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Table of Content
Chapter 1: Introduction
Chapter 2: The Measurement of Risk
Chapter 3: Th e Expected Utility Model Chapter 4: Risk Preferences Chapter 5: Stochastic Dominance Chapter 6: Mean-Vari ance Analysis Chapter 7: Alternative Models of Risk Behavio r Chapter 8: Production Decisions under Risk C hapter 9: Portfolio Selection Chapter 10: Dynamic Decisions under Risk Chapter 11: Contract and Policy Design under Ri sk Chapter 12: Some Applications Chapter 13: M arket Stabilization Appendix A: Probability and Statistics< BR id=‘CRLF’>Appendix B: Optimization
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Table of Content
Chapter 1: Introduction
Chapter 2: The Measurement of Risk
Chapter 3: Th e Expected Utility Model Chapter 4: Risk Preferences Chapter 5: Stochastic Dominance Chapter 6: Mean-Vari ance Analysis Chapter 7: Alternative Models of Risk Behavio r Chapter 8: Production Decisions under Risk C hapter 9: Portfolio Selection Chapter 10: Dynamic Decisions under Risk Chapter 11: Contract and Policy Design under Ri sk Chapter 12: Some Applications Chapter 13: M arket Stabilization Appendix A: Probability and Statistics< BR id=‘CRLF’>Appendix B: Optimization