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Risk analysis in theory and practice

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<rdf:Description>
<dc:creator>Chavas, Jean-Paul</dc:creator>
<dc:date>2004</dc:date>
<dc:description xml:lang="es">Introduction -- The measurement of risk -- The expected utility model -- The nature of 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 -- Contract and policy design under risk: applications -- Market stabilization -- Apendix </dc:description>
<dc:identifier>https://documentacion.fundacionmapfre.org/documentacion/publico/es/bib/25344.do</dc:identifier>
<dc:language>eng</dc:language>
<dc:publisher>Academic Press</dc:publisher>
<dc:rights xml:lang="es">InC - http://rightsstatements.org/vocab/InC/1.0/</dc:rights>
<dc:subject xml:lang="es">Modelos econométricos</dc:subject>
<dc:subject xml:lang="es">Riesgos</dc:subject>
<dc:subject xml:lang="es">Toma de decisiones</dc:subject>
<dc:subject xml:lang="es">Análisis de riesgos</dc:subject>
<dc:subject xml:lang="es">Ejercicios</dc:subject>
<dc:type xml:lang="es">Livros</dc:type>
<dc:title xml:lang="es">Risk analysis in theory and practice</dc:title>
</rdf:Description>
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