Search alternatives:
aversion » version, inversion, diversion

1
by de Palma, André
Published 2008
OECD Publishing
...Rationalité, aversion au risque et enjeu sociétal majeur...

2
Published 2006
OECD Publishing
... incorporating risk aversion, following the analytical framework in OECD (2001). In contrast, this paper studies...

3
by de Palma, André
Published 2008
OECD Publishing
...Rational Behaviour, Risk Aversion, High Stakes for Society...

4
by Haugh, David
Published 2009
OECD Publishing
... Germany and other euro area countries. While the general increase in risk aversion that has characterised...

5
Published 2009
OECD Publishing
Table of Contents: ...Rational Behaviour, Risk Aversion: High Stakes for Society -- Towards a Risk-based Aviation...

6
Published 2009
OECD Publishing
Table of Contents: ... modèles de risque -- Rationalité, aversion au risque et enjeu sociétal majeur -- Adaptation de la...

7
by Murtin, Fabrice
Published 2015
OECD Publishing
... model relies on a Constant Relative Risk Aversion (CRRA) utility function, which has no specific...

8
Published 2006
OECD Publishing
... an evaluation of farmers' relative risk aversion coefficients...

9
by Greene, David L.
Published 2010
OECD Publishing
... stressed the role of uncertainty and risk or loss aversion in consumers' decision making. Uncertainty plus...

10
by Fournier, Jean-Marc
Published 2018
OECD Publishing
..., the share of defaults in neighbouring countries, the risk-free rate and investors' risk aversion. Debt...

11
by Senik, Claudia
Published 2009
OECD Publishing

12
by Blommestein, Hans J.
Published 2009
OECD Publishing
... is that when the recovery gains traction and risk aversion falls, yields will start to rise. There are already...

13
by Tapia, Waldo
Published 2007
OECD Publishing
... consistent with their investment horizon, degree of risk aversion and the portfolio of other assets they hold...

14
Published 2020
OECD Publishing
... specific behavioural and structural barriers - such as public perception, risk aversion, accountability...

15
by Lepers, Etienne
Published 2021
OECD Publishing
... but not global risk aversion and, unlike banks, OFCs cut foreign investment in periods of domestic investment; 2...

16
by Kolerus, Christina
Published 2012
OECD Publishing
... on their (subjectively assessed) risk aversion. Second, the introduction of the Riester pension scheme in 2002...

17
by Olaberría, Eduardo
Published 2014
OECD Publishing
..., cycles in capital flows to EMEs are linked to global conditions, including global risk aversion and long...

18
Published 2022
OECD Publishing
... risk aversion and learning at the portfolio level; identifying synergies among projects and activities...

19
by Schich, Sebastian
Published 2007
OECD Publishing
... of sustainability of valuations under changing global monetary liquidity conditions and risk aversion. Different...

20
by Dayton-Johnson, Jeff
Published 2004
OECD Publishing
... to risk-averse people. As such, mitigating and coping with the risk of natural disasters is a pressing...