David Antonius Pankoke
(We have lost contact with this author. Please ask them to update the entry or send us the correct address or status for this person. Thank you.)Personal Details
First Name: | David |
Middle Name: | Antonius |
Last Name: | Pankoke |
Suffix: | |
RePEc Short-ID: | ppa879 |
[This author has chosen not to make the email address public] The above email address does not seem to be valid anymore. Please ask David Antonius Pankoke to update the entry or send us the correct address or status for this person. Thank you.
| |
Research output
Jump to: Working papers Articles ChaptersWorking papers
- Eling, Martin & Pankoke, David, 2014.
"Costs and Benefits of Financial Regulation – An Empirical Assessment for Insurance Companies,"
Working Papers on Finance
1420, University of St. Gallen, School of Finance.
- Martin Eling & David Pankoke, 2016. "Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
- Eling, Martin & Pankoke, David, 2014.
"Systemic Risk in the Insurance Sector: Review and Directions for Future Research,"
Working Papers on Finance
1421, University of St. Gallen, School of Finance.
- Martin Eling & David Antonius Pankoke, 2016. "Systemic Risk in the Insurance Sector: A Review and Directions for Future Research," Risk Management and Insurance Review, American Risk and Insurance Association, vol. 19(2), pages 249-284, September.
- Pankoke, David, 2014. "Sophisticated vs. Simple Systemic Risk Measures," Working Papers on Finance 1422, University of St. Gallen, School of Finance.
- Eling, Martin & Pankoke, David, 2013. "Basis Risk, Procylicality, and Systemic Risk in the Solvency II Equity Risk Module," Working Papers on Finance 1306, University of St. Gallen, School of Finance.
- Eling, Martin & Pankoke, David, 2012. "Systemic Risk in the Insurance Sector – What Do We Know?," Working Papers on Finance 1222, University of St. Gallen, School of Finance.
Articles
- Martin Eling & David Antonius Pankoke, 2016.
"Systemic Risk in the Insurance Sector: A Review and Directions for Future Research,"
Risk Management and Insurance Review, American Risk and Insurance Association, vol. 19(2), pages 249-284, September.
- Eling, Martin & Pankoke, David, 2014. "Systemic Risk in the Insurance Sector: Review and Directions for Future Research," Working Papers on Finance 1421, University of St. Gallen, School of Finance.
- Martin Eling & David Pankoke, 2016.
"Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies,"
The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
- Eling, Martin & Pankoke, David, 2014. "Costs and Benefits of Financial Regulation – An Empirical Assessment for Insurance Companies," Working Papers on Finance 1420, University of St. Gallen, School of Finance.
Chapters
- Martin Eling & David Pankoke, 2014. "Systemic Risk and the Insurance Industry: Principal Linkages and Dependencies," Palgrave Macmillan Books, in: Jan Monkiewicz & Marian Małecki (ed.), Macroprudential Supervision in Insurance, chapter 2, pages 38-65, Palgrave Macmillan.
Citations
Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.Working papers
- Eling, Martin & Pankoke, David, 2014.
"Costs and Benefits of Financial Regulation – An Empirical Assessment for Insurance Companies,"
Working Papers on Finance
1420, University of St. Gallen, School of Finance.
- Martin Eling & David Pankoke, 2016. "Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
Cited by:
- Boyer, M. Martin & Cowins, Elicia P. & Reddic, Willie D., 2019. "Portfolio rebalancing behavior with operating losses and investment regulation," International Review of Economics & Finance, Elsevier, vol. 63(C), pages 313-328.
- Thomas Köhne & Christoph Brömmelmeyer, 2018. "The New Insurance Distribution Regulation in the EU—A Critical Assessment from a Legal and Economic Perspective," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 43(4), pages 704-739, October.
- Willie Dion Reddic, 2021. "Under pressure: investment behaviour of insurers under different financial and regulatory conditions," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 46(1), pages 1-20, January.
- Thomas Url, 2022. "Schadenversicherungen deckten 2021 hohe Schäden aus Naturkatastrophen," WIFO Monatsberichte (monthly reports), WIFO, vol. 95(9), pages 573-584, September.
- Thomas Url, 2022. "Die gesamtwirtschaftliche Bedeutung der österreichischen Versicherungswirtschaft," WIFO Studies, WIFO, number 69819, April.
- Eling, Martin & Pankoke, David, 2014.
"Systemic Risk in the Insurance Sector: Review and Directions for Future Research,"
Working Papers on Finance
1421, University of St. Gallen, School of Finance.
- Martin Eling & David Antonius Pankoke, 2016. "Systemic Risk in the Insurance Sector: A Review and Directions for Future Research," Risk Management and Insurance Review, American Risk and Insurance Association, vol. 19(2), pages 249-284, September.
Cited by:
- de França Carvalho, João Vinícius & Guimarães, Acássio Silva, 2024. "Systemic risk assessment using complex networks approach: Evidence from the Brazilian (re)insurance market," Research in International Business and Finance, Elsevier, vol. 67(PA).
- Philippe Deprez & Mario V. Wüthrich, 2016. "Macroprudential Insurance Regulation: A Swiss Case Study," Risks, MDPI, vol. 4(4), pages 1-30, December.
- Pankoke, David, 2014. "Sophisticated vs. Simple Systemic Risk Measures," Working Papers on Finance 1422, University of St. Gallen, School of Finance.
- Clemente, Gian Paolo & Cornaro, Alessandra, 2022. "A multilayer approach for systemic risk in the insurance sector," Chaos, Solitons & Fractals, Elsevier, vol. 162(C).
- Anna Denkowska & Stanisław Wanat, 2020.
"A Tail Dependence-Based MST and Their Topological Indicators in Modeling Systemic Risk in the European Insurance Sector,"
Risks, MDPI, vol. 8(2), pages 1-22, April.
- Anna Denkowska & Stanis{l}aw Wanat, 2020. "A tail dependence-based MST and their topological indicators in modelling systemic risk in the European insurance sector," Papers 2001.06567, arXiv.org, revised Mar 2020.
- Thies R. Popp & Wiebke Nowack, 2020. "Resilience through the Financialisation of Risks? The Case of a Dairy System in Northwest Germany," Sustainability, MDPI, vol. 12(15), pages 1-20, August.
- Shikha Khera & Divya, 2020. "Impact of IRDA Guidelines on Consumer Confidence in Life Insurance Market: Then and Now," Jindal Journal of Business Research, , vol. 9(2), pages 117-134, December.
- Anna Paulson & Richard Rosen, 2016.
"The Life Insurance Industry and Systemic Risk: A Bond Market Perspective,"
Annual Review of Financial Economics, Annual Reviews, vol. 8(1), pages 155-174, October.
- Anna L. Paulson & Richard J. Rosen, 2016. "The Life Insurance Industry and Systemic Risk: A Bond Market Perspective," Working Paper Series WP-2016-4, Federal Reserve Bank of Chicago.
- Heidinger, Dinah & Gatzert, Nadine, 2018. "Awareness, determinants and value of reputation risk management: Empirical evidence from the banking and insurance industry," Journal of Banking & Finance, Elsevier, vol. 91(C), pages 106-118.
- Nadine Gatzert & Madeline Schubert, 2022. "Cyber risk management in the US banking and insurance industry: A textual and empirical analysis of determinants and value," Journal of Risk & Insurance, The American Risk and Insurance Association, vol. 89(3), pages 725-763, September.
- Fabiana Gómez & Jorge Ponce, 2018. "Systemic risk and insurance regulation," Documentos de trabajo 2018003, Banco Central del Uruguay.
- Irresberger, Felix & Bierth, Christopher & Weiß, Gregor N.F., 2017. "Size is everything: Explaining SIFI designations," Review of Financial Economics, Elsevier, vol. 32(C), pages 7-19.
- Kolari, James W. & López-Iturriaga, Félix J. & Sanz, Ivan Pastor, 2020. "Measuring systemic risk in the U.S. Banking system," Economic Modelling, Elsevier, vol. 91(C), pages 646-658.
- John Weirstrass Muteba Mwamba & Ehounou Serge Eloge Florentin Angaman, 2021. "Modeling System Risk in the South African Insurance Sector: A Dynamic Mixture Copula Approach," IJFS, MDPI, vol. 9(2), pages 1-17, May.
- Eckert, Christian & Gatzert, Nadine & Heidinger, Dinah, 2020. "Empirically assessing and modeling spillover effects from operational risk events in the insurance industry," Insurance: Mathematics and Economics, Elsevier, vol. 93(C), pages 72-83.
- Bijlsma, Melle & Vermeulen, Robert, 2016. "Insurance companies’ trading behaviour during the European sovereign debt crisis: Flight home or flight to quality?," Journal of Financial Stability, Elsevier, vol. 27(C), pages 137-154.
- Zulu, Thulani & Manguzvane, Mathias Mandla & Bonga-Bonga, Lumengo, 2023. "Assessing the contribution of South African Insurance Firms to Systemic Risk," MPRA Paper 116815, University Library of Munich, Germany.
- Gulnara Kaigorodova & Daria Alyakina & Guzel Pyrkova & Alfiya Mustafina, 2018. "Investment Activity of Insurers and the State Economic Growth," Montenegrin Journal of Economics, Economic Laboratory for Transition Research (ELIT), vol. 14(4), pages 109-123.
- Fabiana Gómez & Jorge Ponce, 2018. "Systemic Risk and Insurance Regulation †," Risks, MDPI, vol. 6(3), pages 1-12, July.
- Bofinger, Peter & Schnabel, Isabel & Feld, Lars P. & Schmidt, Christoph M. & Wieland, Volker, 2015. "Zukunftsfähigkeit in den Mittelpunkt. Jahresgutachten 2015/16 [Focus on Future Viability. Annual Report 2015/16]," Annual Economic Reports / Jahresgutachten, German Council of Economic Experts / Sachverständigenrat zur Begutachtung der gesamtwirtschaftlichen Entwicklung, volume 127, number 201516.
- Jan Janku & Ondrej Badura, 2021. "Non-linear Effects of Market Concentration on the Underwriting Profitability of the Non-life Insurance Sector in Europe," Working Papers 2021/9, Czech National Bank.
- Reichel, Lukas & Schmeiser, Hato & Schreiber, Florian, 2021. "Sometimes more, sometimes less: Prudence and the diversification of risky insurance coverage," European Journal of Operational Research, Elsevier, vol. 292(2), pages 770-783.
- Hans Pitlik & Thomas Url, 2020. "Schätzung der Kosten staatlicher Regularien in der österreichischen Versicherungsbranche," WIFO Studies, WIFO, number 65933, April.
- Pankoke, David, 2014.
"Sophisticated vs. Simple Systemic Risk Measures,"
Working Papers on Finance
1422, University of St. Gallen, School of Finance.
Cited by:
- Stolbov, Mikhail & Shchepeleva, Maria, 2020. "Systemic risk, economic policy uncertainty and firm bankruptcies: Evidence from multivariate causal inference," Research in International Business and Finance, Elsevier, vol. 52(C).
- Mikhail Stolbov & Alexander Karminsky & Maria Shchepeleva, 2018. "Does Economic Policy Uncertainty Lead Systemic Risk? A Comparative Analysis of Selected European Countries," Comparative Economic Studies, Palgrave Macmillan;Association for Comparative Economic Studies, vol. 60(3), pages 332-360, September.
- Kubitza, Christian & Regele, Fabian, 2017. "Persistence of insurance activities and financial stability," ICIR Working Paper Series 30/17, Goethe University Frankfurt, International Center for Insurance Regulation (ICIR).
- Mikhail Stolbov & Maria Shchepeleva, 2018. "Systemic risk in Europe: deciphering leading measures, common patterns and real effects," Annals of Finance, Springer, vol. 14(1), pages 49-91, February.
- Iori, G. & Gurgone, A., 2019. "A multi-agent methodology to assess the effectiveness of alternative systemic risk adjusted capital requirements," Working Papers 19/05, Department of Economics, City University London.
- Eling, Martin & Pankoke, David, 2013.
"Basis Risk, Procylicality, and Systemic Risk in the Solvency II Equity Risk Module,"
Working Papers on Finance
1306, University of St. Gallen, School of Finance.
Cited by:
- Martin Eling & David Pankoke, 2016.
"Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies,"
The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
- Eling, Martin & Pankoke, David, 2014. "Costs and Benefits of Financial Regulation – An Empirical Assessment for Insurance Companies," Working Papers on Finance 1420, University of St. Gallen, School of Finance.
- French, Andrea & Vital, Mathieu & Minot, Dean, 2015. "Insurance and financial stability," Bank of England Quarterly Bulletin, Bank of England, vol. 55(3), pages 242-258.
- Durán Santomil, Pablo & Otero González, Luís & Martorell Cunill, Onofre & Merigó Lindahl, José M., 2018. "Backtesting an equity risk model under Solvency II," Journal of Business Research, Elsevier, vol. 89(C), pages 216-222.
- Farmer, J. Doyne & Heinrich, Torsten & Sabuco, Juan, 2019.
"A simulation of the insurance industry: The problem of risk model homogeneity,"
INET Oxford Working Papers
2019-12, Institute for New Economic Thinking at the Oxford Martin School, University of Oxford.
- Torsten Heinrich & Juan Sabuco & J. Doyne Farmer, 2022. "A simulation of the insurance industry: the problem of risk model homogeneity," Journal of Economic Interaction and Coordination, Springer;Society for Economic Science with Heterogeneous Interacting Agents, vol. 17(2), pages 535-576, April.
- Heinrich, Torsten & Sabuco, Juan & Farmer, J. Doyne, 2019. "A simulation of the insurance industry: The problem of risk model homogeneity," MPRA Paper 95096, University Library of Munich, Germany.
- Torsten Heinrich & Juan Sabuco & J. Doyne Farmer, 2019. "A simulation of the insurance industry: The problem of risk model homogeneity," Papers 1907.05954, arXiv.org, revised Nov 2019.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2017.
"The Evolution of Insurance Regulation in the EU Since 2005,"
Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers)
hal-03265038, HAL.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2016. "The evolution of insurance regulation in the EU since 2005," Documents de travail du Centre d'Economie de la Sorbonne 16060, Université Panthéon-Sorbonne (Paris 1), Centre d'Economie de la Sorbonne.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2017. "The Evolution of Insurance Regulation in the EU Since 2005," Post-Print hal-03265038, HAL.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2016. "The evolution of insurance regulation in the EU since 2005," Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers) halshs-01390899, HAL.
- Pierre-Charles Pradier & Arnaud Chneiweiss, 2016. "The evolution of insurance regulation in the EU since 2005," Post-Print halshs-01390899, HAL.
- Mohamed Majri & François-Xavier de Lauzon, 2013. "An effective equity model allowing long term investments within the framework of Solvency II," Working Papers hal-00847887, HAL.
- Martin Eling & David Pankoke, 2016.
"Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies,"
The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
- Eling, Martin & Pankoke, David, 2012.
"Systemic Risk in the Insurance Sector – What Do We Know?,"
Working Papers on Finance
1222, University of St. Gallen, School of Finance.
Cited by:
- Bierth, Christopher & Irresberger, Felix & Weiß, Gregor N.F., 2015. "Systemic risk of insurers around the globe," Journal of Banking & Finance, Elsevier, vol. 55(C), pages 232-245.
- Carlos Guiné, 2014. "Global Systemically Important Insurers," EIOPA Financial Stability Report - Thematic Articles 2, EIOPA, Risks and Financial Stability Department.
- Christian Thimann, 2014.
"How Insurers Differ from Banks: A Primer on Systemic Regulation,"
Working Papers
halshs-01074933, HAL.
- Christian Thimann, 2014. "How Insurers Differ from Banks: A Primer on Systemic Regulation," PSE Working Papers halshs-01074933, HAL.
- Thimann, Christian, 2014. "How insurers differ from banks: a primer on systemic regulation," LSE Research Online Documents on Economics 61218, London School of Economics and Political Science, LSE Library.
- Berdin, Elia & Sottocornolay, Matteo, 2015. "Insurance activities and systemic risk," ICIR Working Paper Series 19/15, Goethe University Frankfurt, International Center for Insurance Regulation (ICIR).
- Mühlnickel, Janina & Weiß, Gregor N.F., 2015. "Consolidation and systemic risk in the international insurance industry," Journal of Financial Stability, Elsevier, vol. 18(C), pages 187-202.
- Pierre-Emmanuel Darpeix, 2015. "Systemic risk and insurance," PSE Working Papers halshs-01227969, HAL.
- Pierre-Emmanuel Darpeix, 2015. "Systemic risk and insurance," Working Papers halshs-01227969, HAL.
- Fabiana Gómez & Jorge Ponce, 2018. "Systemic risk and insurance regulation," Documentos de trabajo 2018003, Banco Central del Uruguay.
- Elia Berdin & Matteo Sottocornola, 2015. "Assessing Systemic Risk of the European Insurance Industry," EIOPA Financial Stability Report - Thematic Articles 6, EIOPA, Risks and Financial Stability Department.
- Garcia-Jorcano, Laura & Sanchis-Marco, Lidia, 2021. "Systemic-systematic risk in financial system: A dynamic ranking based on expectiles," International Review of Economics & Finance, Elsevier, vol. 75(C), pages 330-365.
- Fabiana Gómez & Jorge Ponce, 2018. "Systemic Risk and Insurance Regulation †," Risks, MDPI, vol. 6(3), pages 1-12, July.
- Chen, Pei-Fen & Lin, Chun-Wei & Lee, Chien-Chiang, 2019. "Financial crises, globalization, and insurer performance: Some international evidence," The North American Journal of Economics and Finance, Elsevier, vol. 48(C), pages 835-856.
- Berdin, Elia & Sottocornola, Matteo, 2015. "Insurance activities and systemic risk," SAFE Working Paper Series 121, Leibniz Institute for Financial Research SAFE.
- Alberto Dreassi & Stefano Miani & Andrea Paltrinieri & Alex Sclip, 2018. "Bank-Insurance Risk Spillovers: Evidence from Europe," The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 43(1), pages 72-96, January.
Articles
- Martin Eling & David Antonius Pankoke, 2016.
"Systemic Risk in the Insurance Sector: A Review and Directions for Future Research,"
Risk Management and Insurance Review, American Risk and Insurance Association, vol. 19(2), pages 249-284, September.
See citations under working paper version above.
- Eling, Martin & Pankoke, David, 2014. "Systemic Risk in the Insurance Sector: Review and Directions for Future Research," Working Papers on Finance 1421, University of St. Gallen, School of Finance.
- Martin Eling & David Pankoke, 2016.
"Costs and Benefits of Financial Regulation: An Empirical Assessment for Insurance Companies,"
The Geneva Papers on Risk and Insurance - Issues and Practice, Palgrave Macmillan;The Geneva Association, vol. 41(4), pages 529-554, October.
See citations under working paper version above.Sorry, no citations of articles recorded.
- Eling, Martin & Pankoke, David, 2014. "Costs and Benefits of Financial Regulation – An Empirical Assessment for Insurance Companies," Working Papers on Finance 1420, University of St. Gallen, School of Finance.
Chapters
-
Sorry, no citations of chapters recorded.
More information
Research fields, statistics, top rankings, if available.Statistics
Access and download statistics for all items
NEP Fields
NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 4 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.- NEP-RMG: Risk Management (3) 2013-08-31 2015-02-16 2015-02-22
- NEP-BAN: Banking (2) 2013-08-31 2015-02-22
- NEP-CBA: Central Banking (2) 2013-08-31 2015-02-22
- NEP-IAS: Insurance Economics (2) 2015-02-16 2015-02-22
Corrections
All material on this site has been provided by the respective publishers and authors. You can help correct errors and omissions. For general information on how to correct material on RePEc, see these instructions.
To update listings or check citations waiting for approval, David Antonius Pankoke should log into the RePEc Author Service.
To make corrections to the bibliographic information of a particular item, find the technical contact on the abstract page of that item. There, details are also given on how to add or correct references and citations.
To link different versions of the same work, where versions have a different title, use this form. Note that if the versions have a very similar title and are in the author's profile, the links will usually be created automatically.
Please note that most corrections can take a couple of weeks to filter through the various RePEc services.