Repetitive risk aversion
From MaRDI portal
Publication:852309
DOI10.1007/S00199-005-0022-1zbMath1120.91017OpenAlexW3125545491MaRDI QIDQ852309
Publication date: 29 November 2006
Published in: Economic Theory (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/s00199-005-0022-1
Related Items (2)
Compatibility of expected utility and \(\mu /\sigma\) approaches to risk for a class of non location-scale distributions ⋮ A class of multiattribute utility functions
Cites Work
- Unnamed Item
- Non-convexities and the efficiency of equilibria in insurance markets with asymmetric information
- Bargaining and boldness
- Environmental auditing in management systems and public policy
- Mixed risk aversion
- Comparative mixed risk aversion: Definition and application to self-protection and willingness to pay
- Proper Risk Aversion
- A General Characterization of Optimal Income Tax Enforcement
- Power and Taxes
- Standard Risk Aversion
- Additively decomposed quasiconvex functions
This page was built for publication: Repetitive risk aversion