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Risk analysis in theory and practice / Jean-Paul Chavas.

By: Material type: TextTextLanguage: English Series: Academic press advanced finance seriesPublication details: San Diego : Elsevier Academic Press, 2004.Description: viii, 247 páginas : ilustraciones, gráficas, tablas ; 23 cmContent type:
  • Texto
Media type:
  • Sin mediación
Carrier type:
  • Volumen
ISBN:
  • 0121706214
Subject(s): DDC classification:
  • 330.015195  C41r 21
Other classification:
  • C01
Contents:
Chapter 1: Introduction -- Chapter 2: The measurement of risk -- Chapter 3: The expected utility model -- Chapter 4: The nature of risk preferences -- Chapter 5: Stochastic dominance -- Chapter 6: Mean-variance analysis -- Chapter 7: Alternative models of risk behavior -- Chapter 8: Production decisions under risk -- Chapter 9: Portfolio selection -- Chapter 10: Dynamic decisions under risk -- Chapter 11: Contract and policy design under risk -- Chapter 12: Contract and policy design under risk: Applications -- Chapter 13: Market stabilization - Appendix A: Probability and statistics - Appendix B: Optimization - Index.
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Holdings
Item type Home library Call number Status Notes Date due Barcode Item holds
LIBRO FISICO Biblioteca Principal 330.015195 C41r (Browse shelf(Opens below)) Available Mantener en colección. 29004016841990
Total holds: 0

Incluye referencias bibliográficas (páginas 231-235) e índice.

Chapter 1: Introduction -- Chapter 2: The measurement of risk -- Chapter 3: The expected utility model -- Chapter 4: The nature of risk preferences -- Chapter 5: Stochastic dominance -- Chapter 6: Mean-variance analysis -- Chapter 7: Alternative models of risk behavior -- Chapter 8: Production decisions under risk -- Chapter 9: Portfolio selection -- Chapter 10: Dynamic decisions under risk -- Chapter 11: Contract and policy design under risk -- Chapter 12: Contract and policy design under risk: Applications -- Chapter 13: Market stabilization - Appendix A: Probability and statistics - Appendix B: Optimization - Index.

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