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Decreasing absolute prudence: Characterization and applications to second-best risk sharing. (1996). Gollier, Christian.
In: European Economic Review.
RePEc:eee:eecrev:v:40:y:1996:i:9:p:1799-1815.

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Cited: 11

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  1. On temperance and risk spreading. (2020). Rey, Beatrice ; Courbage, Christophe.
    In: Theory and Decision.
    RePEc:kap:theord:v:88:y:2020:i:4:d:10.1007_s11238-019-09737-0.

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  2. Precautionary motives for private firms’ cash holdings. (2020). Pattitoni, Pierpaolo ; Petracci, Barbara ; Poti, Valerio.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:68:y:2020:i:c:p:150-166.

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  3. Toward a Systematic Approach to the Economic Effects of Risk: Characterizing Utility Functions. (2018). Kimball, Miles ; Gollier, Christian.
    In: TSE Working Papers.
    RePEc:tse:wpaper:32598.

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  4. Toward a Systematic Approach to the Economic Effects of Risk: Characterizing Utility Functions. (2018). Kimball, Miles ; Gollier, Christian.
    In: IDEI Working Papers.
    RePEc:ide:wpaper:32600.

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  5. On temperance and risks spreading. (2018). Rey, Beatrice ; Courbage, Christophe.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-01935866.

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  6. On temperance and risks spreading. (2018). Rey, Beatrice ; Courbage, Christophe.
    In: Working Papers.
    RePEc:gat:wpaper:1828.

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  7. Are People Risk Vulnerable?. (2015). Willinger, Marc ; Beaud, Mickael.
    In: Management Science.
    RePEc:inm:ormnsc:v:61:y:2015:i:3:p:624-636.

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  8. .

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  9. Higher-order Risk Preferences in Social Settings - An Experimental Analysis. (2014). Mayrhofer, Thomas ; Heinrich, Timo.
    In: Ruhr Economic Papers.
    RePEc:zbw:rwirep:508.

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  10. Decreasing Ross risk aversion: Higher-order generalizations and implications. (2014). Li, Jingyuan ; Wang, Jianli.
    In: Journal of Mathematical Economics.
    RePEc:eee:mateco:v:55:y:2014:i:c:p:136-142.

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  11. The impact of prudence on optimal prevention revisited. (2010). Dionne, Georges ; Li, Jingyuan.
    In: Working Papers.
    RePEc:ris:crcrmw:2010_004.

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References

References cited by this document

  1. Arrow, K.J. Aspects of the theory of risk bearing. 1965 En : Yrjo Jahnsson Lectures. Markham Publishing Co: Chicago, IL
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  2. Azariadis, C. Implicit contracts and underemployment equilibria. 1975 Journal of Political Economy. 83 1183-1202

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  4. Borch, K. Equilibrium in a reinsurance market. 1962 Econometrica. 30 424-444
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  5. Drèze, J.H. ; Gollier, C. Risk sharing on the labour market and second-best wage rigidities. 1993 European Economic Review. 37 1457-1482

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  8. Gollier, C. ; Pratt, J.W. Risk vulnerability and the tempering effect of background risk. 1995 Econometrica. -
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  9. Gollier, C. ; Schlesinger, H. The effect of noise in asset-return distributions on the optimal portfolio. 1996 En : . University of Toulouse: Toulouse
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  10. Kimball, M.S. Precautionary saving in the small and in the large. 1990 Econometrica. 58 53-73

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  12. Leland, H.E. Saving and uncertainty, the precautionary demand for saving. 1968 Quarterly Journal of Economics. 82 465-473

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  14. Pratt, J.W. Risk aversion in the small and in the large. 1964 Econometrica. 32 122-136
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  15. Segal, U. ; Spivak, A. First order versus second order risk aversion. 1990 Journal of Economic Theory. 51 111-125

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