Arthur Charpentier. 1 Education and professional experience. Education. Professional experience

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1 Arthur Charpentier Born of December 5th, 1975, Caen, France French nationality, 2 children, Professor Assistant at Université Rennes 1, and Associate Professor at l'école Polytechnique, Member of the CREM (Centre for Research in Economics and Management), UMR CNRS. Personnal address : 11 rue Pierre Gourdel, Rennes, France Professional : Université de Rennes 1, 7 Place Hoche, Rennes cedex, France Professionnal telephone : (33+) Cell : (33+) Url : Blog : Education and professional experience 0000 Education 2107/2008 Membre agrégé of the Institut des Actuaires, thesis on Insurance against large events. 2002/2006 PhD thesis (Doctor in de Wetenschappen, Wiskunde), Katholieke Universiteit Leuven (KUL, Belgium), supervised by J. Beirlant (KUL) and M. Denuit (UCL). Jury: J. Beirlant, M. Denuit, J. Dhaene, A.L. Fougères, I. Gijbels, C. Gouriéroux & W. Schoutens, Dependence structures and limiting results, with applications in Finance and Insurance, Bijgevoegde stelling: Temporal dependencies for natural events, Scor-Tillinghast PhD price in actuarial science 1998/1999 Qualied member of the Institut des Actuaires, and Associate member of the Canadian Institute of Actuaries, 1998/1999 Master degree in Applied Mathematics (DEA MASE), Université Paris Dauphine, Paris, 1996/1999 Master degree, in Finance and Actuarial Science, ENSAE, Paris, 1993/1996 Classes Préparatoires aux Grandes Écoles, lycées Victor Hugo & Malherbe, Caen. Professional experience 2009/ Associate Professor, École Polytechnique, Palaiseau, France, 2008/ Assistant Professor, Université Rennes 1, Faculty of Economics, Rennes, France, 2007/2008 Research Associate (ATER, temporary contact), Université Rennes 1, France, 2006/2007 Assistant Professor, ENSAI, École Nationale de la Statistique et d'analyse de l'information, Campus Ker Lan, Bruz, France, 2002/2006 Assistant Professor, ENSAE, École Nationale de la Statistique et de l'administration Économique, Malako, France, 2001/2002 Researcher, FFSA, French Federation of Insurers, Paris, Statistics Department, Paris, 1999/2001 Assistant Manager, Actuarial Department, AXA General Insurance Hong Kong Limited, 1998/1999 Researcher, Fixed incomes, Exane, Financial broker, Paris. 1

2 Research activities 0000 Research area economics of insurance, reinsurance, large risks, nancial econometrics, option pricing, credit risk, climate models, environmental statistics, economics of uncertainty, risk measures, dependence and diversication, copulas, time series. Publications 1. Tails of Archimedean Copulas, (2009), avec J. Segers, à paraître, Journal of Multivariate Analysis, 2. Dynamic dependence ordering for Archimedean copulas and distorted copulas, (2009), Kybernetika, 44, , 3. Value at risk et probabilité de ruine, entre vaccination et banque d'aaires, (2009), Risques, 76, 'heatwave and its return period, (2008), soumis, 5. Income Inequality Games, avec S. Mussart, (2009) soumis, 6. Lunar cycles and birth rates : from a full moon to a new moon eect, avec D.Causeur, (2009) soumis, 7. Pitfalls on reinsurance and ruin, (2009) soumis 8. Dependence structures and limiting results, with applications in Finance and Insurance (2008), VDM Pulishers, 9. Mathématiques de l'assurance Non-Vie - Tarication et provisionnement (Tome 2) (2005), Economica, avec M. Denuit, 10. Copula methods in derivatives and risk management: from credit risk to market risk, (2006), Risk Book, The estimation of copulas : theory and pratice, avec J.D. Fermanian & O. Scaillet, 11. L'état et l'assurance des risques nouveaux, (2006), Documentation française, par G. Bentoglio et J.P. Betbeze, membre du groupe de travail, 12. Beta Kernel estimation for Value-At-Risk of heavy-tailed loss distributions, (2008), à paraître, Computational Statistics, avec A. Oulidi, 13. Insurability of climate risks, (2008), Geneva Papers of Risk and Insurance, 33, Estimating allocations for Value-at-Risk portfolio optimization, (2007), Mathematical Methods in Operations Research, avec A. Oulidi, 15. Dynamic ood modelling: Combining Hurst and Gumbel's approach, (2008), Environmetrics, avec D. Sibaï. 16. Convergence of Archimedean copulas, (2008), Statistics & Probability Letters, 78, , avec J. Segers, 17. Lower tail dependence for Archimedean copulas: characterizations and pitfalls, (2007), Insurance Mathematics and Economics, 40, , avec J. Segers, 18. Insuring risks when pure premium is innite?, (2007), Bulletin Français d'actuariat, 7(13), 67-82, 19. Limiting dependence structures for tail events, with applications to credit derivatives, (2006), Journal of Applied Probability, 43, , avec A. Juri, 20. Wind in Ireland : long memory or seasonal eect?, (2005), Stochastic Environmental Research and Risk Assessment, 20, avec J.C. Bouëtte, J.F. Chassagneux, D. Sibaï et R. Terron, 21. Ajuster les tables de mortalité : le rôle des actuaires, (2007), Risques, 72, , 22. La crédibilité: un pasteur et un philosophe pour soutenir les actuaires, (2007), Risques, 71, Actuariat et datamining: prise en compte des corrélations, (2007), Revue des Nouvelles Technologies de l'information, , 24. Optimal reinsurance under ruin probability target, (2008), Proceedings of the Rare Event Simulation Conference, 25. Pricing catastrophe options in incomplete market, (2008), Proceedings of the Actuarial and Financial Mathematics Conference: Interplay between Finance and Insurance. 2

3 Talks in conference, from 2005 Risk Intelligence Symposium & Knowledge 2009 Session: Financial Risks, Credit Risk, Long term risk, environment risk & insurance risk, Paris (October 2009), Workshop Analyse Spatio-Temporelle des Risques, Université de Grenoble (August 2009), Conférence Banque de France, Université de Rennes 1 (June 2009), Satellite Meetings, Rio de Janeiro (April 2009), Fourth Brazilian Conference on Statistical Modelling in Insurance and Finance, Sao Paulo (April 2009), International workshop on dynamic and multivariate risk measures, Université Paris Dauphine (October 2008), 7 th International Workshop on Rare Event Simulation, Rennes (September 2009), Summer School of the Groupe Consultatif Actuariel Européen: Enterprise Risk Management (ERM) and Solvency II, ISFA, Lyon (July 2008), International Workshop on Applied Probability, Université Compiègne (July 2008), Grands risques et réassurance, Université Paris Dauphine (June 2008), Journées de statistiques SSC-SFdS, Ottawa, Canada (May 2008), Public Economics At the Regional and Local level in Europe, Rennes (May 2008), Actuarial and Financial Mathematics Conference (interplay between Finance and Insurance), Bruxelles, Belgique, (February 2008), Workshop: prospective mortality tables, longevity and mortality linked securities, Paris (February 2008), Workshop: solvency II and internal models, Sepia, Paris (September 2007), Workshop: risk measures and capital allocation, Sepia, Paris (June 2007), 3ème Congrès de l'institut des Actuaires, Paris (June 2007), Gemeinsame Jahrestagung der Deutschen Mathematiker-Vereinigung und der Gesellschaft für Didaktik der Mathematik, Multivariate Dependence Modelling using Copulas - Applications in Finance, Humboldt-Universität zu Berlin, Allemagne (March 2007), Workshop: Insurance and Adaptation to Climate Change, école Polytechnique, Paris (March 2007), Journées Extraction et gestion des connaissances, Université de Namur, Namur, Belgique (January 2007), Conférence: Statistiques et assurance, Institut de Mathématiques Appliquées, Angers (November 2006), Conference Insurance Mathematics and Economics, Leuven, Belgique (July 2006), Journées SfDS (Société Française de Statistique), XXXVIIIèmes Journées de statistique, Clamart (May 2006), Journées de Statistique Rennaise, Rennes (November 2005), Conference: Extreme values, copulas and applications day (X-Day 1), Université Montréal, Canada (June 2005), Conference Insurance Mathematics and Economics, Québec, Canada (June 2005), Conference Statistique sur données dépendantes, CREST, Paris (January 2005). Talks in seminars, from 2005 Université de Montpellier (April 2009), Université de Brest (April 2009), ENSAI-Université Rennes I & Université Rennes II (April 2008), Université de Nantes (April 2008), Université Paris 6 (March 2008), Université Rennes I CREM (March 2008), Universiteit van Amsterdam (January 2008), Université Toulouse I, GREMAQ (December 2007), Imperial College, Londres (May 2007), Paris Sciences-Economiques, ENS Cachan (March 2007), Université de Grenoble (March 2007), Université Paris X (Nanterre) (March 2007), Univeristé de Compiègne (January 2007), Universidad de Valparaíso (December 2006), ENSAI-Université Rennes I & Université Rennes II (September 2006), Paris Jourdan - Sciences Economiques (séminaire ENS-EHESS-ENPC-X) (September 2006), Katholieke Universiteit Leuven (February 2006), Institut de Mathématiques Appliqués, Angers (January 2006), ENSAI (April 2005). Organizing and chairing sessions Session on copulas and dependence models (invited speaker A.C Favre (INRS Québec), S. Loisel (ISFA Lyon) & J. Neslehova (McLean Harvard & ETHZ)), Journées de statistique, Ottawa, Scientic comitee and research projects, from Organized the Workshop on Economics and Econometrics of Insurance, Université Rennes 1, 2009/ Scientic expert for ONIAM (National oce for medical accident indemnities) on losses prediction, 2009/ Member of the group bank-nance-insurance of the French Statistical Society, co-organizer of the Journées d'études Statistiques in October 2010 on Risk statistical models Scientic committee of the UseR! conference, AgroCampus, Rennes. 2009/ Scientic committee of the Chair Lyon I on Economic Capital of the Fondation du Risque. 2008/ Member of the GIS project on agriculture insurance and climate riskks, Paris / Scientic committee of the Chair AXA-X-ENSAE on Large risks of the Fondation du Risque, 2008/2009 co-organizer of the seminar macroeconomics & nance of the CREM, Université de Rennes 1, 2008/ Member of the ANR project, spatio-temporal dependence in the modelisation of risk (ISFA, Lyon), 2003/2005 Member of the working group TELEMAQUE on government as the ultimate risk manager in insurance?, Commissariat Général au Plan, supervized by J.P. Betbèze, 2006 Expert for the Conseil de la Concurence (on Medical Liability Insurance), 3

4 2007 Scientic committee of the conference Data mining for banks, insurance and nance, ENST Bretagne, 2005 Scientic committee of the conference Data Mining and Statistical Learning, Université de Niort. Referee and editorial activities Referee for Stochastic Environmental Research and Risk Assessment, Theory and Decision, Insurance: Mathematics and Economics, Comptes Rendus de l'académie des Sciences, Revue des Nouvelles Technologies de l'information, Journal of Banking and Finance, Canadian Journal of Statistics, Bulletin Français d'actuariat, Journal of Computational and Graphical Statistics, Communications in Statistics: Theory and Methods, Quantitative Finance, Revue d'intelligence Articielle, Journal of Multivariate Analysis, European Journal of Finance, Mathematics and Financial Economics, TEST, Statistica Sinica, Journal of the American Statistical Association, Extremes, Physics and Chemistry of the Earth, Computational Statistics, Geneva Papers on Risk, Bernoulli, Water Ressources. Referee for projects for the AXA Research Fund. Associate Editor of the Bulletin Français d'actuariat Teaching activies (graduate students) /2009 Course Multivariate Analysis (M1), Université Rennes 1, 2008/2010 Course Probability and statistics (M1), Université Rennes 1, 2005/2007 Course Statistics (M2), Université des Sciences Economiques, Ho-Chi-Minh Ville, Vietnam et Université Saint Joseph, Beyrouth, Liban Course Nonlinear models for nancial econometrics, Fondation du Risque, Paris (with G. Celeux & R. Douady), 2007/2009 Course Financial Econometrics (M2), Université Rennes 1, Institut de Gestion de Rennes, 2008/2010 Course Econometrics (M1), Université Rennes 1, 2003/2007 Course Nonlife insurance actuarial models (M2), ENSAE, 2004/2005 Short course on Advanced Statistical Methods in Insurance, 3rd Conference in Actuarial Science & Finance, Samos, Grèce, 2007/2008 Course Stochastic models in insurance (M2), ISUP, Paris, 2006/2007 Course Markov chains (M1), ENSAI, 2001/2005 Course Time series (M2), Université Paris Dauphine, 2008/2009 Course Asset Pricing, École Polytechnique, (M1), with A. Galichon, 2008/2009 Short course on Axiomatic of uncertainty (M2 recherche), Université Rennes 1, 2007 Short course on Risk measure and dependence in nance, internal training, EdF 2006/2007 Course on Risk measures and copulas (M2), ENSTA (École Nationale Supérieure des Techniques Avancées), Paris, 2006/2007 Short course on Dependence in nance and insurance, 17th Actuarial Summer School in Warsow, Warsow University, Poland, 2003/2007 Course Correlated risk in nance (M2), ENSAI & Université Paris Dauphine, 2009 Short course on Measuring and covering catastrophic risk, Fourth Brazilian Conference on Statistical Modelling in Insurance and Finance 2007 Short course on Measuring and covering catastrophic risk, internal training, AXA, 2004/2007 Course Extremal risks and reinsurance (M2), ENSAE, IMA d'angers & Université Paris I Sorbonne, 2008/2009 Short course Advanced methods in portfolio management (M2), Université Rennes 1, 2005/2007 Course Numerical techniques in nance (M2), ENSAI, 2005/2007 Course Option pricing (M2), Institut de Gestion de Rennes. 2008/2009 Short course on claims reserving techniques, internal training, 2009/2010 Course Actuarial statistics (M1 & M2), Université de Rennes 1, 2006/2007 Course Auditing insurance companies (M2), Institut de Gestion de Rennes, 4

5 Administrative duties and student supervision 0000 Administrative duties, from / Maître de Conférences, Université Rennes 1, Faculté d'économie, Place Hoche, Rennes, in charge of the Master 1, Statistics & Économetrics, Faculty of Mathematics & Faculty of Economics, international partnership (Université de Montréal, Université Laval à Québec), blog and forum with students. 2002/2007 Professor assistant, ENSAE, École Nationale de la Statistique et de l'administration Économique, Malako, in charge of the Actuarial program syllabus for the LMD transition time schedule and exam supervision connexion with the Institut des Actuaires meetings with professionals Student supervision, from /2009 Modelig storms in Europe, ENSAE & ENS Ulm, M2, 2005/2006 Claims reserving and 1 year uncertainty, ENSAE, M2, 2005/2006 Quantile regression, Université Rennes 1, M1, 2005/2006 Option pricing and trees, Université Rennes 1, M1, 2005/2006 Esscher transform (Gerber-Shiu) and option pricing, Université Paris I, M2, 2005/2006 Wang's premium and reinsurance, Université Paris I, M2, 2005/2006 Statistical models for global warminig, ENSAE, M1, 2005/2006 Indierence utility pricing, ENSAE, M2, 2005/2006 Nonadditive measures and applications in economics, ENS Cachan, M1. Miscellaneous 2009/ Member of the jury of the Enterprise Risk Management program of the Institut des Actuaires 2008 Referee for the PhD thesis in economics, Nouvelles approches de l'étude de la sinistralité en assurance automobile, N. Benlagha, Université Paris II Assas, (supervised by M. Grun-Rehomme), 2003/ Member of the Jury of the Institut des Actuaires, 2003/2005 Member of the Jury of the ENA (National School for Administration). 5

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