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Economics of Risk and Time

Jezik EngleskiEngleski
Knjiga Meki uvez
Knjiga Economics of Risk and Time Christian Gollier
Libristo kod: 04044432
Nakladnici MIT Press Ltd, kolovoz 2004
This book updates and advances the theory of expected utility as applied to risk analysis and financ... Cijeli opis
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This book updates and advances the theory of expected utility as applied to risk analysis and financial decision making. Von Neumann and Morgenstern pioneered the use of expected utility theory in the 1940s, but most utility functions used in financial management are still relatively simplistic and assume a mean-variance world. Taking into account recent advances in the economics of risk and uncertainty, this book focuses on richer applications of expected utility in finance, macroeconomics, and environmental economics.The book covers these topics: expected utility theory and related concepts; the standard portfolio problem of choice under uncertainty involving two different assets; P the basic hyperplane separation theorem and log-supermodular functions as technical tools for solving various decision-making problems under uncertainty; s choice involving multiple risks; the Arrow-Debreu portfolio problem; consumption and saving; the equilibrium price of risk and time in an Arrow-Debreu economy; and dynamic models of decision making when a flow of information on future risks is expected over time. The book is appropriate for both students and professionals. Concepts are presented intuitively as well as formally, and the theory is balanced by empirical considerations. Each chapter concludes with a problem set.

Informacije o knjizi

Puni naziv Economics of Risk and Time
Jezik Engleski
Uvez Knjiga - Meki uvez
Datum izdanja 2004
Broj stranica 466
EAN 9780262572248
ISBN 0262572249
Libristo kod 04044432
Nakladnici MIT Press Ltd
Težina 614
Dimenzije 153 x 229 x 23
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