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Book Categories |
Ch. 1 | Introduction | 1 |
Ch. 2 | The measurement of risk | 5 |
Ch. 3 | The expected utility model | 21 |
Ch. 4 | The nature of risk preferences | 31 |
Ch. 5 | Stochastic dominance | 53 |
Ch. 6 | Mean-variance analysis | 69 |
Ch. 7 | Alternative models of risk behavior | 79 |
Ch. 8 | Production decisions under risk | 95 |
Ch. 9 | Portfolio selection | 123 |
Ch. 10 | Dynamic decisions under risk | 139 |
Ch. 11 | Contract and policy design under risk | 161 |
Ch. 12 | Contract and policy design under risk : applications | 183 |
Ch. 13 | Market stabilization | 201 |
App. A | Probability and statistics | 209 |
App. B | Optimization | 221 |
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Add Risk Analysis in Theory and Practice, Risk Analysis in Theory and Practice presents an analytical framework and illustrates how to use it to investigate economic decisions under risk. Jean-Paul Chavas provides a systematic treatment of both private and public decisions under uncertainty, taki, Risk Analysis in Theory and Practice to the inventory that you are selling on WonderClubX
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Add Risk Analysis in Theory and Practice, Risk Analysis in Theory and Practice presents an analytical framework and illustrates how to use it to investigate economic decisions under risk. Jean-Paul Chavas provides a systematic treatment of both private and public decisions under uncertainty, taki, Risk Analysis in Theory and Practice to your collection on WonderClub |