Louis Eeckhoudt, Christian Gollier, and Harris Schlesinger, Economic and Financial Decisions under Risk, Princeton University Press, February 2005, 244 pages.
Christian Gollier, “Coût de l'inassurabilité et coûts de l'assurance”, Revue d'économie financière, n. 80, 2005, pp. 39–52.
Christian Gollier, “Les déterminants socio-économiques des comportements face aux risques : commentaire”, Revue Économique, vol. 56, 2005, pp. 417–422.
Christian Gollier, “Quel taux d'actualisation pour l'avenir ?”, Revue Française d'Économie, vol. 19, 2005, pp. 59–82.
Christian Gollier, “Misery Loves Company: Equilibrium Portfolios with Heterogeneous Consumption Externalities”, International Economic Review, vol. 45, n. 4, November 2004, pp. 1169–1192.
David Alary, and Christian Gollier, “Debt Contract, Strategic Default, and Optimal Penalities with Judgement Errors”, Annals of Economics and Finance, Peking University Press, vol. 2, n. 5, November 2004, pp. 357–372.
Christian Gollier, “Maximizing the Expected Net Future Value as an Alternative Strategy to Gamma Discounting”, Finance Research Letters, vol. 1, n. 2, June 2004, pp. 85–89.
Christian Gollier, “Insurability”, in Encyclopedia of Actuarial Science, Wiley, vol. 2, 2004, pp. 899–903.
Christian Gollier, and Harris Schlesinger, “Preserving Preference Rankings under Background Risk”, Economics Letters, Elsevier, vol. 80, n. 3, September 2003, pp. 337–341.
Christian Gollier, Denis Hilton, and E. Raufaste, “Daniel Kahneman et l'analyse de la décision face au risque”, Revue d'Économie Politique, vol. 3, May 2003, pp. 295–308.
Christian Gollier, “Time Horizon and the Discount Rate”, Journal of Economic Theory, vol. 107, n. 2, December 2002, pp. 463–473.
Christian Gollier, “Time Diversification, Liquidity Constraints, and Decreasing Aversion to Risk on Wealth”, Journal of Monetary Economics, vol. 49, n. 7, October 2002, pp. 1439–1459.
Christian Gollier, and Richard Zeckhauser, “Time Horizon and Portfolio Risk”, Journal of Risk and Uncertainty, vol. 24, n. 3, May 2002, pp. 195–212.
Christian Gollier, and Harris Schlesinger, “Changes in Risk and Asset Prices”, Journal of Monetary Economics, vol. 49, n. 4, 2002, pp. 761–795.
Christian Gollier, “Discounting an Uncertain Future”, Journal of Public Economics, vol. 85, 2002, pp. 149–166.
Christian Gollier, “Wealth Inequality and Asset Pricing”, The Review of Economic Studies, vol. 68, 2001, pp. 181–203.
Christian Gollier, The Economics of Risk and Time, MIT Press, 2001.
Christian Gollier, and Carole Haritchabalet, “Assurance et prévention optimale”, Revue d'Économie Politique, vol. 110, n. 2, March 2000, pp. 181–205.
Contact
E-mail : see the e-mail
Tel : + (33) 5 61 12 86 30
Office : T.569
Assistant
Florence Pierrelée
E-mail : see the e-mail
Tel : +33 (0)5 61 12 86 10
Office : T.568