Faculty books and publications
Many of the Center's research faculty have published books on a variety of topics surrounding our research agenda. Below is a partial listing which may be of interest.
Franklin Allen
David Babbel
Peter Capppelli
J. David Cummins
Francis X. Diebold
Neil Doherty
Patrick Harker
Richard J. Herring
Donald Keim
Paul Kleindorfer
Howard Kunreuther
Olivia S. Mitchell
Jerry Rosenbloom
Anthony M. Santomero
Allen, Franklin, R. Brealey and S. Myers, Ninth Edition of Principles of Corporate Finance New York: McGraw Hill-Irwin, 2007
Allen, Franklin and Douglas Gale, Understanding Financial Crises, Oxford University Press, 2007.
Cummins, J. David and Betrand Venard, (co-editors), Handbook of International Insurance: Between Global Dynamics and Local Contingencies, Boston, Springer, 2007.
Diebold, Francis X., Elements of Forecasting (Fourth Edition), Cincinnati, South-Western College Publishing, 2007
Litan, Robert, William Baumol and Carl Schramm, Good Capitalism, Bad Capitalism, and Economic Growth and Prosperity, Yale University Press, 2007
Metrick, Andrew, Venture Capital and the Finance of Innovation, John Wiley & Sons, 2007.
Mitchell, Olivia S., Brigitte Madrian, and Beth Soldo, Redefining Retirement, Oxford University Press, 2007.
Eighth Edition of Principles of Corporate Finance (with R. Brealey and S. Myers), NewYork: McGraw Hill-Irwin, 2005.
Franklin Allen and Douglas Gale. Financial Innovation and Risk Sharing. The MIT Press. Cambridge, MA: 1994.
Franklin Allen and Douglas Gale. Comparing Financial Systems. The MIT Press. Cambridge, MA: 1999.
Eighth Edition of Principles of Corporate Finance (with R. Brealey and S. Myers), NewYork : McGraw Hill-Irwin, 2005
David F. Babbel and Frank J. Fabozzi, eds. Investment Management for Insurers. Frank J. Fabozzi Associates. New Hope, PA: 1999.
David F. Babbel. Valuation of Interest-Sensitive Financial Instruments. Frank J. Fabozzi Associates. New Hope, PA: 1996.
David F. Babbel. Insuring Sovereign Debt Against Default. The World Bank, Office of the Publisher. Washington, DC: 1996.
Anthony M. Santomero and David F. Babbel. Financial Markets, Instruments, & Institutions. McGraw-Hill Higher Education: 1996.
Peter Cappelli, et al., eds. Change at Work. Oxford University Press. New York: 1997.
Peter Cappelli, ed. Employment Practices and Business Strategy. Oxford University Press. New York: 1999.
Peter Cappelli. The New Deal at Work: Managing the Market-Driven Workforce. Harvard Business School Press. Boston: 1999.
J. David Cummins and Anthony M. Santomero, eds. Changes in the Life Insurance Industry: Efficiency, Technology, and Risk Management. Kluwer Academic Publishers. Norwell, MA: 1999.
J. David Cummins. An Econometric Model of the Life Insurance Sector of the U. S. Economy. Lexington Books. Lexington, MA: 1974.
J. David Cummins and Scott E. Harrington. Fair Rate of Return in Property-Liability Insurance. Kluwer-Nijhoff Publishers. Boston: 1987.
J. David Cummins and Joan Lamm-Tennant, eds. Financial Management of Life Insurance Companies. Kluwer Academic Publishers. Boston: 1993.
J David Cummins and Richard A. Derrig, eds. Financial Models of Insurance Solvency. Kluwer Academic Publishers. Boston: 1989.
J. David Cummins and Steven N. Weisbart. The Impact of Consumer Services on Independent Insurance Agency Performance. IMA Education and Research Foundation. Glenmont, NY: 1977.
J. David Cummins, ed. Investment Activities of Life Insurance Companies. R. D. Irwin. Homewood, IL: 1977.
J. David Cummins and Richard A. Derrig. Managing the Insolvency Risk of Insurance Companies. Kluwer Academic Publishers. Boston: 1991.
J. David Cummins et al. Risk Classification in Life Insurance. Kluwer-Nijhoff. Boston: 1983.
J. David Cummins. Risk Based Capital: An Economic Overview. Alliance of American Insurers. Schaumburg, IL: 1992.
J. David Cummins, Scott E. Harrington and Robert W. Klein. Cycles and Crises in Property-Casualty Insurance: Causes and Implications for Public Policy. National Association of Insurance Commissioners. Kansas City, MO: 1991.
J. David Cummins. Classical Insurance Solvency Theory. State Mutual Book and Periodical Service, Limited: 1988.
J. David Cummins. Development of Life Insurance Surrender Values in the United States. S.S. Huebner Foundation for Insurance Education. Philadelphia, PA: 1973.
Francis X. Diebold. Empirical Modeling of Exchange Rate Dynamics. Springer-Verlag. New York: 1988.
Francis X. Diebold and Glenn D. Rudebusch. Business Cycles: Durations, Dynamics, and Forecasting. Princeton University Press. Princeton, NJ: 1999.
Francis X. Diebold. Elements of Forecasting. South-Western College Publishing: 1998.
Francis X. Diebold. Elements of Forecasting (Fourth Edition).
Cincinnati: South-Western College Publishing, 2007.
Francis X. Diebold, C. Bernadel, P. Cardon, J. Coche and S. Manganelli. Risk Management for Central Bank Foreign Reserves.
Frankfurt: European Central Bank, 2004.
Neil A. Doherty. Financial Theory of Pricing Property-Liability Insurance Contracts. S.S. Huebner Foundation for Insurance Education. Philadelphia, PA: 1988.
Patrick T. Harker and Stavros A. Zenios, eds. Performance of Financial Institutions. Cambridge University Press. London: July 2000.
Bruce L. Golden, Edward A. Wasil, Patrick T. Harker, eds. The Analytic Hierarchy Process: Applications and Studies. Springer-Verlag. New York, Berlin: 1989.
Patrick T. Harker. Lectures on Computation of Equilibria with Equation-Based Methods. CORE Foundation, Université Catholique de Louvain. Louvain-la-Neuve, Belgium: 1993.
Patrick T. Harker. The Service Productivity and Quality Challenge. Kluwer Academic Publishers. Dordrecht, Boston: 1995.
Richard J. Herring and Robert E. Litan. Financial Regulation in the Global Economy. Brookings Institution. Washington, D.C: 1995.
Richard J. Herring, ed. Managing Foreign Exchange Risk: Essays Commissioned in Honor of the Centenary of the Wharton School. University of Pennsylvania. Cambridge University Press. Cambridge, New York: 1983.
Richard J. Herring and Richard C. Marston. National Monetary Policies and International Financial Markets. North-Holland Pub. Co. Amsterdam, New York: 1977.
Jack M. Guttentag and Richard J. Herring. The Current Crisis in International Lending. Brookings Institution: 1985.
Jack M. Guttentag and Richard J. Herring. The Lender-of-Last Resort Function in an International Context. Princeton University International Finance Section. Department of Economics. Princeton, NJ: 1983.
Jack M. Guttentag and Richard J. Herring. Disaster Myopia in International Banking. Princeton University International Finance Section. Department of Economics. Princeton, NJ: 1986.
Donald B. Keim and W.T. Ziemba, eds. Security Market Imperfections in World Equity Markets. Cambridge University Press. Cambridge: 1999.
Alain Bensoussan, Paul R. Kleindorfer, Charles S. Tapiero, eds. Applied Stochastic Control in Econometrics and Management Science. North-Holland Pub. Co. Amsterdam, New York: 1980.
Paul R. Kleindorfer and Howard C. Kunreuther, eds. Insuring and Managing Hazardous Risks--from Seveso to Bhopal and Beyond. Springer-Verlag. Berlin, New York: 1987.
Michael A. Crew and Paul R. Kleindorfer. The Economics of Public Utility Regulation. MacMillian Press, Ltd., and MIT Press. New York: 1986.
Michael A. Crew and Paul R. Kleindorfer. Emerging Competition in Postal and Delivery Services. Kluwer Academic Publishers. Boston: 1999.
Paul R. Kleindorfer, Howard Kunreuther and Paul J. Schoemaker. Decisions Sciences: An Integrative Perspective. Cambridge University Press: 1993.
Crew, Michael A. and Paul R. Kleindorfer (eds), Regulatory and Economic Challenges in the Postal and Delivery Sector, Kluwer Academic Publishers, Boston, 2005.
Crew, Michael A. and Paul R. Kleindorfer (eds), Progress Toward Liberalization of the Postal and Delivery Sector, Springer Verlag, New York, 2006
Howard Kunreuther, Ralph Ginsberg, et al. Disaster Insurance Protection: Public Policy Lessons. Wiley Interscience. New York: 1978.
Douglas C. Dacy and Howard Kunreuther. The Economics of Natural Disasters, Implications for Federal Policy. Free Press. New York: 1969.
Paul R. Kleindorfer and Howard C. Kunreuther, eds. Insuring and Managing Hazardous Risks--From Seveso to Bhopal and Beyond. Springer-Verlag, Berlin, New York: 1987.
Howard C. Kunreuther and Mark V. Pauly. International Trade in Insurance. Irwin. Homewood, IL: 1990.
Howard Kunreuther and Richard J. Roth, Sr., eds. Paying the Price: the Status and Role of Insurance Against Natural Disasters in the United States. Joseph Henry Press. Washington, DC: 1998.
Howard C. Kunreuther and Joanne Linnerooth, et al. Risk Analysis and Decision Processes: the Siting of Liquefied Energy Gas Facilities in Four Countries. Springer-Verlag. Berlin, New York: 1983.
Howard Kunreuther and Eryl V. Lay, eds. Risk Analysis Controversy. Springer-Verlag. Berlin, New York: 1982.
Paul K. Freeman and Howard C. Kunreuther. Managing Environmental Risk Through Insurance. American Enterprise Institute and Kluwer Academic Publishers. Boston: 1997.
Paul Slovic and Howard Kunreuther, et al., eds. Risk Assessment and Risk Management. American Academy of Political and Social Science: 1996.
Howard C. Kunreuther and Rajeev Gowda, eds. Integrating Insurance and Risk Management for Hazardous Wastes. Kluwer Academic Publishers: 1990.
Douglas Easterling and Howard Kunreuther. The Dilemma of Siting a High-Level Nuclear Waster Repository. Kluwer Academic Publishers. Boston: 1995.
Paul R. Kleindorfer, Howard Kunreuther and Paul Shoemaker. Decisions Sciences: An Integrative Perspective. Cambridge University Press: 1993
Olivia S. Mitchell, ed. As the Workforce Ages: Costs, Benefits, and Policy Challenges. ILR Press, Ithaca, NY: 1993.
Olivia S. Mitchell and Sylvester J. Schiber, eds. Living with Defined Contribution Pensions: Remaking Responsibility for Retirement. Pension Research Council, Wharton School of the University of Pennsylvania: University of Pennsylvania Press. Philadelphia: 1998.
Michael S. Gordon, OIivia S. Mitchell and Marc M. Twinney, eds. Positioning Pensions for the Twenty-first Century. Pension Research Council, Wharton School of the University of Pennsylvania: University of Pennsylvania Press. Philadelphia: 1997.
Olivia S. Mitchell, Robert J. Meyers and Howard Young, eds. Prospects for Social Security Reform. University of Pennsylvania Press. Philadelphia: 1999.
David Lewin, Olivia S. Mitchell and Peter D. Sherer, eds. Research Frontiers in Industrial Relations and Human Resources. Industrial Relations Research Association. University of Wisconsin. Madison, WI: 1992.
Gary S. Fields and Olivia S. Mitchell. Retirement, Pensions, and Social Security. MIT Press. Cambridge, MA: 1984.
Zvi Bodie, Olivia S. Mitchell, and John A. Turner, eds. Securing Employer-Based Pensions: An International Perspective. Pension Research Council. Wharton School of the University of Pennsylvania: University of Pennsylvania Press. Philadelphia: 1996.
Jerry S. Rosenbloom. A Case Study in Risk Management. Meredith Corp. New York: 1972.
Claude C. Lilly, Glenn L. Wood, Jerry S. Rosenbloom. Personal Risk Management and Insurance. American Institute for Property and Liability Underwriters. Malvern, PA: 1978.
J. David Cummins and Anthony M. Santomero, eds. Changes in the Life Insurance Industry: Efficiency, Technology, and Risk Management. Kluwer Academic Publishers. Norwell, MA: 1999.
Anthony M. Santomero and Robert E. Litan. Brookings-Wharton Papers on Financial Services: 1997. Brookings Institution Press: 1998.
Anthony M. Santomero and Robert E. Litan. Brookings-Wharton Papers on Financial Services: 1998. Brookings Institution Press: 1999.
Brookings-Wharton Papers complete collection:
The Brookings-Wharton Papers on Financial Services. Published by the Brookings Institution.
1998
1999
2000
2001
2002
2003
2004
Anthony M. Santomero and David F. Babbel. Financial Markets, Instruments, & Institutions. McGraw-Hill Higher Education: 1996.
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