Risk Analysis in Theory and Practice - Softcover

Buch 3 von 23: Academic Press Advanced Finance

Chavas, Jean-Paul

 
9781493300259: Risk Analysis in Theory and Practice

Inhaltsangabe

The objective of this book is to present this analytical framework and to illustrate how it can be used in the investigation of economic decisions under risk. In a sense, the economics of risk is a difficult subject: it involves understanding human decisions in the absence of perfect information. How do we make decisions when we do not know some of events affecting us? The complexities of our uncertain world and of how humans obtain and process information make this difficult. In spite of these difficulties, much progress has been made. First, probability theory is the corner stone of risk assessment. This allows us to measure risk in a fashion that can be communicated among decision makers or researchers. Second, risk preferences are now better understood. This provides useful insights into the economic rationality of decision making under uncertainty. Third, over the last decades, good insights have been developed about the value of information. This helps better understand the role of information in human decision making and this book provides a systematic treatment of these issues in the context of both private and public decisions under uncertainty.

Die Inhaltsangabe kann sich auf eine andere Ausgabe dieses Titels beziehen.

Weitere beliebte Ausgaben desselben Titels

9780121706210: Risk Analysis in Theory and Practice (Academic Press Advanced Finance)

Vorgestellte Ausgabe

ISBN 10:  0121706214 ISBN 13:  9780121706210
Verlag: Academic Press, 2004
Hardcover