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.