Publications comme chapitre de livre (book chapters)

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“Income Trusts Governance and Performance: Time for a Post-mortem.” In George I. Ellison (Ed.), Stock Returns: Cyclicity, Prediction and Economic Consequences, 2009, Nova Science Publishers avec Claude Francoeur, Réal Labelle and Stéphane Rousseau.

“Insurance Mechanisms.” American Institute for Chartered Property and Casualty Underwriters, 2006.

“Pooling Equilibrium in Insurance.”  In B. Sundt and J. Teugels (Eds.) The Encyclopedia of Actuarial Science, 2004, Wiley publishers, pages 1304-1308; avec Marcel Boyer, Université de Montréal.

“The Impossibility to Separate an Honest Man from a Criminal in a Fraud Context.” In Automobile Insurance: Road Safety, New Drivers, Risks, Insurance Fraud and Regulation, Georges Dionne et Claire Laberge-Nadeau eds., Kluwer Academic Publishers, Boston, 1999.

“How Risk Management Adds Value” In Investment Risk Management, H.K. Baker and G. Filbeck (Eds), 2014, Oxford University Press; co-authored with Monica Marin, University of Washington – Bothell.

“Behavioral Risk” In Investment Risk Management, H.K. Baker and G. Filbeck (Eds), 2014, Oxford University Press; co-authored with Samuel Ouzan, HEC Montréal, and Franca Glenzer, Goethe Universität.