavell," Working Papers 06-9, HEC Montreal, Canada Research Chair in Risk Management.
  105. J. David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2006. "Efficiency of Insurance Firms with Endogenous Risk Management and Financial Intermediation Activities," Cahiers de recherche 06-06, HEC Montréal, Institut d'économie appliquée.
  106. Georges Dionne & Sadok Laajimi & Sofiane Mejri & Madalina Petrescu, 2006. "Estimation of the Default Risk of Publicly Traded Canadian Companies," Staff Working Papers 06-28, Bank of Canada.
  107. François Bellavance & Georges Dionne & Martin Lebeau, 2006. "The Value of a Statistical Life: a Meta-Analysis with a Mixed Effects Regression Model," Cahiers de recherche 0646, CIRPEE.
  108. Georges Dionne & Claude Fluet & Denise Desjardins, 2006. "Perception of the Risks Associated with Impaired Driving and Effects on Driving Behavior," Cahiers de recherche 0608, CIRPEE.
  109. Narjess Boubakri & Georges Dionne & Thouraya Triki, 2006. "Consolidation and Value Creation in the Insurance Industry: the Role of Governance," Cahiers de recherche 0626, CIRPEE.
  110. Georges Dionne & Pierre Duchesne & Maria Pacurar, 2005. "Intraday Value at Risk (IVaR) Using Tick-by-Tick Data with Application to the Toronto Stock Exchange," Cahiers de recherche 0533, CIRPEE.
  111. Angers, Jean-François & Desjardins, Denise & Dionne, Georges & Guertin, François, 2005. "Modélisation et estimation des effets individuels et d’entreprise avec des données de panel : une application aux flottes de véhicules," Working Papers 05-7, HEC Montreal, Canada Research Chair in Risk Management.
  112. Georges Dionne & Benoit Dostie, 2005. "New Evidence on the Determinants of Absenteeism Using Linked Employer-Employee Data," Cahiers de recherche 05-04, HEC Montréal, Institut d'économie appliquée.
  113. Yves Alarie & Georges Dionne, 2005. "Testing Explanations of Preference Reversal: a Model," Cahiers de recherche 0510, CIRPEE.
  114. Dionne, Georges & Dostie, Benoit, 2005. "New evidence on the determinants of absenteeism using linked employer-employee," Working Papers 05-5, HEC Montreal, Canada Research Chair in Risk Management.
  115. Georges Dionne & Thouraya Triki, 2005. "Risk Management and Corporate Governance: the Importance of Independence and Financial Knowledge for the Board and the Audit Committee," Cahiers de recherche 0515, CIRPEE.
  116. Georges Dionne & Florence Giuliano & Pierre Picard, 2005. "Optimal Auditing with Scoring Theory and Application to Insurance Fraud," Working Papers hal-00243026, HAL.
  117. Dionne, Georges & Pinquet, Jean, 2005. "Mesure des effets incitatifs à la prudence au volant créés par les sanctions et évaluation du pouvoir prédictif des infractions sur le risque routier," Working Papers 05-6, HEC Montreal, Canada Research Chair in Risk Management.
  118. Georges Dionne & Geneviève Gauthier & Khemais Hammami & Mathieu Maurice & Jean-Guy Simonato, 2005. "Default Risk in Corporate Yield Spreads," Cahiers de recherche 0532, CIRPEE.
  119. Kaïs Dachraoui & Georges Dionne, 2004. "Conditions Ensuring the Separability of Asset Demand for All Risk-Averse Investors," Cahiers de recherche 0411, CIRPEE.
  120. Georges Dionne & Thouraya Triki, 2004. "On Risk Management Determinants: What Really Matters?," Cahiers de recherche 0417, CIRPEE.
  121. Dionne, Georges, 2004. "Book review of: Credit risk: Pricing, measurement, and management," Working Papers 04-6, HEC Montreal, Canada Research Chair in Risk Management.
  122. Jean-François Angers & Denise Desjardins & Georges Dionne & François Guertin, 2004. "Vehicle and Fleet Random Effects in a Model of Insurance Rating for Fleets of Vehicles," Cahiers de recherche 0423, CIRPEE.
  123. Dionne, Georges & Fluet, Claude-Denys & Desjardins, Denise & Messier, Stéphane, 2004. "La perception des risques d'accident et d'arrestation lors de conduite avec facultés affaiblies," Working Papers 04-2, HEC Montreal, Canada Research Chair in Risk Management.
  124. Yves Alarie & Georges Dionne, 2004. "On the Necessity of Using Lottery Qualities," Cahiers de recherche 0415, CIRPEE.
  125. Georges Dionne & Pierre-Carl Michaud & Maki Dahchour, 2004. "Separating Moral Hazard from Adverse Selection in Automobile Insurance: Longitudinal Evidence from France," Cahiers de recherche 0420, CIRPEE.
  126. DACHRAOUI, Kaïs & DIONNE, Georges & EECKHOUDT, Louis & GODFROID, Philippe, 2004. "Comparative mixed risk aversion: definition and application to self-protection and willingness to pay," LIDAM Reprints CORE 1835, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE).
  127. Georges Dionne, 2003. "The Foundationsof Banks' Risk Regulation: A Review of Literature," THEMA Working Papers 2003-46, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  128. Georges Dionne & Olfa Ghali, 2003. "The (1992) Bonus-Malus System in Tunisia: An Empirical Evaluation," THEMA Working Papers 2003-40, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  129. Dionne, Georges & Harchaoui, Tarek M., 2003. "Banks' Capital, Securitization and Credit Risk: An Empirical for Canada," Cahiers de recherche 0311, CIRPEE.
  130. J.F Angers & D Desjardins & G Dionne, 2003. "Modèle bayésien de tarification de l’assurance des flottes de véhicules," THEMA Working Papers 2003-37, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  131. Blanchard, Danielle & Dionne, Georges, 2003. "Risk management and corporate governance," Working Papers 03-4, HEC Montreal, Canada Research Chair in Risk Management.
  132. H. Dahen & G. Dionne, 2002. "Book Review of Management," THEMA Working Papers 2002-19, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  133. Dahen, Héla & Dionne, Georges, 2002. "Book Review of: Risk Management, by Michel Crouhy, Dan Galai and Robert Mark," Working Papers 02-3, HEC Montreal, Canada Research Chair in Risk Management.
  134. G. Dionne & T. M. Harchaoui, 2002. "Banks’ Capital, Securitization and Credit Risk : An Empirical Evidence for Canada," THEMA Working Papers 2002-33, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  135. G. Dionne & P. Lanoie, 2002. "How to Make a Public Choice about the Value of a Statistical Life : The Case of Road Safety," THEMA Working Papers 2002-14, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  136. M. Dahchour & G. Dionne, 2002. "Pricing of Automobile Insurance Under Asymmetric Information : a Study on Panel Data," THEMA Working Papers 2002-12, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  137. D. Lord & H. M. Abdou & A. N'Zué & G. Dionne & C. Laberge-Nadeau, 2002. "Traffic Safety Diagnostic and Application of Countermeasures for Rural Roads in Burkina Faso," THEMA Working Papers 2002-23, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  138. G. Dionne & F. Giuliano & P. Picard, 2002. "Optimal auditing for insurance fraud," THEMA Working Papers 2002-32, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  139. G. Dionne & P.-C. Michaud, 2002. "Statistical Analysis of Value-of Life estimates using Hedonic Wage Method," THEMA Working Papers 2002-13, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  140. R. Aqdim & G. Dionne & T. M. Harchaoui, 2002. "Les déterminants du comportement des banques canadiennes en matière de titrisation," THEMA Working Papers 2002-20, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  141. G. Dionne & M. Maurice & J. Pinquet & C. Vanasse, 2001. "The Role of Memory in Long-Term Contracting with Moral Hazard : Empirical Evidence in Automobile Insurance," THEMA Working Papers 2001-11, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  142. Y. Alarie & G. Dionne, 2001. "Optimal Cognitive Processes for Lotteries," THEMA Working Papers 2001-07, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  143. Dionne, G. & Desjardins, D. & Ingabire, M.-G. & Aqdim, R., 2001. "La perception du risque d'etre arrete chez les camionneurs et transporteurs routiers," Ecole des Hautes Etudes Commerciales de Montreal- 01-03, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  144. G. Dionne, 2001. "Commitment and Automobile Insurance in France, Quebec and Japan," THEMA Working Papers 2001-10, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  145. K. Dachraoui & G. Dionne, 2001. "Stochastic Dominance and Optimal Portfolio," THEMA Working Papers 2001-01, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  146. Dionne, G., 2001. "Commitment and Automobile Insurance Regulation in France, Quebec and Japan," Ecole des Hautes Etudes Commerciales de Montreal- 01-04, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  147. G. Dionne, 2000. "The Empirical Measure of Information Problems with Emphasis on Insurance Fraud," THEMA Working Papers 2000-20, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  148. Dachraoui, K. & Dionne, G. & Eeckhoudt, L. & Godfroid, P., 2000. "Comparative Mixed Risk Aversion," Ecole des Hautes Etudes Commerciales de Montreal- 00-10, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  149. G. Dionne & M. Garand, 2000. "Risk Management Determinants Affecting Firms' Values in the Gold Mining Industry : New Empirical Results," THEMA Working Papers 2000-48, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  150. G. Dionne & R. Gagné, 2000. "Replacement Cost Endorsement and Opportunistic Fraud in Automobile Insurance," THEMA Working Papers 2000-06, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  151. Dionne, G. & Garand, M., 2000. "Une mesure empirique des diterminants qui affectent la gestion des risques des entreprises non financieres," Ecole des Hautes Etudes Commerciales de Montreal- 00-09, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  152. G. Dionne & N. Doherty & N. Fombaron, 2000. "Adverse Selection in Insurance Markets," THEMA Working Papers 2000-21, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  153. D. Desjardins & G. Dionne & J. Pinquet, 2000. "Experience rating schemes for fleets of vehicles," THEMA Working Papers 2000-08, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  154. K. Dachraoui & G. Dionne, 2000. "Optimal Financial Portfolio and Dependence of Risky Assets," THEMA Working Papers 2000-57, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  155. K. Dachraoui & G. Dionne & L. Eeckhoudt & P. Godfroid, 1999. "Proper risk behavior," THEMA Working Papers 99-27, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
    • Dachraoui, K. & Dionne, G. & Eeckhoudt, L. & Godfroid, P., 1999. "Proper Risk Behavior," Papers 99-27, Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
  156. G. Dionne & C. Fluet, 1999. "Full pooling in multi-period contracting with adverse selection and noncommitment," THEMA Working Papers 99-36, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  157. K. Dachraoui & G. Dionne, 1999. "Capital structures and compensation policies," THEMA Working Papers 99-28, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  158. G. Dionne & D. Desjardins & J. Pinquet, 1999. "L'évaluation des risques d'accidents des transporteurs routiers : des résultats préliminaires," THEMA Working Papers 99-30, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  159. Alarie, Y. & Dionne, G., 1998. "Some Remarks About the Probability Weighting Function," Ecole des Hautes Etudes Commerciales de Montreal- 98-17, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  160. Dionne, G. & Laberge-Nadeau, C. & Desjardins, D. & Messier, S. & Maag, U., 1998. "Analysis of the Economic Impact of Medical and Optometric Driving Standards on Costs Incured by Trucking Firms and on the Social Costs of Traffic Accidents," Ecole des Hautes Etudes Commerciales de Montreal- 98-06, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  161. K. Dachraoui & G. Dionne, 1998. "Information structure, labour contracts and the strategic use of debt," THEMA Working Papers 98-34, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  162. G. Dionne & D. Gouriéroux & C. Vanasse, 1998. "The informational content of household decisions with applications to insurance under adverse selection," THEMA Working Papers 98-06, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  163. Georges Dionne & Christian Gourieroux & Charles Vanasse, 1998. "Evidence of Adverse Selection in Automobile Insurance Markets," Working Papers 98-24, Center for Research in Economics and Statistics.
  164. K. Dachraoui & G. Dionne, 1998. "Portfolio response to a shift in a return distribution : comment," THEMA Working Papers 98-21, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  165. G. Dionne, 1998. "La mesure empirique des problèmes d'information," THEMA Working Papers 98-33, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  166. G. Dionne, 1998. "Offre d'assurance non vie : une revue de la littérature récente," THEMA Working Papers 98-05, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  167. Dionne, G. & Spaeter, S., 1998. "Environmental Risk and Extended Liability: the Case of Green Technologies," Ecole des Hautes Etudes Commerciales de Montreal- 98-12, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  168. Dionne, G. & Laberge-Nadeau, C. & Maag, U. & Desjardins, D. & Messier, S., 1998. "Le non-respect du code de la securite par les conducteurs professionnels en fonction des caracteristiques des individus, des transporteurs et de l'environnement routier," Ecole des Hautes Etudes Commerciales de Montreal- 98-18, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  169. G. Dionne & R. Gagné, 1997. "The non-optimality of deductible contracts against fraudulent claims : an empirical evidence in automobile insurance," THEMA Working Papers 97-23, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  170. Belhadji, B. & Dionne, G., 1997. "Development of an Expert System for Automatic Detection of Automobile Insurance Fraud," Ecole des Hautes Etudes Commerciales de Montreal- 97-06, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  171. L. Caron & G. Dionne, 1997. "Insurance fraud estimation : more evidence from the Quebec automobile insurance industry," THEMA Working Papers 97-21, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  172. G. Dionne & M-G. Ingabire, 1997. "Diffidence theorem and state dependent preferences," THEMA Working Papers 97-28, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  173. Dionne, G. & Laberge-Nadeau, C. & Maag, U. & Desjardins, D. & Messier, S., 1997. "Analyse de l'effet des regles d'obtention d'un permis de conduire au Quebec (1991) sur la securite routiere," Ecole des Hautes Etudes Commerciales de Montreal- 97-02, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  174. Belhadji, B. & Dionne, G., 1997. "Developpement d'un systeme expert de detection automatique de la fraude a l'assurance automobile," Ecole des Hautes Etudes Commerciales de Montreal- 97-04, Ecole des Hautes Etudes Commerciales de Montreal-Chaire de gestion des risques..
  175. Georges Dionne & Christian Gourieroux & Charles Vanasse, 1997. "The Informational Content of Household Decisions," Working Papers 97-01, Center for Research in Economics and Statistics.
  176. G. Dionne & C. Vanasse, 1997. "Une évaluation empirique de la nouvelle tarification de l'assurance automobile (1992) au Québec," THEMA Working Papers 97-22, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  177. G. Dionne & F. Gagnon & K. Dachraoui, 1997. "Increases in risk and optimal portfolio," THEMA Working Papers 97-29, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  178. G. Dionne & T. Mounsif, 1996. "Investment under Demand Uncertainty : The Newsboy Problem Revisited," THEMA Working Papers 96-22, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  179. G. Dionne & C. Gollier, 1996. "A model of comparative statics for changes in stochastic returns with dependent risky assets," THEMA Working Papers 96-09, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
  180. Dionne, G. & Gane, R. & Vanasse, C., 1995. "Infessing Technological Parameters from Incomplete Panel Data," Cahiers de recherche 9537, Universite de Montreal, Departement de sciences economiques.
  181. Laberge-Nadeau, C. & Dionne, G. & Maag, U., 1995. "Medical Conditions and the Severity of Commercial Motor Vehicle (CMV) Drivers's Road Accidents," Cahiers de recherche 9527, Universite de Montreal, Departement de sciences economiques.
  182. Dionne, G. & Artis, M. & Guillen, M., 1995. "On the Repayment of Personal Loans under Asymmetrical Information: A Count Data Model Approach," Papers 9509, Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
  183. Georges Dionne & Claude Fluet, 1995. "Incentives in Multi-Period Regulation and Procurement: A Graphical Analysis," Cahiers de recherche du Département des sciences économiques, UQAM 9511, Université du Québec à Montréal, Département des sciences économiques.
  184. Dionne, G. & Fombaron, N., 1995. "Non-Convexities and Efficiency of Equilibria in Insurance Markets with Asymmetric Information," Papers 9510, Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
  185. Laberge-Nadeau, C. & Maag, U. & Desjardin, D. & Vanasse, C. & Dionne, G. & Okoe, J.M., 1995. "Medical Condition and Severity of Commercial Motor Vehicule (CMV) Drivers' Road Accidents," Papers 9515, Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
  186. Dionne, G. & Gagne, R. & Gagnon, F. & Vanasse, C., 1994. "Debts, moral hazard and airline safety : an empirica evidence," CEPREMAP Working Papers (Couverture Orange) 9419, CEPREMAP.
  187. Dionne, G. & Doherty, N.A., 1993. "Adverse Selection, Commitment and Renegotiation: Extension to and Evidence from Insurance Markets," Papers 9301, Paris X - Nanterre, U.F.R. de Sc. Ec. Gest. Maths Infor..
  188. Dionne, G. & St-Michel, P. & Gibbens, A., 1993. "An Economic Analysis of Insurance Fraud," Cahiers de recherche 93010, Centre interuniversitaire de recherche en économie quantitative, CIREQ.
  189. Dionne, G. & Desjardins, D. & Laberge-Nadeau, C. & Maag, U., 1993. "Medical Conditions, Risk Exposure and Truck Drivers's Accidents: An Analysis with Count Data Regression Models," Cahiers de recherche 9321, Centre interuniversitaire de recherche en économie quantitative, CIREQ.
  190. Gagne, R. & Dionne, G., 1992. "Rendement d'echelle, progres technique et croissance de la productivite dans les industries quebecoises ei ontarienne de transport par camions; 1981-1988," Cahiers de recherche 9210, Universite de Montreal, Departement de sciences economiques.
  191. Dionne, G. & Gollier, C., 1992. "Simple Increases in Risk and Their Comparative Statics for Portfolio Management," Cahiers de recherche 9203, Universite de Montreal, Departement de sciences economiques.
  192. Dionne, G. & Gagne, R., 1992. "Measuring Technical Change and Productivity Growth Varying Output Qualities and Incomplete Panel Data," Cahiers de recherche 9201, Universite de Montreal, Departement de sciences economiques.
  193. Dionne, G. & Viala, P., 1992. "Optimal Design of Financial Contracts and Moral Hazard," Cahiers de recherche 9219, Universite de Montreal, Departement de sciences economiques.
  194. Dionne, G. & Doherty, N., 1991. "Adverse Selection in Insurance Markets: a Selective Survey," Cahiers de recherche 9105, Universite de Montreal, Departement de sciences economiques.
  195. Dionne, G. & Harrigton, E.S., 1991. "An Introduction to Insurance Economics," Cahiers de recherche 9101, Universite de Montreal, Departement de sciences economiques.
  196. Dionne, G. & Gollier, C., 1991. "Comparative Statics Under Multiple Sources of Risk with Appllications to Insurance Demand," Cahiers de recherche 9133, Universite de Montreal, Departement de sciences economiques.
  197. Boyer, M. & Dionne, G. & Vanasse, C., 1990. "Infractions au Code de la Securite Routiere, Infractions au Code Criminel, et Gestion Optimale de la Securite Routiere," Cahiers de recherche 9024, Universite de Montreal, Departement de sciences economiques.
  198. Alarie, Y. & Eeckhoudt, L. & Dionne, G., 1990. "Increases in Risk and the Demand for Insurance," Cahiers de recherche 9021, Universite de Montreal, Departement de sciences economiques.
  199. Dionne, G. & Eeckhoudt, L., 1990. "Increases in Risk and Linear Payoffs," Cahiers de recherche 9019, Universite de Montreal, Departement de sciences economiques.
  200. Dionne, G. & St-Michel, P. & Vanasse, C., 1989. "Moral Hazard, Optimal Auditing and Workers' Compensation," Cahiers de recherche 8941, Universite de Montreal, Departement de sciences economiques.
  201. Doherty, N.A. & Dionne, G., 1989. "Risk Pooling, Contract Structure and Organizational Form of Insurance Firms," Cahiers de recherche 8935, Universite de Montreal, Departement de sciences economiques.
  202. Dionne, G. & Eeckhoudt, L. & Briys, E., 1989. "Proportional Risk Aversion and Saving Decisions Under Uncertainty," Cahiers de recherche 8901, Universite de Montreal, Departement de sciences economiques.
  203. Boyer, M. & Dionne, G., 1988. "More on Insurance, Protection and Risk," Cahiers de recherche 8806, Universite de Montreal, Departement de sciences economiques.
  204. Dionne, G. & Vanasse, C., 1988. "A Generalization of Automobile Insurance Rating Models: the Negative Binomial Distribution with a Regression Component," Cahiers de recherche 8833, Universite de Montreal, Departement de sciences economiques.
  205. Briys, E. & Dionne, G. & Eeckhoudt, L., 1988. "More on Insurance As a Giffen Good," Cahiers de recherche 8813, Universite de Montreal, Departement de sciences economiques.
  206. Dionne, G. & St-Michel, P., 1988. "Workers' Compensation and Moral Hazard," Cahiers de recherche 8831, Universite de Montreal, Departement de sciences economiques.
  207. Dionne, G., 1988. "Essays on Economic Decisions Under Uncertainty: a Review Article," Cahiers de recherche 8812, Universite de Montreal, Departement de sciences economiques.
  208. Gagne, R. & Dionne, G., 1988. "Qu'en Est-Il des Rendements D'echelle Dans les Industries Quebecoises et Ontariennes de Transport Par Camion?," Cahiers de recherche 8829, Universite de Montreal, Departement de sciences economiques.
  209. Dionne, G. & Vanasse, C., 1988. "Automobile Insurance Ratemaking in the Presence of Asymmetric Information," Cahiers de recherche 8834, Universite de Montreal, Departement de sciences economiques.
  210. David Cummins, J. & Dionne, G. & Mcdonald, J.B., 1988. "Applications of the Gb2 Family of Distributions in the Modeling Insurance Loss Processe," Cahiers de recherche 8838, Universite de Montreal, Departement de sciences economiques.
  211. Dionne, G. & Pellerin, M., 1987. "Investissement En Incertitude Extension du Probleme de la Taille Optimale D'une Usine," Cahiers de recherche 8745, Universite de Montreal, Departement de sciences economiques.
  212. DIONNE, George & EECKHOUDT, Louis, 1987. "Proportional risk aversion, taxation and labor supply under uncertainty," LIDAM Reprints CORE 784, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE).
  213. Cummins, J.D. & Dionne, G. & Maistre, L., 1987. "Applications of the Gb2 Family of Probability Distributions in Collective Risk Theory," Cahiers de recherche 8719, Universite de Montreal, Departement de sciences economiques.
  214. Doherty, N.A. & Dionne, G., 1987. "Insurance with Undiversifiable Risk," Cahiers de recherche 8710, Universite de Montreal, Departement de sciences economiques.
  215. Dionne, G., 1987. "Incertain et Information; Ou En Sommes-Nous Trente-Cinq Ans Apres le Colloque de Paris," Cahiers de recherche 8746, Universite de Montreal, Departement de sciences economiques.
  216. Dionne, G. & Gagne, R., 1986. "Models and Methodologies in the Analysis of Regulation Effects in Airline Markets," Cahiers de recherche 8638, Universite de Montreal, Departement de sciences economiques.
  217. Boyer, M. & Dionne, G. & Kihlstrom, R., 1986. "Public Information and Experience Rating," Cahiers de recherche 8627, Universite de Montreal, Departement de sciences economiques.
  218. Belisle, S. & Dionne, G., 1985. "Accessibilite aux Ressources et Demande de Revascularisation du Myocarde," Cahiers de recherche 8531, Universite de Montreal, Departement de sciences economiques.
  219. Dionne, G. & Eeckhoudt, L., 1985. "Increasing Risk and Self-Protection Activities," Cahiers de recherche 8529, Universite de Montreal, Departement de sciences economiques.
  220. Dionne, G. & Langlois, A. & Lemire, N., 1985. "More on Geographical Distribution of Physicians and Market Failure," Cahiers de recherche 8532, Universite de Montreal, Departement de sciences economiques.
  221. Boyer, M. & Dionne, G., 1985. "An Analysis of the Quebec Automobile Insurance Regime," Cahiers de recherche 8548, Universite de Montreal, Departement de sciences economiques.
  222. DIONNE, Georges & LASSERRE, Pierre, 1985. "Adverse selection, repeated insurance contracts and announcement strategy," LIDAM Reprints CORE 658, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE).
  223. Boyer, M. & Dionne, G., 1985. "La Tarification de L'assurance Automobile et les Incitations a la Securite Routiere: une Etude Empirique," Cahiers de recherche 8553, Universite de Montreal, Departement de sciences economiques.
  224. Dionne, G. & Lasserre, P., 1985. "Dealing with Moral Hazard and Adverse Selection Simultaneously," Cahiers de recherche 8559, Universite de Montreal, Departement de sciences economiques.
  225. Boyer, M. & Dionne, G., 1985. "Moral Hazard and Experience Rating: an Empirical Analysis," Cahiers de recherche 8549, Universite de Montreal, Departement de sciences economiques.
  226. Boyer, M. & Dionne, G., 1985. "The Economics of Road Safety," Cahiers de recherche 8554, Universite de Montreal, Departement de sciences economiques.
  227. Briys, E. & Dionne, G. & Eeckhoudt, L., 1985. "Consumption Decisions Under Uncertainty: an Extension," Cahiers de recherche 8547, Universite de Montreal, Departement de sciences economiques.
  228. DIONNE, George & EECKHOUDT, Louis, 1985. "Self-insurance, self-protection and increased risk aversion," LIDAM Reprints CORE 623, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE).
  229. Dionne, G. & Eeckhoudt, L., 1984. "The Effect of Capital Risk on Saving Decision," Cahiers de recherche 8411, Universite de Montreal, Departement de sciences economiques.
  230. Tessier, G. & Contandriopoulos, A.P. & Dionne, G., 1984. "Patient Mobility for Elective Surgical Interventions," Cahiers de recherche 8440, Universite de Montreal, Departement de sciences economiques.
  231. Dionne, G. & Lasserre, P., 1983. "Adverse Selection and Repeated Insurance Contracts: Finite and Infinite Horizons," Cahiers de recherche 8326, Universite de Montreal, Departement de sciences economiques.
  232. Boyer, M. & Dionne, G., 1983. "Securite Routiere: Efficacite, Subvention et Reglementation," Cahiers de recherche 8317, Universite de Montreal, Departement de sciences economiques.
  233. Boyer, M. & Dionne, G., 1983. "The Riskiness of Equivalent Governmental Policies," Cahiers de recherche 8319, Universite de Montreal, Departement de sciences economiques.
  234. Dionne, G., 1982. "Search and Insurance (Revised)," Cahiers de recherche 8214, Universite de Montreal, Departement de sciences economiques.
  235. Boyer, M. & Dionne, G., 1982. "The Choice Between Equivalent Variations in the Probability and Magnitude of Loss," Cahiers de recherche 8230, Universite de Montreal, Departement de sciences economiques.
  236. Boyer, M. & Dionne, G., 1982. "Riscophobie et Etalement a Moyenne Constante: Analyse et Applications," Cahiers de recherche 8229, Universite de Montreal, Departement de sciences economiques.
  237. Dionne, G. & Eeckhoudt, L., 1982. "Risk Aversion, Insurance and Gambling," Cahiers de recherche 8243, Universite de Montreal, Departement de sciences economiques.
  238. Dionne, G. & Contandriopoulos, A.P., 1982. "Doctors and Their Workshops: a Review Article," Cahiers de recherche 8245, Universite de Montreal, Departement de sciences economiques.
  239. Dionne, G. & Eeckhoudt, L., 1982. "Insurance and Saving: Some Further Results," Cahiers de recherche 8231, Universite de Montreal, Departement de sciences economiques.
  240. Contandriopoulos, A.P. & Dionne, G. & Tessier, G., 1981. "L'influence des Ressources Sur L'utilisation des Interventions Chirurgicales," Cahiers de recherche 8143, Universite de Montreal, Departement de sciences economiques.
  241. Dionne, G., 1981. "Adverse Selection and Repeated Insurance Contracts," Cahiers de recherche 8139, Universite de Montreal, Departement de sciences economiques.
  242. Dionne, G., 1980. "Le Risque Moral et la Selection Adverse: une Revue Critique de la Litterature," Cahiers de recherche 8006, Universite de Montreal, Departement de sciences economiques.
  243. Dionne, G., 1980. "Search and Insurance," Cahiers de recherche 8101, Universite de Montreal, Departement de sciences economiques.
  244. Dionne, G., 1980. "The Effects of Insurance on the Possibilities of Fraud," Cahiers de recherche 8103, Universite de Montreal, Departement de sciences economiques.
  245. Dionne, G., 1980. "Moral Hazard and State-Dependent Utility Function," Cahiers de recherche 8053, Universite de Montreal, Departement de sciences economiques.
  246. Dionne, G., 1980. "The Effects of Unemployment Benefits on U.S. Unemployment Rates: a Comment," Cahiers de recherche 8012, Universite de Montreal, Departement de sciences economiques.
  247. Dionne, G., 1979. "Moral Hazard and Search Activity," Cahiers de recherche 7944, Universite de Montreal, Departement de sciences economiques.
  248. Dionne, G., 1979. "Analyse des Effets de L'assurance et de la Relation de Confiance Consommateur-Producteur Sur les Possibilites D'abus des Chirurgiens," Cahiers de recherche 7948, Universite de Montreal, Departement de sciences economiques.

Articles

  1. Dionne, Georges & El Hraiki, Rayane & Mnasri, Mohamed, 2023. "Determinants and real effects of joint hedging: An empirical analysis of US oil and gas producers," Energy Economics, Elsevier, vol. 124(C).
  2. Poutré, Cédric & Dionne, Georges & Yergeau, Gabriel, 2023. "International high-frequency arbitrage for cross-listed stocks," International Review of Financial Analysis, Elsevier, vol. 89(C).
  3. Denise Desjardins & Georges Dionne & Yang Lu, 2023. "Hierarchical random‐effects model for the insurance pricing of vehicles belonging to a fleet," Journal of Applied Econometrics, John Wiley & Sons, Ltd., vol. 38(2), pages 242-259, March.
  4. Fortin, Alain-Philippe & Simonato, Jean-Guy & Dionne, Georges, 2023. "Forecasting expected shortfall: Should we use a multivariate model for stock market factors?," International Journal of Forecasting, Elsevier, vol. 39(1), pages 314-331.
  5. Desjardins, Denise & Dionne, Georges & Koné, N’Golo, 2022. "Reinsurance demand and liquidity creation: A search for bicausality," Journal of Empirical Finance, Elsevier, vol. 66(C), pages 137-154.
  6. Gilles Boevi Koumou & Georges Dionne, 2022. "Coherent Diversification Measures in Portfolio Theory: An Axiomatic Foundation," Risks, MDPI, vol. 10(11), pages 1-19, October.
  7. Cenesizoglu, Tolga & Dionne, Georges & Zhou, Xiaozhou, 2022. "Asymmetric effects of the limit order book on price dynamics," Journal of Empirical Finance, Elsevier, vol. 65(C), pages 77-98.
  8. Georges Dionne & Denise Desjardins, 2022. "A re‐examination of the US insurance market's capacity to pay catastrophe losses," Risk Management and Insurance Review, American Risk and Insurance Association, vol. 25(4), pages 515-549, December.
  9. Akari, Mohamed-Ali & Ben-Abdallah, Ramzi & Breton, Michèle & Dionne, Georges, 2021. "The impact of central clearing on the market for single-name credit default swaps," The North American Journal of Economics and Finance, Elsevier, vol. 56(C).
  10. J. David Cummins & Georges Dionne & Robert Gagné & Abdelhakim Nouira, 2021. "The costs and benefits of reinsurance," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 46(2), pages 177-199, April.
  11. Georges Dionne & Ying Liu, 2021. "Effects of Insurance Incentives on Road Safety: Evidence from a Natural Experiment in China," Scandinavian Journal of Economics, Wiley Blackwell, vol. 123(2), pages 453-477, April.
  12. Dionne, Georges & Desjardins, Denise & Angers, Jean-François, 2020. "Sécurité routière des flottes et des conducteurs de véhicules lourds," L'Actualité Economique, Société Canadienne de Science Economique, vol. 96(3), pages 383-429, Septembre.
  13. Ambler, Steve & Dionne, Georges & Fortin, Bernard, 2020. "50 années de L'Actualité Économique : Un florilège de ses meilleurs articles," L'Actualité Economique, Société Canadienne de Science Economique, vol. 96(4), pages 459-461, Décembre.
  14. Georges Dionne & Xiaozhou Zhou, 2020. "The dynamics of ex-ante weighted spread: an empirical analysis," Quantitative Finance, Taylor & Francis Journals, vol. 20(4), pages 593-617, April.
  15. Georges Dionne & Olfa Maalaoui Chun & Thouraya Triki, 2019. "The governance of risk management: The importance of directors’ independence and financial knowledge," Risk Management and Insurance Review, American Risk and Insurance Association, vol. 22(3), pages 247-277, September.
  16. Dionne, Georges & Gueyie, Jean-Pierre & Mnasri, Mohamed, 2018. "Dynamic corporate risk management: Motivations and real implications," Journal of Banking & Finance, Elsevier, vol. 95(C), pages 97-111.
  17. Angers, Jean-François & Desjardins, Denise & Dionne, Georges & Guertin, François, 2018. "Modelling And Estimating Individual And Firm Effects With Count Panel Data," ASTIN Bulletin, Cambridge University Press, vol. 48(3), pages 1049-1078, September.
  18. Georges Dionne & Denise Desjardins & Martin Lebeau & Stéphane Messier & André Dascal, 2018. "Health Care Workers’ Risk Perceptions and Willingness to Report for Work during an Influenza Pandemic," Risks, MDPI, vol. 6(1), pages 1-18, February.
  19. Dionne, Georges & Mnasri, Mohamed, 2018. "Real implications of corporate risk management : Review of main results and new evidence from a different methodology," L'Actualité Economique, Société Canadienne de Science Economique, vol. 94(4), pages 407-452, Décembre.
  20. Georges Dionne & Sara Malekan, 2017. "Optimal Form of Retention for Securitized Loans under Moral Hazard," Risks, MDPI, vol. 5(4), pages 1-13, October.
  21. Mnasri, Mohamed & Dionne, Georges & Gueyie, Jean-Pierre, 2017. "The use of nonlinear hedging strategies by US oil producers: Motivations and implications," Energy Economics, Elsevier, vol. 63(C), pages 348-364.
  22. Georges Dionne & Marc Santugini, 2015. "Production Flexibility and Hedging," Risks, MDPI, vol. 3(4), pages 1-10, December.
  23. Georges Dionne & Mélissa La Haye & Anne-Sophie Bergerès, 2015. "Does asymmetric information affect the premium in mergers and acquisitions?," Canadian Journal of Economics, Canadian Economics Association, vol. 48(3), pages 819-852, August.
  24. Dionne, Georges & Pacurar, Maria & Zhou, Xiaozhou, 2015. "Liquidity-adjusted Intraday Value at Risk modeling and risk management: An application to data from Deutsche Börse," Journal of Banking & Finance, Elsevier, vol. 59(C), pages 202-219.
  25. Bergerès, Anne-Sophie & d'Astous, Philippe & Dionne, Georges, 2015. "Is there any dependence between consumer credit line utilization and default probability on a term loan? Evidence from bank-customer data," Journal of Empirical Finance, Elsevier, vol. 33(C), pages 276-286.
  26. Dionne, Georges & Li, Jingyuan, 2014. "When can expected utility handle first-order risk aversion?," Journal of Economic Theory, Elsevier, vol. 154(C), pages 403-422.
  27. Dionne, Georges & Santugini, Marc, 2014. "Entry, imperfect competition, and futures market for the input," International Journal of Industrial Organization, Elsevier, vol. 35(C), pages 70-83.
  28. Malekan, Sara & Dionne, Georges, 2014. "Securitization and optimal retention under moral hazard," Journal of Mathematical Economics, Elsevier, vol. 55(C), pages 74-85.
  29. Chun, Olfa Maalaoui & Dionne, Georges & François, Pascal, 2014. "Detecting Regime Shifts in Credit Spreads," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 49(5-6), pages 1339-1364, December.
  30. Dionne, Georges & Li, Jingyuan, 2014. "Comparative Ross risk aversion in the presence of mean dependent risks," Journal of Mathematical Economics, Elsevier, vol. 51(C), pages 128-135.
  31. Maalaoui Chun, Olfa & Dionne, Georges & François, Pascal, 2014. "Credit spread changes within switching regimes," Journal of Banking & Finance, Elsevier, vol. 49(C), pages 41-55.
  32. Georges Dionne & Casey Rothschild, 2014. "Economic Effects of Risk Classification Bans," The Geneva Risk and Insurance Review, Palgrave Macmillan;International Association for the Study of Insurance Economics (The Geneva Association), vol. 39(2), pages 184-221, September.
  33. J. David Cummins & Georges Dionne, 2014. "Introduction: Symposium on Convergence, Interconnectedness, and Crises: Insurance and Banking," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 81(3), pages 473-476, September.
  34. Georges Dionne & Geneviève Gauthier & Nadia Ouertani, 2013. "Risk Management of Nonstandard Basket Options with Different Underlying Assets," Journal of Futures Markets, John Wiley & Sons, Ltd., vol. 33(4), pages 299-326, April.
  35. Georges Dionne & Olfa Maalaoui Chun, 2013. "Presidential Address: Default and liquidity regimes in the bond market during the 2002–2012 period," Canadian Journal of Economics/Revue canadienne d'économique, John Wiley & Sons, vol. 46(4), pages 1160-1195, November.
  36. Georges Dionne & Pierre-Carl Michaud & Maki Dahchour, 2013. "Separating Moral Hazard From Adverse Selection And Learning In Automobile Insurance: Longitudinal Evidence From France," Journal of the European Economic Association, European Economic Association, vol. 11(4), pages 897-917, August.
  37. Georges Dionne & Kili Wang, 2013. "Does insurance fraud in automobile theft insurance fluctuate with the business cycle?," Journal of Risk and Uncertainty, Springer, vol. 47(1), pages 67-92, August.
  38. Shady Aboul-Enein & Georges Dionne & Nicolas Papageorgiou, 2013. "Performance analysis of a collateralized fund obligation (CFO) equity tranche," The European Journal of Finance, Taylor & Francis Journals, vol. 19(6), pages 518-553, July.
  39. Dionne, Georges & Michaud, Pierre-Carl & Pinquet, Jean, 2013. "A review of recent theoretical and empirical analyses of asymmetric information in road safety and automobile insurance," Research in Transportation Economics, Elsevier, vol. 43(1), pages 85-97.
  40. Georges Dionne & Olfa Maalaoui Chun, 2013. "Default and liquidity regimes in the bond market during the 2002-2012 period," Canadian Journal of Economics, Canadian Economics Association, vol. 46(4), pages 1160-1195, November.
  41. Georges Dionne & Thouraya Triki, 2013. "On risk management determinants: what really matters?," The European Journal of Finance, Taylor & Francis Journals, vol. 19(2), pages 145-164, February.
  42. Bourgeon, Jean-Marc & Dionne, Georges, 2013. "On debt service and renegotiation when debt-holders are more strategic," Journal of Financial Intermediation, Elsevier, vol. 22(3), pages 353-372.
  43. Georges Dionne, 2013. "Risk Management: History, Definition, and Critique," Risk Management and Insurance Review, American Risk and Insurance Association, vol. 16(2), pages 147-166, September.
  44. Dionne, Georges & Laajimi, Sadok, 2012. "On the determinants of the implied default barrier," Journal of Empirical Finance, Elsevier, vol. 19(3), pages 395-408.
  45. Dionne, Georges & Ouederni, Karima, 2011. "Corporate risk management and dividend signaling theory," Finance Research Letters, Elsevier, vol. 8(4), pages 188-195.
  46. Georges Dionne, 2011. "2011 Editor Report," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 78(4), pages 1033-1042, December.
  47. Georges Dionne, 2011. "The Theory of Corporate Finance, by Jean Tirole," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 78(3), pages 791-793, September.
  48. Georges Dionne & Jean Pinquet & Mathieu Maurice & Charles Vanasse, 2011. "Incentive Mechanisms for Safe Driving: A Comparative Analysis with Dynamic Data," The Review of Economics and Statistics, MIT Press, vol. 93(1), pages 218-227, February.
  49. Dionne, Georges & Li, Jingyuan, 2011. "The impact of prudence on optimal prevention revisited," Economics Letters, Elsevier, vol. 113(2), pages 147-149.
  50. Dionne, Georges & Gauthier, Geneviève & Hammami, Khemais & Maurice, Mathieu & Simonato, Jean-Guy, 2011. "A reduced form model of default spreads with Markov-switching macroeconomic factors," Journal of Banking & Finance, Elsevier, vol. 35(8), pages 1984-2000, August.
  51. Georges Dionne & Genevieve Gauthier & Nadia Ouertani & Nabil Tahani, 2011. "Heterogeneous Basket Options Pricing Using Analytical Approximations," Multinational Finance Journal, Multinational Finance Journal, vol. 15(1-2), pages 47-85, March - J.
  52. Dahen, Hela & Dionne, Georges, 2010. "Scaling models for the severity and frequency of external operational loss data," Journal of Banking & Finance, Elsevier, vol. 34(7), pages 1484-1496, July.
  53. Georges Dionne, 2010. "Introduction to the 2010 Special Issue of JRI on Health Insurance," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 77(1), pages 1-3, March.
  54. Georges Dionne & Geneviève Gauthier & Khemais Hammami & Mathieu Maurice & Jean‐Guy Simonato, 2010. "Default Risk in Corporate Yield Spreads," Financial Management, Financial Management Association International, vol. 39(2), pages 707-731, June.
  55. Dionne, Georges & Lebeau, Martin, 2010. "Le calcul de la valeur statistique d’une vie humaine," L'Actualité Economique, Société Canadienne de Science Economique, vol. 86(4), pages 487-530, décembre.
  56. Georges Dionne & Pascal St-Amour & Désiré Vencatachellum, 2009. "Asymmetric Information and Adverse Selection in Mauritian Slave Auctions," The Review of Economic Studies, Review of Economic Studies Ltd, vol. 76(4), pages 1269-1295.
  57. Bellavance, Franois & Dionne, Georges & Lebeau, Martin, 2009. "The value of a statistical life: A meta-analysis with a mixed effects regression model," Journal of Health Economics, Elsevier, vol. 28(2), pages 444-464, March.
  58. Georges Dionne & Florence Giuliano & Pierre Picard, 2009. "Optimal Auditing with Scoring: Theory and Application to Insurance Fraud," Management Science, INFORMS, vol. 55(1), pages 58-70, January.
  59. Dionne, Georges & Duchesne, Pierre & Pacurar, Maria, 2009. "Intraday Value at Risk (IVaR) using tick-by-tick data with application to the Toronto Stock Exchange," Journal of Empirical Finance, Elsevier, vol. 16(5), pages 777-792, December.
  60. J. David Cummins & Georges Dionne, 2009. "Introduction to the SCOR‐JRI Special Issue on New Forms of Risk Financing and Risk Engineering," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 76(3), pages 459-462, September.
  61. J. Cummins & Georges Dionne & Robert Gagné & A. Nouira, 2009. "Efficiency of insurance firms with endogenous risk management and financial intermediation activities," Journal of Productivity Analysis, Springer, vol. 32(2), pages 145-159, October.
  62. Georges Dionne, 2009. "Introduction to the Special Issue on Long‐Term Care Insurance and Health Insurance," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 76(1), pages 1-4, March.
  63. Chakroun, Oussama & Dionne, Georges & Dugas-Sampara, Amélie, 2008. "Empirical evaluation of the asset-allocation puzzle," Economics Letters, Elsevier, vol. 100(2), pages 304-307, August.
  64. Cummins, J. David & Dionne, Georges, 2008. "Dynamics of insurance markets: Structure, conduct, and performance in the 21st century," Journal of Banking & Finance, Elsevier, vol. 32(1), pages 1-3, January.
  65. Boubakri, Narjess & Dionne, Georges & Triki, Thouraya, 2008. "Consolidation and value creation in the insurance industry: The role of governance," Journal of Banking & Finance, Elsevier, vol. 32(1), pages 56-68, January.
  66. Georges Dionne & Claude Fluet & Denise Desjardins, 2007. "Predicted risk perception and risk-taking behavior: The case of impaired driving," Journal of Risk and Uncertainty, Springer, vol. 35(3), pages 237-264, December.
  67. Georges Dionne & Benoit Dostie, 2007. "New Evidence on the Determinants of Absenteeism Using Linked Employer-Employee Data," ILR Review, Cornell University, ILR School, vol. 61(1), pages 108-120, October.
  68. Kais Dachraoui & Georges Dionne, 2007. "Conditions Ensuring the Decomposition of Asset Demand for All Risk-Averse Investors," The European Journal of Finance, Taylor & Francis Journals, vol. 13(5), pages 397-404.
  69. Angers, Jean-François & Desjardins, Denise & Dionne, Georges & Guertin, François, 2006. "Vehicle and Fleet Random Effects in a Model of Insurance Rating for Fleets of Vehicles," ASTIN Bulletin, Cambridge University Press, vol. 36(1), pages 25-77, May.
  70. Yves Alarie & Georges Dionne, 2006. "Lottery qualities," Journal of Risk and Uncertainty, Springer, vol. 32(3), pages 195-216, May.
  71. Georges Dionne & Olfa Ghali, 2005. "The (1992) Bonus‐Malus System in Tunisia: An Empirical Evaluation," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 72(4), pages 609-633, December.
  72. Georges Dionne & Paul Lanoie, 2004. "Public Choice about the Value of a Statistical Life for Cost-Benefit Analyses: The Case of Road Safety," Journal of Transport Economics and Policy, University of Bath, vol. 38(2), pages 247-274, May.
  73. Kaïs Dachraoui & Georges Dionne & Louis Eeckhoudt & Philippe Godfroid, 2004. "Comparative Mixed Risk Aversion: Definition and Application to Self-Protection and Willingness to Pay," Journal of Risk and Uncertainty, Springer, vol. 29(3), pages 261-276, December.
  74. Alarie, Yves & Dionne, Georges, 2004. "Utility of Gains and Losses: Measurement-Theoretical and Experimental Approaches: R. Duncan Luce, Lawrence Erlbaum Associates, Mahwah, NJ, USA, 1999, 331 pp., Author Index, Subject Index, US$ 59.95, I," Journal of Economic Behavior & Organization, Elsevier, vol. 54(1), pages 133-136, May.
  75. Angers, Jean-François & Desjardins, Denise & Dionne, Georges, 2004. "Modèle Bayésien de tarification de l’assurance des flottes de véhicules," L'Actualité Economique, Société Canadienne de Science Economique, vol. 80(2), pages 253-303, Juin-Sept.
  76. Dionne, Georges & Garand, Martin, 2003. "Risk management determinants affecting firms' values in the gold mining industry: new empirical results," Economics Letters, Elsevier, vol. 79(1), pages 43-52, April.
  77. Dionne, Georges & Spaeter, Sandrine, 2003. "Environmental risk and extended liability: The case of green technologies," Journal of Public Economics, Elsevier, vol. 87(5-6), pages 1025-1060, May.
  78. Dionne, Georges & Gagne, Robert, 2002. "Replacement Cost Endorsement and Opportunistic Fraud in Automobile Insurance," Journal of Risk and Uncertainty, Springer, vol. 24(3), pages 213-230, May.
  79. Dachraoui, Kais & Dionne, Georges, 2001. "Stochastic dominance and optimal portfolio," Economics Letters, Elsevier, vol. 71(3), pages 347-354, June.
  80. Desjardins, Denise & Dionne, Georges & Pinquet, Jean, 2001. "Experience Rating Schemes for Fleets of Vehicles," ASTIN Bulletin, Cambridge University Press, vol. 31(1), pages 81-105, May.
  81. Georges Dionne & Christian Gourieroux & Charles Vanasse, 2001. "Testing for Evidence of Adverse Selection in the Automobile Insurance Market: A Comment," Journal of Political Economy, University of Chicago Press, vol. 109(2), pages 444-473, April.
  82. Georges Dionne & Robert Gagné, 2001. "Deductible Contracts Against Fraudulent Claims: Evidence From Automobile Insurance," The Review of Economics and Statistics, MIT Press, vol. 83(2), pages 290-301, May.
  83. Alarie, Yves & Dionne, Georges, 2001. "Lottery Decisions and Probability Weighting Function," Journal of Risk and Uncertainty, Springer, vol. 22(1), pages 21-33, January.
  84. Georges Dionne & Marie-Gloriose Ingabire, 2001. "Diffidence Theorem, State-Dependent Preferences, and DARA*," The Geneva Risk and Insurance Review, Palgrave Macmillan;International Association for the Study of Insurance Economics (The Geneva Association), vol. 26(2), pages 139-154, September.
  85. Bruno Jullien & Georges Dionne & Bernard Caillaud, 2000. "Corporate insurance with optimal financial contracting," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), vol. 16(1), pages 77-105.
  86. Georges Dionne & Claude Fluet, 2000. "original papers : Full pooling in multi-period contracting with adverse selection and noncommitment," Review of Economic Design, Springer;Society for Economic Design, vol. 5(1), pages 1-21.
  87. El Bachir Belhadji & George Dionne & Faouzi Tarkhani, 2000. "A Model for the Detection of Insurance Fraud*," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 25(4), pages 517-538, October.
  88. Dionne, Georges & Laberge-Nadeau, Claire & Maag, Urs & Desjardins, Denise & Messier, Stéphane, 1999. "Analyse de l’effet des règles d’obtention d’un permis de conduire au Québec (1991) sur la sécurité routière," L'Actualité Economique, Société Canadienne de Science Economique, vol. 75(1), pages 269-332, mars-juin.
  89. Dionne, Georges & Gagne, Robert & Vanasse, Charles, 1998. "Inferring technological parameters from incomplete panel data," Journal of Econometrics, Elsevier, vol. 87(2), pages 303-327, September.
  90. Dionne, Georges, 1998. "La mesure empirique des problèmes d’information," L'Actualité Economique, Société Canadienne de Science Economique, vol. 74(4), pages 585-606, décembre.
  91. Dionne, Georges & Vanasse, Charles, 1997. "Une évaluation empirique de la nouvelle tarification de l’assurance automobile (1992) au Québec," L'Actualité Economique, Société Canadienne de Science Economique, vol. 73(1), pages 47-80, mars-juin.
  92. Dionne, Georges & Gagne, Robert & Gagnon, Francois & Vanasse, Charles, 1997. "Debt, moral hazard and airline safety An empirical evidence," Journal of Econometrics, Elsevier, vol. 79(2), pages 379-402, August.
  93. Dionne, Georges & Fombaron, Nathalie, 1996. "Non-convexities and the efficiency of equilibria in insurance markets with asymmetric information," Economics Letters, Elsevier, vol. 52(1), pages 31-40, July.
  94. Dionne, Georges & Artis, Manuel & Guillen, Montserrat, 1996. "Count data models for a credit scoring system," Journal of Empirical Finance, Elsevier, vol. 3(3), pages 303-325, September.
  95. Dionne, Georges & Gollier, Christian, 1996. "A Model of Comparative Statics for Changes in Stochastic Returns with Dependent Risky Assets," Journal of Risk and Uncertainty, Springer, vol. 13(2), pages 147-162, September.
  96. Georges Dionne & Robert Gagné, 1996. "Progrès technique et croissance de la productivité : estimations sur un panel incomplet de firmes ayant des qualités de production différentes," Économie et Prévision, Programme National Persée, vol. 126(5), pages 63-76.
  97. Georges Dionne & Tahar Mounsif, 1996. "Investment Under Demand Uncertainty: The Newsboy Problem Revisited," The Geneva Risk and Insurance Review, Palgrave Macmillan;International Association for the Study of Insurance Economics (The Geneva Association), vol. 21(2), pages 179-189, December.
  98. Dionne, Georges & Viala, Pascale, 1994. "Moral hazard, renegotiation and debt," Economics Letters, Elsevier, vol. 46(2), pages 113-119, October.
  99. Dionne, Georges & Doherty, Neil A, 1994. "Adverse Selection, Commitment, and Renegotiation: Extension to and Evidence from Insurance Markets," Journal of Political Economy, University of Chicago Press, vol. 102(2), pages 209-235, April.
  100. Doherty, Neil A & Dionne, Georges, 1993. "Insurance with Undiversifiable Risk: Contract Structure and Organizational Form of Insurance Firms," Journal of Risk and Uncertainty, Springer, vol. 6(2), pages 187-203, April.
  101. Dionne, Georges & Eeckhoudt, Louis & Gollier, Christian, 1993. "Increases in Risk and Linear Payoffs," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, vol. 34(2), pages 309-319, May.
  102. Dionne, Georges & Gagné, Robert, 1993. "Rendements d’échelle, progrès technique et croissance de la productivité dans les industries québécoise et ontarienne de transport par camion, 1981-1988," L'Actualité Economique, Société Canadienne de Science Economique, vol. 69(3), pages 139-159, septembre.
  103. Dionne, Georges & Eeckhoudt, Louis & Gollier, Christian, 1993. "Relatively weak increases in risk and their comparative statics," Economics Letters, Elsevier, vol. 41(3), pages 269-272.
  104. Dionne, G & Vanasse, C, 1992. "Automobile Insurance Ratemaking in the Presence of Asymmetrical Information," Journal of Applied Econometrics, John Wiley & Sons, Ltd., vol. 7(2), pages 149-165, April-Jun.
  105. Georges Dionne & Christian Gollier, 1992. "Comparative Statics Under Multiple Sources of Risk with Applications to Insurance Demand," The Geneva Risk and Insurance Review, Palgrave Macmillan;International Association for the Study of Insurance Economics (The Geneva Association), vol. 17(1), pages 21-33, June.
  106. Boyer, Marcel & Dionne, Georges & Vanasse, Charles, 1991. "Infractions au Code de la sécurité routière, infractions au Code criminel et gestion optimale de la sécurité routière," L'Actualité Economique, Société Canadienne de Science Economique, vol. 67(3), pages 279-305, septembre.
  107. Dionne, Georges & St-Michel, Pierre, 1991. "Workers' Compensation and Moral Hazard," The Review of Economics and Statistics, MIT Press, vol. 73(2), pages 236-244, May.
  108. Georges Dionne, 1990. "Drèze's Essays on Economic Decisions under Uncertainty," The Geneva Risk and Insurance Review, Palgrave Macmillan;International Association for the Study of Insurance Economics (The Geneva Association), vol. 15(2), pages 193-202, September.
  109. Cummins, J. David & Dionne, Georges & McDonald, James B. & Pritchett, B. Michael, 1990. "Applications of the GB2 family of distributions in modeling insurance loss processes," Insurance: Mathematics and Economics, Elsevier, vol. 9(4), pages 257-272, December.
  110. Marcel Boyer & Georges Dionne, 1989. "More on Insurance, Protection, and Risk," Canadian Journal of Economics, Canadian Economics Association, vol. 22(1), pages 202-204, February.
  111. Briys, Eric & Dionne, Georges & Eeckhoudt, Louis, 1989. "More on Insurance as a Giffen Good," Journal of Risk and Uncertainty, Springer, vol. 2(4), pages 415-420, December.
  112. Dionne, Georges & Vanasse, Charles, 1989. "A Generalization of Automobile Insurance Rating Models: The Negative Binomial Distribution with a Regression Component," ASTIN Bulletin, Cambridge University Press, vol. 19(2), pages 199-212, November.
  113. Boyer, Marcel & Dionne, Georges, 1989. "An Empirical Analysis of Moral Hazard and Experience Rating," The Review of Economics and Statistics, MIT Press, vol. 71(1), pages 128-134, February.
  114. Sylvain Belisle & Georges Dionne, 1988. "Accessibilite aux ressources et demande de revascularisation du myocarde. (Accessibility to Resources and Demand of Heart Revascularization. With English summary.)," Canadian Journal of Economics, Canadian Economics Association, vol. 21(1), pages 129-145, February.
  115. Gagné, Robert & Dionne, Georges, 1988. "Qu’en est-il des rendements d’échelle dans les industries québécoises et ontariennes de transport par camion?," L'Actualité Economique, Société Canadienne de Science Economique, vol. 64(3), pages 380-395, septembre.
  116. Dionne, Georges, 1987. "Essays on Economic Decisions Under Uncertainty, par JACQUES H. DRÈZE. — Cambridge University Press, 1987, 424 p," L'Actualité Economique, Société Canadienne de Science Economique, vol. 63(2), pages 282-289, juin et s.
  117. Dionne, Georges & Pellerin, Marc, 1987. "Investissement en incertitude : extension du problème de la taille optimale d’une usine," L'Actualité Economique, Société Canadienne de Science Economique, vol. 63(2), pages 256-281, juin et s.
  118. Dionne, Georges & Langlois, Alain & Lemire, Nicole, 1987. "More on the geographical distribution of physicians," Journal of Health Economics, Elsevier, vol. 6(4), pages 365-374, December.
  119. Boyer, Marcel & Dionne, Georges, 1987. "The economics of road safety," Transportation Research Part B: Methodological, Elsevier, vol. 21(5), pages 413-431, October.
  120. Dionne, Georges, 1987. "Incertain et information : où en sommes-nous trente-cinq ans après le Colloque de Paris?," L'Actualité Economique, Société Canadienne de Science Economique, vol. 63(2), pages 5-39, juin et s.
  121. Marcel Boyer & Georges Dionne, 1987. "Description and Analysis of the Quebec Automobile Insurance Plan," Canadian Public Policy, University of Toronto Press, vol. 13(2), pages 181-195, June.
  122. Dionne, Georges & Lasserre, Pierre, 1987. "Adverse selection and finite-horizon insurance contracts," European Economic Review, Elsevier, vol. 31(4), pages 843-861, June.
  123. Marcel Boyer & Georges Dionne, 1986. "La tarification de l'assurance automobile et les incitations à la sécurité routière: Une étude empirique," Swiss Journal of Economics and Statistics (SJES), Swiss Society of Economics and Statistics (SSES), vol. 122(III), pages 293-321, September.
  124. Dionne, Georges & Eeckhoudt, Louis, 1985. "Self-insurance, self-protection and increased risk aversion," Economics Letters, Elsevier, vol. 17(1-2), pages 39-42.
  125. Tessier, G. & Contandriopoulos, A. P. & Dionne, G., 1985. "Patient mobility for elective surgical interventions," Social Science & Medicine, Elsevier, vol. 20(12), pages 1307-1312, January.
  126. Dionne, Georges & Contandriopoulos, Andre-Pierre, 1985. "Doctors and their workshops : A review article," Journal of Health Economics, Elsevier, vol. 4(1), pages 21-33, March.
  127. Georges Dionne & Pierre Lasserre, 1985. "Adverse Selection, Repeated Insurance Contracts and Announcement Strategy," The Review of Economic Studies, Review of Economic Studies Ltd, vol. 52(4), pages 719-723.
  128. Marcel Boyer & Georges Dionne, 1985. "Securite routiere: responsabilite pour negligence et tarification. Road Safety: Liability for Negligence and Pricing. With English summary.)," Canadian Journal of Economics, Canadian Economics Association, vol. 18(4), pages 814-830, November.
  129. Boyer, Marcel & Dionne, Georges, 1984. "Sécurité routière : efficacité, subvention et réglementation," L'Actualité Economique, Société Canadienne de Science Economique, vol. 60(2), pages 200-222, juin.
  130. Dionne, Georges, 1984. "Search and Insurance," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, vol. 25(2), pages 357-367, June.
  131. Dionne, Georges & Eeckhoudt, Louis, 1984. "Insurance and saving: some further results," Insurance: Mathematics and Economics, Elsevier, vol. 3(2), pages 101-110, April.
  132. Contandriopoulos, A. P. & Dionne, G. & Tessier, G., 1983. "La mobilité des patients et les modèles de création de demande : le cas du Québec," L'Actualité Economique, Société Canadienne de Science Economique, vol. 59(4), pages 729-752, décembre.
  133. Marcel Boyer & Georges Dionne, 1983. "Variations in the Probability and Magnitude of Loss: Their Impact on Risk," Canadian Journal of Economics, Canadian Economics Association, vol. 16(3), pages 411-419, August.
  134. Boyer, Marcel & Dionne, Georges, 1983. "Riscophobie et étalement à moyenne constante : analyse et applications," L'Actualité Economique, Société Canadienne de Science Economique, vol. 59(2), pages 208-229, juin.
  135. Dionne, Georges, 1981. "Le risque moral et la sélection adverse : une revue critique de la littérature," L'Actualité Economique, Société Canadienne de Science Economique, vol. 57(2), pages 193-224, avril-jui.
  136. Dionne, Georges, 1980. "Analyse des effets de l’assurance et de la relation de confiance consommateur-producteur sur les possibilités d’abus des chirurgiens," L'Actualité Economique, Société Canadienne de Science Economique, vol. 56(2), pages 211-238, avril-jui.
  137. Georges Dionne, 1980. "The effects of unemployment benefits on U.S. unemployment rates: A comment," Review of World Economics (Weltwirtschaftliches Archiv), Springer;Institut für Weltwirtschaft (Kiel Institute for the World Economy), vol. 116(3), pages 576-576, September.

Books

  1. Georges Dionne (ed.), 2013. "Handbook of Insurance," Springer Books, Springer, edition 2, number 978-1-4614-0155-1, November.

Editorship

  1. Working Papers, HEC Montreal, Canada Research Chair in Risk Management.

More information

Research fields, statistics, top rankings, if available.

Statistics

Access and download statistics for all items

Rankings

This author is among the top 5% authors according to these criteria:
  1. Average Rank Score
  2. Number of Works
  3. Number of Distinct Works
  4. Number of Distinct Works, Weighted by Simple Impact Factor
  5. Number of Distinct Works, Weighted by Recursive Impact Factor
  6. Number of Distinct Works, Weighted by Number of Authors
  7. Number of Distinct Works, Weighted by Number of Authors and Simple Impact Factors
  8. Number of Distinct Works, Weighted by Number of Authors and Recursive Impact Factors
  9. Number of Citations
  10. Number of Citations, Discounted by Citation Age
  11. Number of Citations, Weighted by Simple Impact Factor
  12. Number of Citations, Weighted by Recursive Impact Factor
  13. Number of Citations, Weighted by Number of Authors
  14. Number of Citations, Weighted by Number of Authors, Discounted by Citation Age
  15. Number of Citations, Weighted by Number of Authors and Simple Impact Factors
  16. Number of Citations, Weighted by Number of Authors and Simple Impact Factors, Discounted by Citation Age
  17. Number of Citations, Weighted by Number of Authors and Recursive Impact Factors
  18. h-index
  19. Number of Registered Citing Authors
  20. Number of Registered Citing Authors, Weighted by Rank (Max. 1 per Author)
  21. Number of Journal Pages
  22. Number of Journal Pages, Weighted by Simple Impact Factor
  23. Number of Journal Pages, Weighted by Recursive Impact Factor
  24. Number of Journal Pages, Weighted by Number of Authors
  25. Number of Journal Pages, Weighted by Number of Authors and Simple Impact Factors
  26. Number of Journal Pages, Weighted by Number of Authors and Recursive Impact Factors
  27. Number of Abstract Views in RePEc Services over the past 12 months
  28. Number of Downloads through RePEc Services over the past 12 months
  29. Number of Abstract Views in RePEc Services over the past 12 months, Weighted by Number of Authors
  30. Number of Downloads through RePEc Services over the past 12 months, Weighted by Number of Authors
  31. Closeness measure in co-authorship network
  32. Betweenness measure in co-authorship network
  33. Breadth of citations across fields
  34. Wu-Index
  35. Record of graduates

Co-authorship network on CollEc

NEP Fields

NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 115 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.
  1. NEP-RMG: Risk Management (48) 2003-08-17 2004-01-05 2004-08-16 2005-06-14 2005-12-20 2006-05-13 2006-05-20 2006-08-19 2006-11-25 2007-04-09 2007-06-11 2007-06-18 2007-09-24 2008-08-31 2009-02-28 2009-04-18 2009-11-07 2010-02-27 2010-03-28 2011-04-16 2011-08-02 2013-03-23 2013-04-27 2013-09-06 2013-11-02 2014-03-22 2015-09-11 2015-12-20 2016-06-14 2016-07-09 2017-03-26 2017-04-09 2017-04-09 2018-05-21 2018-07-09 2018-08-27 2019-03-25 2019-05-20 2019-06-17 2021-01-25 2021-02-22 2022-06-20 2022-12-05 2022-12-05 2023-03-27 2023-06-19 2023-11-20 2024-03-11. Author is listed
  2. NEP-IAS: Insurance Economics (32) 2001-10-22 2001-10-22 2001-10-22 2001-10-29 2003-04-21 2003-08-17 2004-09-05 2006-05-20 2006-06-24 2006-11-25 2007-06-11 2007-06-18 2007-10-13 2007-10-20 2008-08-31 2009-11-07 2010-10-02 2011-08-29 2011-11-28 2012-09-09 2012-09-09 2012-09-09 2013-03-23 2014-07-13 2015-05-22 2017-03-26 2017-04-09 2020-06-29 2021-02-22 2021-03-01 2021-04-26 2022-06-20. Author is listed
  3. NEP-BEC: Business Economics (16) 2004-10-21 2005-06-27 2005-12-20 2006-05-13 2006-05-20 2006-06-24 2006-08-19 2006-11-25 2008-08-14 2008-08-31 2010-02-27 2011-08-02 2011-08-29 2012-03-28 2016-07-09 2019-05-20. Author is listed
  4. NEP-CTA: Contract Theory and Applications (15) 2009-03-28 2009-09-26 2009-11-07 2010-02-27 2010-03-28 2010-10-02 2011-11-28 2012-04-23 2012-09-09 2012-09-09 2012-09-09 2014-07-13 2015-12-20 2016-07-09 2024-01-01. Author is listed
  5. NEP-CFN: Corporate Finance (13) 2001-11-01 2003-04-13 2004-01-05 2004-08-16 2004-09-05 2006-05-13 2006-08-19 2009-04-18 2010-02-27 2019-03-25 2019-05-20 2021-01-25 2023-11-20. Author is listed
  6. NEP-FIN: Finance (12) 2001-10-29 2003-04-13 2004-01-05 2004-08-09 2005-06-14 2005-12-09 2005-12-20 2006-02-19 2006-05-13 2006-05-20 2006-08-19 2006-10-28. Author is listed
  7. NEP-FMK: Financial Markets (12) 2004-05-02 2005-06-14 2005-12-09 2005-12-20 2006-05-13 2006-05-20 2006-08-19 2008-08-31 2009-09-26 2018-07-09 2019-11-18 2024-03-11. Author is listed
  8. NEP-UPT: Utility Models and Prospect Theory (10) 2006-05-20 2006-10-28 2010-12-23 2011-04-16 2012-02-20 2012-03-28 2012-06-25 2017-04-09 2019-03-25 2023-08-14. Author is listed
  9. NEP-HEA: Health Economics (8) 2003-04-21 2006-03-25 2007-04-09 2011-11-28 2012-09-09 2012-09-09 2014-05-04 2017-04-09. Author is listed
  10. NEP-MST: Market Microstructure (8) 2014-03-22 2015-01-03 2016-01-29 2016-11-20 2016-12-11 2019-06-17 2021-08-09 2022-12-05. Author is listed
  11. NEP-BAN: Banking (7) 2007-09-24 2007-10-13 2010-03-28 2010-11-27 2011-08-02 2012-04-23 2014-03-22. Author is listed
  12. NEP-COM: Industrial Competition (7) 2006-06-24 2010-03-28 2012-03-28 2017-04-09 2023-03-20 2024-01-01 2024-03-11. Author is listed
  13. NEP-MIC: Microeconomics (6) 2001-10-29 2003-04-21 2004-09-05 2010-11-27 2012-02-20 2012-09-09. Author is listed
  14. NEP-ACC: Accounting and Auditing (5) 2001-10-29 2004-08-16 2005-06-14 2006-05-13 2019-05-20. Author is listed
  15. NEP-LAB: Labour Economics (5) 2001-10-29 2006-11-25 2007-06-11 2007-06-18 2008-08-14. Author is listed
  16. NEP-ENE: Energy Economics (4) 2013-04-27 2013-11-02 2022-12-05 2023-06-19
  17. NEP-HIS: Business, Economic and Financial History (4) 2013-01-19 2013-03-23 2017-04-09 2024-03-11
  18. NEP-TRE: Transport Economics (4) 2015-05-22 2017-03-26 2021-03-01 2021-04-26
  19. NEP-ECM: Econometrics (3) 2007-06-11 2009-06-03 2015-05-22
  20. NEP-EFF: Efficiency and Productivity (3) 2006-05-20 2006-11-25 2007-06-11
  21. NEP-HPE: History and Philosophy of Economics (3) 2013-01-19 2017-04-09 2024-03-11
  22. NEP-CBE: Cognitive and Behavioural Economics (2) 2005-05-07 2006-05-20
  23. NEP-CMP: Computational Economics (2) 2005-12-20 2021-08-09
  24. NEP-CWA: Central and Western Asia (2) 2021-01-25 2021-08-09
  25. NEP-EXP: Experimental Economics (2) 2005-05-07 2017-03-26
  26. NEP-FOR: Forecasting (2) 2005-12-20 2018-07-09
  27. NEP-MAC: Macroeconomics (2) 2003-04-21 2004-01-05
  28. NEP-ORE: Operations Research (2) 2021-02-22 2021-03-01
  29. NEP-REG: Regulation (2) 2006-03-25 2009-11-07
  30. NEP-URE: Urban and Real Estate Economics (2) 2017-03-26 2019-03-25
  31. NEP-CBA: Central Banking (1) 2024-03-11
  32. NEP-CDM: Collective Decision-Making (1) 2003-04-21
  33. NEP-DCM: Discrete Choice Models (1) 2013-04-27
  34. NEP-EEC: European Economics (1) 2001-10-22
  35. NEP-ENV: Environmental Economics (1) 2023-03-20
  36. NEP-FLE: Financial Literacy and Education (1) 2019-05-20
  37. NEP-IND: Industrial Organization (1) 2010-03-28
  38. NEP-KNM: Knowledge Management and Knowledge Economy (1) 2018-07-09
  39. NEP-LAW: Law and Economics (1) 2006-03-25
  40. NEP-MON: Monetary Economics (1) 2024-03-11
  41. NEP-PBE: Public Economics (1) 2007-04-09

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