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CATalytic Insurance: The Case for Natural Disasters. (2015). Levy Yeyati, Eduardo ; Cordella, Tito.
In: CID Working Papers.
RePEc:cid:wpfacu:301.

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Cited: 3

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Cites: 14

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Cocites: 50

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  1. Analysis and exploration of damage-reduction measures for flood disasters in China. (2019). Du, Qianqian ; Song, Malin.
    In: Annals of Operations Research.
    RePEc:spr:annopr:v:283:y:2019:i:1:d:10.1007_s10479-017-2589-x.

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  2. Evaluating Sovereign Disaster Risk Finance Strategies: A Framework. (2017). Clarke, Daniel ; Teh, Tse-Ling ; Poulter, Richard ; Mahul, Olivier.
    In: The Geneva Papers on Risk and Insurance - Issues and Practice.
    RePEc:pal:gpprii:v:42:y:2017:i:4:d:10.1057_s41288-017-0064-1.

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  3. Solving commitment problems in disaster risk finance. (2016). Wren-Lewis, Liam ; Clarke, Daniel.
    In: Policy Research Working Paper Series.
    RePEc:wbk:wbrwps:7720.

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References

References cited by this document

  1. Arrow, K and R Lind (1970) "Uncertainty and the Evaluation of Public Investment Desicions"- The American Economic Review, Vol60(3), pp 364-78

  2. Becker, T.and P. Mauro (2006), “Output Drops and the Shocks That Matter," IMF Working Paper 06/172

  3. Cohen, D., and J. Sachs (1986), "Growth, External Debt, and Risk of Debt Repudiation," European Economic Review, Vol. 36, pp.687-93

  4. Cordella, T., and E. Levy-Yeyati (2010) “Catalytic Insurance: The Case of Natural Disaster,” World Bank Policy Research Working Paper 5377
    Paper not yet in RePEc: Add citation now
  5. Doherty, N. (1997), “Innovations in Managing Catastrophe Risk,”The Journal of Risk and Insurance, Vol. 64: pp. 713-718.
    Paper not yet in RePEc: Add citation now
  6. Froot, K. (2001), “The Market for Catastrpohe Risk: a Clinical Examination,” Journal of Financial Economics, Vol. 60, pp. 529-71.

  7. Hofman, D. and P. Bruko (2006), “Insuring Public Finances Against Natural Disasters– A Survey of Options and Recent Initiatives,”IMF Working Paper 06/199

  8. Ibragimov, I., Jaee, D., and J. Walden (2009), “Nondiversi…cation Traps in Catastrophe Insurance Markets, The Review of Financial Studies, Vol.22, pp. 959-93.
    Paper not yet in RePEc: Add citation now
  9. Jaee, D and T. Russell (1997), “Catastrophe Insurance, Capital Markets, and Uninsurable Risks," The Journal of Risk and Insurance, Vol. 64, pp. 205-230

  10. Jeanne, O. and J. Zettelmeyer (2001), “International Bailouts, Moral Hazard, and Conditionality,” CESifo Working Paper Series No. 563.

  11. Nell, M., and A. Richter (2004), “Improving Risk Allocation Through Indexed Cat Bonds,”The Geneva Papers on Risk and Insurance, Vol. 29, pp. 183-201.

  12. Ramcharan, R. (2007), “Does the exchange rate regime matter for real shocks? Evidence from windstorms and earthquakes," Journal of International Economics, Vol. 73, pp. 31-47.

  13. Toya, H. and M. Skidmore (2007), “Economic Development and the Impact of Natural Disasters,” Economics Letters, Vol. 94, pp. 20-25.

  14. Yang, D. (2006), “Coping with Disasters: The Impact of Hurricanes on International Financial Flows, 1970-2002,” Unpublished Manuscript, available on the web at http://wwwpersonal. umich.edu/%7Edeanyang/papers/papers.html

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