Risk Analysis in Theory and Practice

ISBN-10: 0121706214

ISBN-13: 9780121706210

Edition: 2004

Authors: Jean-Paul Chavas

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Description:

The author presents an analytical framework & illustrates how to use this to investigate economic decisions under risk. Taking into consideration crucial factors, including risk assessment, using probability theory, risk measurement & risk preferences, this book offers a systematic treatment of decision making.
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Book details

List price: $94.95
Copyright year: 2004
Publisher: Elsevier Science & Technology Books
Publication date: 6/4/2004
Binding: Hardcover
Pages: 247
Size: 6.00" wide x 9.00" long x 0.75" tall
Weight: 1.188

Introduction
The Measurement of Risk
The Expected Utility Model
Risk Preferences
Stochastic Dominance
Mean-Variance Analysis
Alternative Models of Risk Behavior
Production Decisions under Risk
Portfolio Selection
Dynamic Decisions under Risk
Contract and Policy Design under Risk
Some Applications
Market Stabilization
Probability and Statistics
Optimization
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