Suivre
Martin Boyer
Martin Boyer
Professeur de finance (HEC Montréal)
Adresse e-mail validée de hec.ca
Titre
Citée par
Citée par
Année
Common and fundamental factors in stock returns of Canadian oil and gas companies
MM Boyer, D Filion
Energy economics 29 (3), 428-453, 2007
6622007
Assessing the impact of televised debates: The case of the 1988 Canadian election
A Blais, MM Boyer
British Journal of Political Science 26 (2), 143-164, 1996
1361996
Directors’ and officers’ insurance and shareholder protection
MM Boyer
Journal of Financial Perspectives 2 (1), 2014
1022014
Long-term care insurance: Information frictions and selection
MM Boyer, P De Donder, C Fluet, ML Leroux, PC Michaud
American Economic Journal: Economic Policy 12 (3), 134-169, 2020
98*2020
Directors' and officers' liability insurance, corporate risk and risk taking: New panel data evidence on the role of directors' and officers' liability insurance
MM Boyer, S Tennyson
Journal of Risk and Insurance 82 (4), 753-791, 2015
802015
Is corporate governance risk valued? Evidence from directors' and officers' insurance
MM Boyer, LH Stern
Journal of corporate finance 18 (2), 349-372, 2012
692012
D&O insurance and IPO performance: What can we learn from insurers?
MM Boyer, LH Stern
Journal of Financial Intermediation 23 (4), 504-540, 2014
682014
Are underwriting cycles real and forecastable?
MM Boyer, E Jacquier, S Van Norden
Journal of Risk and Insurance 79 (4), 995-1015, 2012
502012
Career concerns of top executives, managerial ownership and CEO succession
MM Boyer, H Ortiz‐Molina
Corporate Governance: An International Review 16 (3), 178-193, 2008
502008
If we can simulate it, we can insure it: An application to longevity risk management
MM Boyer, L Stentoft
Insurance: Mathematics and Economics 52 (1), 35-45, 2013
482013
Overcompensation as a Partial Solution to Commitment and Renegotiation Problems: The Case of Ex Post Moral Hazard
MM Boyer
Journal of Risk and Insurance 71 (4), 559-582, 2004
48*2004
Centralizing insurance fraud investigation
MM Boyer
The Geneva Papers on Risk and Insurance Theory 25, 159-178, 2000
412000
Managerial opportunism in accounting choice: Evidence from directors' and officers' liability insurance purchases
N Boubakri, N Ghalleb, MM Boyer
Available at SSRN 1109254, 2008
372008
Insurance taxation and insurance fraud
MM Boyer
Journal of Public Economic Theory 2 (1), 101-134, 2000
362000
Alleviating coordination problems and regulatory constraints through financial risk management
M Boyer, MM Boyer, R Garcia
The Quarterly Journal of Finance 3 (02), 1350009, 2013
35*2013
Exchange rates and order flow in the long run
MM Boyer, S Van Norden
Finance Research Letters 3 (4), 235-243, 2006
342006
Contracting under ex post moral hazard and non-commitment
MM Boyer
Review of Economic Design 8, 1-38 (2003), 2003
342003
Is the demand for corporate insurance a habit? Evidence from directors' and officers' insurance
MM Boyer
Centre interuniversitaire de recherche en analyse des organisations (CIRANO), 2003
34*2003
Long-term care risk misperceptions
M Boyer, P De Donder, C Fluet, ML Leroux, PC Michaud
The Geneva Papers on Risk and Insurance-Issues and Practice 44, 183-215, 2019
322019
Underwriting apophenia and cryptids: are cycles statistical figments of our imagination?
MM Boyer, I Owadally
The Geneva Papers on Risk and Insurance-Issues and Practice 40, 232-255, 2015
292015
Le système ne peut pas réaliser cette opération maintenant. Veuillez réessayer plus tard.
Articles 1–20