Neil A. Doherty is an American economist, currently the Frederick H. Ecker Professor Emeritus of Insurance and Risk Management at Wharton School of the University of Pennsylvania.[1][2][3]

Books

Doherty's books include:

  • Corporate Risk Management: A Financial Exposition (McGraw-Hill, 1985)[4]
  • The Financial Theory of Pricing Property-Liability Insurance Contracts (with Stephen P. D'Arcy, University of Pennsylvania, 1988)[5]
  • Integrated Risk Management: Techniques and Strategies for Reducing Risk (McGraw-Hill, 2000)[6]
  • At War With the Weather: Managing Large-Scale Risks in a New Era of Catastrophes (with Howard Kunreuther, Erwann O. Michel-Kerjan, Martin F. Grace, Robert W. Klein, and Mark V. Pauly, MIT Press, 2009)[7]
  • The Known, the Unknown, and the Unknowable in Financial Risk Management: Measurement and Theory Advancing Practice (edited with Francis X. Diebold and Richard J. Herring, Princeton University Press, 2010)[8]

References

  1. "Neil A. Doherty". upenn.edu. Retrieved February 27, 2017.
  2. "Fellows". upenn.edu. Archived from the original on October 2, 2016. Retrieved February 27, 2017.
  3. "Doherty, Neil A." worldcat.org. Retrieved February 27, 2017.
  4. Reviews of Corporate Risk Management:
    • Schlesinger, Harris (September 1987), The Journal of Finance, 42 (4): 1107–1109, doi:10.2307/2328314, JSTOR 2328314{{citation}}: CS1 maint: untitled periodical (link)
    • Fields, Joseph A. (March 1988), The Journal of Risk and Insurance, 55 (1): 201, doi:10.2307/253296, JSTOR 253296{{citation}}: CS1 maint: untitled periodical (link)
  5. Reviews of The Financial Theory of Pricing Property-Liability Insurance Contracts:
  6. Review of Integrated Risk Management:
    • Scordis, Nicos A. (December 2000), The Journal of Risk and Insurance, 67 (4): 667–668, doi:10.2307/253855, JSTOR 253855{{citation}}: CS1 maint: untitled periodical (link)
  7. Review of At War With the Weather:
    • Valauskas, Edward J. (July 2009), First Monday, 14 (8), doi:10.5210/fm.v14i8.2619{{citation}}: CS1 maint: untitled periodical (link)
    • Campbell, Heather E. (Summer 2010), Journal of Policy Analysis and Management, 29 (3): 645–649, doi:10.1002/pam.20522, JSTOR 40802100{{citation}}: CS1 maint: untitled periodical (link)
    • Botzen, W. J. Wouter (March 2012), The Journal of Risk and Insurance, 79 (1): 301–304, JSTOR 41350688{{citation}}: CS1 maint: untitled periodical (link)
  8. Reviews of The Known, the Unknown, and the Unknowable in Financial Risk Management:
    • Nigbur, Tobias (October 2010), Financial Markets and Portfolio Management, 24 (4): 453–454, doi:10.1007/s11408-010-0145-7, S2CID 152589975{{citation}}: CS1 maint: untitled periodical (link)
    • Rzepczynski, Mark S. (September–October 2011), Financial Analysts Journal, 67 (5): 86–87, JSTOR 23031979{{citation}}: CS1 maint: untitled periodical (link)


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