Salient theory and asset pricing for risk averse agents

The Model for Risk Averse Investors. Analysis of equilibrium price for risk averse agents. Risk aversion and wealth effects for salient and non-salient cases. Comparison of risk loving and risk averse equilibrium prices. The Model for Risk Loving Agents.

Подобные документы

  • The effect of deposits at risk is the uncertainty. Build a model based on prospect theory and operationalization of its definition. Analysis of the results and the applicability of theories that explain human behavior under conditions of uncertainty.

    дипломная работа, добавлен 30.07.2016

  • Evans's economic model for studying the establishment of an equilibrium price in the market of one product is considered. Graphs of the dependence of price on time are constructed. The price changes depending on the relationship between supply and demand.

    статья, добавлен 04.12.2023

  • Research and development of a new type of risk modeling method for modern world insurance companies in the conditions of market economy development and globalization, which implements Bayesian networks as the main tool for this type of modeling.

    статья, добавлен 29.12.2018

  • The approaches to assessing the sustainability of budget revenues in a region, which have been tested on the example of 83 subjects of the Russian Federation. The steady growth rate, absolute risk and relative risk of budget revenues are determined.

    статья, добавлен 01.04.2022

  • Critical analysis of corporate bonds Morgan Stanley. Summary of different types of risks associated with investing in bonds, price sensitivity analysis under different scenarios, the calculation of total revenue dollars and the fair value of the bond.

    курсовая работа, добавлен 20.03.2013

  • Regulation at the legislative level of socially responsible investing. Disclosure of information about social and environmental activities in enterprise reporting. Its publication is intended to inform potential investors about risks and threats.

    статья, добавлен 12.05.2024

  • Draft a business plan for the Fitness Gym. Services, major participants, market trends. The influence of external and internal factors: political, social, economic. Sources of financing, pricing and distribution. Analysis of consequences and risk factors.

    бизнес-план, добавлен 04.10.2016

  • Building an adequate model of the Ukrainian agricultural insurance market. Peculiarities of insurance of agricultural products with state support. Studying the impact of the Covid-19 coronavirus pandemic on the development of farms, reducing risks.

    статья, добавлен 04.05.2022

  • Research of a dynamic model for 3 and 4 moments of distribution of returns - bevel and kurtosis. Risk of the Russian and American stock markets. The return on a portfolio of high dividend stocks. The size of the dividend as a potential additional utility.

    дипломная работа, добавлен 27.08.2020

  • The unemployment rate, job vacancies. Deterministic model and characterization of equilibrium. Optimal vacancy-unemployment fluctuations. The stochastic process. Derivation of the wage equation. Results from simulating the dynamic stochastic model.

    статья, добавлен 28.06.2013

  • Nominal cashless economy. The Fiscal Theory of the Price Level. A monetary strategic market games analysis. The problems associated with the monetarist approach to the determination of the price level. Modeling of decision-making process in equilibrium.

    дипломная работа, добавлен 30.07.2016

  • Economic determinants and agents’ participation motives in process. Problem of competition as a "closure" procedure and not as a discovery one. Competition between Agents. Investments overcoming exploitation. Аeature of production in the public sector.

    статья, добавлен 30.03.2017

  • Consideration of transfer pricing as a mechanism for asset redistribution and tax optimization in the TNC. Analysis of the historical and economic basis for the formation of transfer prices. The process of improving transfer pricing control mechanisms.

    статья, добавлен 20.07.2020

  • Analysis of international approaches to measuring operational risks in order to ensure adequate coverage of capital. Development of a methodology for assessing operational risks, most suitable for implementation in the banking practice of Ukraine.

    статья, добавлен 25.09.2016

  • The analysis of social risks as a result of the implementation of European approaches to social policy. The unjustified maintenance of a system of privileges for certain categories of citizens. Increasing government spending on social support programs.

    статья, добавлен 28.09.2016

  • The general-equilibrium model with sticky information. An algorithm study the model’s dynamic properties. Variance decompositions show that monetary policy and aggregate demand shocks account for most of the variance of ination, output, and hours.

    статья, добавлен 28.06.2013

  • Introduce new tools to quantify the impact of cross-border transactions on the local economy. Analysis of decisions of international banks to increase or decrease the amount of risk transfers from a particular economy, consideration of the features.

    дипломная работа, добавлен 10.08.2020

  • The essence of the concept of inflation targeting. Identification and analysis of potential risks the implementation of inflation targeting in Ukraine, their background and ways of overcoming. The use of foreign experience of inflation targeting.

    статья, добавлен 27.08.2016

  • The principles of formation, classification, evaluation of risks accompanying investment activity. The stages а decision-making in the given economic category. The mechanisms for determining the potential value of financial losses from investments.

    статья, добавлен 28.09.2016

  • General Characteristics of JSC "Intergas Central Asia". Financial risks. Vision and purpose of the JSC "Intergas Central Asia". Organizational structure. Analysis of key markets and Analysis of Financial Statements. Financial and economic indicators.

    отчет по практике, добавлен 15.02.2016

  • Research of the impact of information technology on threats to economic security of the enterprise. Analysis of information risks for accounting and search for measures to prevent possible information hazards. Formation of the information society.

    статья, добавлен 18.01.2022

  • Рассмотрение и оценка финансовых рисков компании. Методы исчисления VaR: метод вариации-ковариации, историческое моделирование, метод Монте-Карло, дельта нормальный метод и ручной. Расчет риска в соответствии с Положением Центрального Банка России.

    статья, добавлен 15.07.2018

  • Analysis of the simple optimizing model of nominal price, familiarity with the features. General characteristics a model with random intervals between price changes, examination functions. General characteristics of papers by Campbell and Shiller.

    дипломная работа, добавлен 28.06.2013

  • Selecting the carbon pricing mechanism. Using the costs and benefits derived from regional climate and economic model in the analysis of prices Weitzman. Practical carbon pricing considerations. Integrated regional climate model and the economy in Russia.

    диссертация, добавлен 28.08.2016

  • Analysis of public relations mechanisms. The impact of economic uncertainty, risk industries, changes in the relationship between corporations and the government. The role of public relations in the worldwide activities of transnational corporations.

    магистерская работа, добавлен 27.08.2016

Работы в архивах красиво оформлены согласно требованиям ВУЗов и содержат рисунки, диаграммы, формулы и т.д.
PPT, PPTX и PDF-файлы представлены только в архивах.
Рекомендуем скачать работу и оценить ее, кликнув по соответствующей звездочке.