Martin Boyer
Martin Boyer
Professeur de finance (HEC Montréal)
Verified email at hec.ca
Title
Cited by
Cited by
Year
Common and fundamental factors in stock returns of Canadian oil and gas companies
MM Boyer, D Filion
Energy economics 29 (3), 428-453, 2007
5302007
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
1141996
Directors’ and officers’ insurance and shareholder protection
MM Boyer
Journal of Financial Perspectives 2 (1), 2014
862014
Is corporate governance risk valued? Evidence from directors' and officers' insurance
MM Boyer, LH Stern
Journal of corporate finance 18 (2), 349-372, 2012
512012
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
45*2004
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
422008
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
412015
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
372013
Centralizing insurance fraud investigation
MM Boyer
The Geneva Papers on Risk and Insurance Theory 25 (2), 159-178, 2000
372000
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
362014
Are underwriting cycles real and forecastable?
MM Boyer, E Jacquier, S Van Norden
Journal of Risk and Insurance 79 (4), 995-1015, 2012
352012
Exchange rates and order flow in the long run
MM Boyer, S Van Norden
Finance Research Letters 3 (4), 235-243, 2006
322006
Contracting under ex post moral hazard and non-commitment
MM Boyer
Review of Economic Design 8 (1), 1-38 (2003), 2003
322003
Is the demand for corporate insurance a habit? Evidence from directors' and officers' insurance
MM Boyer
CIRANO Working Papers, 2003
31*2003
Managerial opportunism in accounting choice: Evidence from directors' and officers' liability insurance purchases
N Boubakri, N Ghalleb, MM Boyer
Available at SSRN 1109254, 2008
292008
Insurance taxation and insurance fraud
MM Boyer
Journal of Public Economic Theory 2 (1), 101-134, 2000
292000
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), 134-69, 2020
28*2020
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
28*2013
An analysis of the title insurance industry
C Nyce, MM Boyer
École des hautes études commerciales, Chaire de gestion des risques, 1998
231998
Three Insights from the Canadian D& (and) O Insurance Market: Inertia, Information and Insiders
MM Boyer
Conn. Ins. LJ 14, 75, 2007
22*2007
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