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Displaying results 51 to 75 of 313.
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Marktrisikoprämie und Inflation
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Nonlinear risk
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Moral hazard, insurance, and some collusion
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The value of a statistical life
a critical review of market estimates throughout the world -
The price impact and survival of irrational traders
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The value of a statistical life and the coefficient of relative risk aversions
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Production and hedging decisions in the presence of basis risk
note -
The equity premium in retrospect
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Welfare effects of transparency in foreign exchange markets
the role of hedging opportunities -
Utility evaluation of risk in retirement saving accounts
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Insurance and expanding systemic risks
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The economics of risk
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Uncovering the risk-return relation in the stock market
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A new method of estimating risk aversion
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Individual preferences, monetary gambles and the equity program
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A few things transport regulators should know about risk and the cost of capital
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Modern banking and OTC derivatives markets
the transformation of global finance and its implications for systemic risk -
Structure and development of financial institutions and links with trust
cross-country evidence -
Risk sharing and industrial specialization
regional and international evidence -
Understanding individual account guarantees
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Government at risk
contingent liabilities and fiscal risk -
How country and safety-net characteristics affect bank risk-shifting
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Risk and technological culture
towards a sociology of virulence -
Management of climate-related hazards in Germany through adaptive social protection
the case of the Ahr Valley Flooding in 2021 -
Absolute and relative measures of time-varying risk premia and the predicatability of stock returns