Nettbokhandelen for kjøp og salg av bøker.

Kom i gang

Lær å selge
Lær å kjøpe brukt
Kjøp pensumbøker
Logg inn eller registrer deg
Kjøp et gavekort
For forfattere

Kundeservice

Hjelp
Spor ordre
Brukervilkår
Personvernregler
Informasjonskapsler

Bookis

Om oss
Jobb hos oss!
Gi tilbakemelding
Sjangere

Kontakt oss

Rask levering med

Trygg betaling med

Visa
Mastercard
Vipps
Klarna

© 2026 Bookis AS

Norsk

Norge

Region er basert på IP-adresse

Economic and Financial Decisions Under Risk

Pocket • 2005 • Engelsk

Economic and Financial Decisions Under Risk

Av Louis Eeckhoudt

0 vurderinger • 0.0 av 5

‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌
‌

Om boken

An understanding of risk and how to deal with it is an essential part of modern economics. Whether liability litigation for pharmaceutical firms or an individual's having insufficient wealth to retire, risk is something that can be recognized, quantified, analyzed, treated--and incorporated into our decision-making processes. This book represents a concise summary of basic multiperiod decision-making under risk. Its detailed coverage of a broad range of topics is ideally suited for use in advanc...Vis mer

Om boken

ISBN

9780691122151

Forlag

Princeton University Press

Publiseringsår

2005

Språk

Engelsk

Originaltittel

Economic and Financial Decisions Under Risk

Format

Pocket

Frakt og retur

Frakt

Brukte bøker sendes av selgeren. Forventet leveringstid etter pakken er sendt er 2-4 dager.

Returer

Kontakt selgeren etter levering.

Omtaler · 0

0 vurderinger • 0.0 av 5

Du vil kanskje også like

Risk science

Risk science

Terje Aven

Enterprise Risk Management Advances on Its Foundation and Practice

Enterprise Risk Management Advances on Its Foundation and Practice

Terje Aven

Money, Banking and Financial Markets

Money, Banking and Financial Markets

Stephen Cecchetti

Asset Pricing and Portfolio Choice Theory

Asset Pricing and Portfolio Choice Theory

Rice University) Back Kerry E. (J. Howard Creekmore Professor of Finance Jones School of Business

Statistics and Data Analysis for Financial Engineering with R examples

Statistics and Data Analysis for Financial Engineering with R examples

David Ruppert

Risk Analysis: Assessing Uncertainties Beyond Expected Values and Probabilities 1st Edition

Risk Analysis: Assessing Uncertainties Beyond Expected Values and Probabilities 1st Edition

Terje Aven

Risk Management and Financial Institutions

Risk Management and Financial Institutions

Financial Markets and Institutions

Financial Markets and Institutions

Saunders/Cornett

Risk, crisis & security manegement

Risk, crisis & security manegement

Edward P.

Mathematics for Economists

Mathematics for Economists

Malcolm Pemberton

Financial Institutions Management A Risk Management Approach

Financial Institutions Management A Risk Management Approach

Anthony Saunders

Decision Making in Health and Medicine

Decision Making in Health and Medicine

M. G. Myriam Hunink

Economics

Economics

David Begg

Intermediate Financial Theory

Intermediate Financial Theory

Switzerland) Danthine Jean-Pierre (Vice-Chairman of the Governing Board at the Swiss National Bank in Bern

International Series on Actuarial Science

International Series on Actuarial Science

Eric Bolviken

Introductory Course on Financial Mathematics

Introductory Course on Financial Mathematics

M.V Tretyakov

Climate Casino : Risk, Uncertainty, and Economics for a Warming World

Climate Casino : Risk, Uncertainty, and Economics for a Warming World

William D. Nordhaus

Quantitative risk assessment

Quantitative risk assessment

Terje Aven

Financial Economics

Financial Economics

Frank J. Fabozzi

Misconceptions of Risk

Misconceptions of Risk

Terje Aven

Risk management and financial

Risk management and financial

John C. Hull

Behavioral Finance Psychology, Decision-Makin…

Behavioral Finance Psychology, Decision-Makin…

Lucy Ashford

Analysis of Financial Time Series

Analysis of Financial Time Series

Ruey S. Tsay

Fixed Income Securities

Fixed Income Securities

Pietro Veronesi

Market Risk Analysis I

Market Risk Analysis I

Carol Alexander

Market Risk Analysis II

Market Risk Analysis II

Carol Alexander

Financial Institutions Management Sixth Edition

Financial Institutions Management Sixth Edition

Saunders Cornett

Corporate decision making with macroeconomic uncertainty

Corporate decision making with macroeconomic uncertainty

Clas Wihlborg

Modern Financial Macroeconomics

Modern Financial Macroeconomics

Todd Knoop

Credit Risk Management

Credit Risk Management

Colquitt, Joetta

The Economics of Money, Banking, and Financial Markets

The Economics of Money, Banking, and Financial Markets

Frederic S. Mishkin

Numerical Methods in Finance and Economics A MATLAB-Based Introduction

Numerical Methods in Finance and Economics A MATLAB-Based Introduction

Paolo Brandimarte

Risk-Neutral Valuation Pricing and Hedging of Financial Derivatives

Risk-Neutral Valuation Pricing and Hedging of Financial Derivatives

Nicholas H. Bingham

Real Options and Investment Under Uncertainty Classical Readings and Recent Contributions

Real Options and Investment Under Uncertainty Classical Readings and Recent Contributions

Eduardo S. Schwartz

Foundations of risk analysis

Foundations of risk analysis

Terje Aven

Risk Management & Derivates

Risk Management & Derivates

Rene M. Stulz

Derivatives: Valuation and Risk Management

Derivatives: Valuation and Risk Management

David A. Aaker

Investment Under Uncertainty

Investment Under Uncertainty

Avinash K. Dixit, Robert S. Pindyck

Etterforskning pågår

Etterforskning pågår

David Torjussen