Keywords: انحراف ریسک نسبی; Relative risk aversion; Pension funds; Job protection; State-dependent preferences;
مقالات ISI انحراف ریسک نسبی (ترجمه نشده)
مقالات زیر هنوز به فارسی ترجمه نشده اند.
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در صورتی که به ترجمه آماده هر یک از مقالات زیر نیاز داشته باشید، می توانید سفارش دهید تا مترجمان با تجربه این مجموعه در اسرع وقت آن را برای شما ترجمه نمایند.
Keywords: انحراف ریسک نسبی; CDF; Cumulative Distribution Function; CRRA; Constant Relative Risk Aversion; CV; Contingent Valuation; CVM; Contingent Valuation Method; DB; Double-Bounded; DBDC; Double-Bounded Dichotomous Choice; DC-CV; Dichotomous Choice-Contingent Valuation; EUT; Exp
Keywords: انحراف ریسک نسبی; Relative risk aversion; Portfolio choice; Panel data; Pension wealth; D12; E21; G11;
Keywords: انحراف ریسک نسبی; D80; G00; I10; I31; Relative risk aversion; Marginal utility of income; Happiness; Health dependence;
News and expected returns in East Asian equity markets: The RV-GARCHM model
Keywords: انحراف ریسک نسبی; C13; C150; C220; C250; G15; Relative risk aversion; Realized GARCH; Realized volatility; Risk-return trade-off; Mean impact curve;
Insurance demand and first-order risk increases under (μ,Ï)-preferences revisited
Keywords: انحراف ریسک نسبی; D81; G22; D11; D14; Mean-variance preferences; Insurance demand; Relative risk aversion; Elasticity of risk aversion;
Consumption and precautionary saving: An empirical analysis under both financial and environmental risks
Keywords: انحراف ریسک نسبی; D81; E21; Q50; Consumption; Precautionary saving; Financial risk; Environmental risk; Prudence; Relative risk aversion; Uncertainty;
Relative risk aversion and the transmission of financial crises
Keywords: انحراف ریسک نسبی; Financial crises; Contagion; International asset pricing; Relative risk aversion; Wealth effects; Capital controls; Tobin tax; D91; E44; F31; F32; G11; G12; G15;
Revisiting the risk/return relations in the Asian Pacific markets: New evidence from alternative models
Keywords: انحراف ریسک نسبی; Relative risk aversion; Structural breaks; Asian Pacific markets
Asset market equilibrium: A simulation
Keywords: انحراف ریسک نسبی; Asset price; Bubble; Relative risk aversion; Giffen good; Simulation;
Credential inflation and educational strategies: A comparison of the United States and the Netherlands
Keywords: انحراف ریسک نسبی; Educational inequality; Credential inflation; United States; Netherlands; Relative risk aversion; Social mobility
Complete monotonicity of the representative consumer's discount factor
Keywords: انحراف ریسک نسبی; D51; D53; D61; D81; D91; E43; G12; Complete monotonicity; Discount factor; Discount rate; Representative consumer; Expected utility; Time additivity; Relative risk aversion; Bernstein's theorem;
Individual preferences and the effect of uncertainty on irreversible investment
Keywords: انحراف ریسک نسبی; Irreversible investment; Relative risk aversion; Intertemporal elasticity of substitution;
Estimation of a utility-based asset pricing model using normal mixture GARCH(1,1)
Keywords: انحراف ریسک نسبی; C11; C15; D31; Relative risk aversion; MLE; Bayesian;
Disentangling risk aversion and intertemporal substitution through a reference level
Keywords: انحراف ریسک نسبی; G1; G11; G12; C1; C5; Non-expected utility; Relative risk aversion; Elasticity of intertemporal substitution; Habit formation; Reference level; Resolution of uncertainty; Equity premium;
Risk preferences in multi-period consumption models, the equity premium puzzle, and habit formation utility
Keywords: انحراف ریسک نسبی; E21; Relative risk aversion; Habit formation; Equity premium puzzle;