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Array ( [TITRE] => <b>Type de document : </b> [TITRE_CLEAN] => Type de document [OPAC_SHOW] => 1 [TYPE] => list [AFF] => Livre [ID] => 4 [NAME] => cp_typdoc [DATATYPE] => integer [VALUES] => Array ( [0] => 5 ) )

Titre : |
Economic and financial decisions under risk
|
Auteur(s) : |
Louis Eeckhoudt
Christian Gollier Harris Schlesinger |
Type de document : | Livre |
Sujets : | Décision -- Economie politique ; Évaluation du risque ; Finances -- Evaluation ; Gestion du risque ; Prise de décision RISQUE ECONOMIQUE |
Résumé : |
"This book represents a concise summary of basic multiperiod decision-making under risk. Its detailed coverage of a broad range of topics is ideally suited for use in advanced undergraduate and introductory graduate courses either as a self-contained text, or the introductory chapters combined with a selection of later chapters can represent core reading in courses on macroeconomics, insurance, portfolio choice, or asset pricing." "The authors start with the fundamentals of risk measurement and risk aversion. They then apply these concepts to insurance decisions and portfolio choice in a one-period model. After examining these decisions in their one-period setting, they devote most of the book to a multiperiod context, which adds the long-term perspective most risk management analyses[...] "This book represents a concise summary of basic multiperiod decision-making under risk. Its detailed coverage of a broad range of topics is ideally suited for use in advanced undergraduate and introductory graduate courses either as a self-contained text, or the introductory chapters combined with a selection of later chapters can represent core reading in courses on macroeconomics, insurance, portfolio choice, or asset pricing." "The authors start with the fundamentals of risk measurement and risk aversion. They then apply these concepts to insurance decisions and portfolio choice in a one-period model. After examining these decisions in their one-period setting, they devote most of the book to a multiperiod context, which adds the long-term perspective most risk management analyses require. Each chapter concludes with a discussion of the relevant literature and a set of problems." --Résumé de l'éditeur. |
Editeur(s) : | Princeton, New Jersey : Princeton University Press |
Date de publication : | 2005 |
Format : | x, 234 p. / ill. / 24 cm |
Langue(s) : | Anglais |
Identifiant : | 978-0-691-09655-1 |
Lien vers la notice : | https://infodoc.agroparistech.fr/index.php?lvl=notice_display&id=157069 |
Exemplaires (1)
Localisation | Emplacement | Pôle | Section | Cote | Support | Disponibilité |
---|---|---|---|---|---|---|
Palaiseau | Jaune | DE Économie | DE1.1 EEC | Papier | Empruntable Disponible |