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Christian Gollier

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First Name: Christian
Middle Name:
Last Name: Gollier
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RePEc Short-ID: pgo91

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This author is among the top 5% authors according to these criteria:
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  12. Number of Journal Pages, Weighted by Recursive Impact Factor
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  14. Number of Journal Pages, Weighted by Number of Authors and Simple Impact Factors
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Works

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Working papers | Articles | Access and download statistics | Citations (if any)| NEP Fields |
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Working papers

  1. GOLLIER, Christian, 2007. "Assets Relative Risk for Long-term Investors," IDEI Working Papers 466, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  2. GOLLIER, Christian, 2007. "Optimal expectations with complete markets," IDEI Working Papers 463, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  3. GOLLIER, Christian, 2007. "The determinants of the insurance demand by firms," IDEI Working Papers 468, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  4. Brunnermeier, Markus K & Gollier, Christian & Parker, Jonathan A, 2007. "Optimal Beliefs, Asset Prices and the Preference for Skewed Returns," CEPR Discussion Papers 6181, C.E.P.R. Discussion Papers. [Downloadable!] (restricted)
    Other versions:

    Published as:

  5. BOBTCHEFF Catherine & GOLLIER Christian & ZECKHAUSER Richard, 2007. "Resource Allocation when Projects Have Ranges of Increasing Returns," Working Papers 07.03.224, LERNA, University of Toulouse. [Downloadable!]

  6. GOLLIER, Christian, 2007. "Intergenerational Risk-Sharing and Risk-Taking of a Pension Fund," IDEI Working Papers 42, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Other versions:

  7. BEC, Frédérique & GOLLIER, Christian, 2007. "Assets Returns Volatility and Investment Horizon: The French Case," IDEI Working Papers 467, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Other versions:

  8. Christian Gollier & Alexander Muermann, 2006. "Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment," CFS Working Paper Series 2006/28, Center for Financial Studies. [Downloadable!]
    Other versions:

  9. GOLLIER Christian & MUERMANN Alexander, 2006. "Optimal choice and beliefs with ex ante savoring ex post disappointment," Working Papers 06.18.211, LERNA, University of Toulouse. [Downloadable!]

  10. GOLLIER, Christian, 2006. "Does Ambiguity Aversion Reinforce Risk Aversion? Applications to Portfolio Choices and Asset Pricing," IDEI Working Papers 357, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  11. GOLLIER, Christian, 2006. "An Evaluation of Stern's Report on the Economics of Climate Change," IDEI Working Papers 464, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  12. GOLLIER, Christian, 2005. "Understanding Saving and Portfolio Choices with Predictable Changes in Assets Returns," IDEI Working Papers 392, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Other versions:

  13. Christian Gollier, 2005. "The Consumption-Based Determinants of the Term Structure of Discount Rates," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]
    Other versions:

  14. Christian Gollier, 2005. "Optimal Portfolio Management for Individual Pension Plans," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]
    Other versions:

  15. Christian Gollier, 2005. "Optimal Illusions and Decisions under Risk," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]
    Other versions:

  16. Christian Gollier, 2005. "Some Aspects of the Economics of Catastrophe Risk Insurance," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]

  17. GOLLIER, Christian, 2005. "Does Flexibility Enhance Risk Tolerance?," IDEI Working Papers 390, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  18. Christian Gollier & Mark Ivaldi, 2005. "Study On Competition Policy In The Portuguese Insurance Sector: Econometric Measurement Of Unilateral Effects In The Caixa/Bcp Merger Case," Working Papers 07, Portuguese Competition Authority. [Downloadable!]

  19. GOLLIER, Christian, 2004. "Optimal Positive Thinking and Decisions under Risk," IDEI Working Papers 268, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  20. GOLLIER, Christian, 2004. "Choice of Nuclear Power Investments under Price Uncertainty: Valuing Modularity," IDEI Working Papers 287, Institut d'Économie Industrielle (IDEI), Toulouse.
    Other versions:

    Published as:

  21. GOLLIER, Christian & SCHLEE, Edward, 2003. "Information and the Equity Premium," IDEI Working Papers 251, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Other versions:

  22. GOLLIER, Christian, 2003. "Transitory Shocks to GNP and the Consumption-Based Term Structure of Interest Rates," IDEI Working Papers 175, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  23. GOLLIER, Christian, 2003. "Who Should we Believe? Collective Risk-Taking Decisions with Heterogeneous Beliefs," IDEI Working Papers 201, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  24. GOLLIER, Christian, 2003. "Maximizing the Expected Net Future Value as an Alternative Strategy to Gamma Discounting," IDEI Working Papers 213, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Published as:

  25. GOLLIER, Christian, 2003. "Optimal Dynamic Portfolio Risk with First-Order and Second-Order Predictability," IDEI Working Papers 250, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]
    Published as:

  26. Christian Gollier & Richard Zeckhauser, 2003. "Collective Investment Decision Making with Heterogeneous Time Preferences," NBER Working Papers 9629, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
    Other versions:

  27. Christian Gollier, 2003. "Collective Risk-Taking Decisions with Heterogeneous Beliefs," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]

  28. GOLLIER, Christian, 2002. "Optimal Prevention of Unknown Risks: A Dynamic Approach with Learning," IDEI Working Papers 139, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  29. Harris Schlesinger & Christian Gollier, 2001. "Changes in Risk and Asset Prices," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH. [Downloadable!]
    Published as:

  30. Luis Eeckhoudt & Christian Gollier & Giovanni Immordino, 2001. "How Diagnostic Tests Affect Prevention: a Cost-Benefit Analysis," CSEF Working Papers 53, Centre for Studies in Economics and Finance (CSEF), University of Salerno, Italy. [Downloadable!]

  31. EECKHOUDT, Louis & GOLLIER, Christian, 2001. "Are Independent Optimal Risks Substitutes?," IDEI Working Papers 128, Institut d'Économie Industrielle (IDEI), Toulouse. [Downloadable!]

  32. Gollier, Christian & Rochet, Jean-Charles, 1998. "Discounting an Uncertain Future," CESifo Working Paper Series CESifo Working Paper No. , CESifo GmbH.
    Published as:

  33. Eeckhoudt, L. & Gollier, C., 1998. "Which Shape for the Cost Curve of Risk?," Papers 98.490, Toulouse - GREMAQ.

  34. Christian Gollier & Richard J. Zeckhauser, 1997. "Horizon Length and Portfolio Risk," NBER Technical Working Papers 0216, National Bureau of Economic Research, Inc. [Downloadable!] (restricted)
    Published as:

  35. Gollier, G., 1997. "Optimal Insurance Design: What Can We Do Without Expected Utility?," Papers 97.463, Toulouse - GREMAQ.

  36. Eeckhoudt,L. & Gollier, C., 1997. "Changing in Risk and Risk Taking: A Survey," Papers 97.472, Toulouse - GREMAQ.

  37. Gollier, C., 1997. "Wealth Inequality and Asset Pricing," Papers 97.486, Toulouse - GREMAQ.
    Published as:

  38. Gollier, C. & Jullien, B. & Treich, N., 1997. "Learning and Irreversibility: An Econmic Interpretation of the "Precautionnary Principle"," Papers 97.470, Toulouse - GREMAQ.

  39. Christian Gollier & Pierre-François Koehl & Jean-CharlesRochet, 1996. "Risk-Taking Behavior with Limited Liability and Risk Aversion," Center for Financial Institutions Working Papers 96-13, Wharton School Center for Financial Institutions, University of Pennsylvania. [Downloadable!]
    Other versions:

  40. Gollier, C. & Zeckhauser, R.J., 1996. "Time Horizon Length and Risk Aversion," Papers 96.410, Toulouse - GREMAQ.

  41. Eeckhoudt, L. & Gollier, C. & Schlesinger, H., 1996. "The No Loss Offset Provision and the Attitude Towards Risk of a Risk-Neutral Firm," Papers 96.409, Toulouse - GREMAQ.
    Published as:

  42. G. Dionne & C. Gollier, 1996. "A model of comparative statics for changes in stochastic returns with dependent risky assets," THEMA Working Papers 96-09, THEMA (THéorie Economique, Modélisation et Applications), Université de Cergy-Pontoise.
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    Published as:

  43. Gollier, C. & Lindsey, J. & Zeckhauser, R., 1996. "Investment Flexibility and the Acceptance of Risk," Papers 96.421, Toulouse - GREMAQ.
    Published as:

  44. Beatriz Armendariz de Aghion & Christian Gollier, 1996. "Peer Grouping in An Adverse Selection Model," Discussion Papers 96-24 ISSN 1350-6722, University College London, Department of Economics. [Downloadable!]

  45. Gollier, C. & Kimball, M.S., 1996. "New Methods in the Classical Economics of Uncertainty: Comparing Risks," Papers 96.412, Toulouse - GREMAQ.

  46. Eeckhoudt, L. & Gollier, C., 1996. "The Insurance of Low Probability Events," Papers 976.423, Toulouse - GREMAQ.

  47. Gollier, C. & Treich, N., 1996. "The Effect of an Early Resolution of Uncertainty on Savings," Papers 96.408, Toulouse - GREMAQ.

  48. EECKHOUDT, Louis & Christian GOLLIER, 1994. "Demand for Risky Assets and Stochastic Dominance: A Note," Working Papers 007, Risk and Insurance Archive. [Downloadable!]

  49. EECKHOUDT, Louis & Christian GOLLIER & Harris SCHLESINGER, 1994. "Changes in Background Risk and Risk Taking Behavior," Working Papers 005, Risk and Insurance Archive. [Downloadable!]
    Published as:

  50. Gollier, Christian, 1994. "Dynamic Risk Taking With Indivisible Risks," Working Papers 013, Risk and Insurance Archive. [Downloadable!]

  51. Biais, Bruno & Christian Gollier, 1994. "Adverse selection in an insurance pool," Working Papers 001, Risk and Insurance Archive. [Downloadable!]

  52. EECKHOUDT, Louis & Christian GOLLIER & Thierry SCHNEIDER, 1994. "Risk Aversion, Prudence and Temperance : A Unified Approach," Working Papers 006, Risk and Insurance Archive. [Downloadable!]
    Published as:

  53. Gollier, Christian, 1994. "Second-Best Risk Sharing With Incomplete Contracts," Working Papers 015, Risk and Insurance Archive. [Downloadable!]

  54. GOLLIER, Christian & Eric RENAULT & Jean-Charles ROCHET, 1994. "Recursive Utility, Precautionary Saving and the Demand for Insurance," Working Papers 019, Risk and Insurance Archive. [Downloadable!]

  55. Gollier, Christian & Jean-Jacques Laffont, 1993. "Monopolistic Insurance Markets Under the Coinsurance Clause," Working Papers 017, Risk and Insurance Archive. [Downloadable!]

  56. Gollier, Christian, 1993. "Portfolio Dominance, Lower Conditional Expectation And The Monotone Likelihood Ratio Order," Working Papers 014, Risk and Insurance Archive. [Downloadable!]

  57. Gollier, Christian & John W. PRATT, 1993. "Weak Proper Risk Aversion And The Tempering Effect of Background Risk," Working Papers 018, Risk and Insurance Archive. [Downloadable!]

  58. Gollier, Christian & Pierre-Francois KOEHL & Jean-Charles ROCHET, 1993. "Risk-Taking Behaviour With Expected Utility and Limited Liability: Applications to the Regulation of Financial Intermediaries," Working Papers 016, Risk and Insurance Archive. [Downloadable!]

  59. Dionne, G. & Gollier, C., 1992. "Simple Increases in Risk and Their Comparative Statics for Portfolio Management," Cahiers de recherche 9203, Universite de Montreal, Departement de sciences economiques.
    Other versions:

  60. Gollier, C. & Schlesinger, H., 1992. "Second-Best Insurance Contract Design in an Incomplete Market," Papers 9212, Catholique de Louvain - Center for Operations Research and Economics.
    Published as:

  61. Dionne, G. & Gollier, C., 1991. "Comparative Statics Under Multiple Sources of Risk with Appllications to Insurance Demand," Cahiers de recherche 9133, Universite de Montreal, Departement de sciences economiques.
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  62. Gollier, C. & Wibaut, S., 1991. "A note on portfolio selection by insurance companies and optimal participating insurance policies," Papers 9114, Catholique de Louvain - Center for Operations Research and Economics.

  63. Dreze, J.H. & Gollier, C., 1990. "Risk-Sharing on the Labour Market and Second-Best Wage Rigidities," Papers 9068, Catholique de Louvain - Center for Operations Research and Economics.
    Published as:

  64. Edward Schlee & Christian Gollier, . "Increased Risk-Bearing with Background Risk," Working Papers 2132848, Department of Economics, W. P. Carey School of Business, Arizona State University. [Downloadable!]
    Published as:


Articles

  1. Markus K. Brunnermeier & Christian Gollier & Jonathan A. Parker, 2007. "Optimal Beliefs, Asset Prices, and the Preference for Skewed Returns," American Economic Review, American Economic Association, vol. 97(2), pages 159-165, May.
    Other versions:

  2. Christian Gollier, 2007. "Whom should we believe? Aggregation of heterogeneous beliefs," Journal of Risk and Uncertainty, Springer, vol. 35(2), pages 107-127, October. [Downloadable!] (restricted)

  3. Christian Gollier & Edward Schlee, 2006. "Increased Risk-Bearing with Background Risk," Topics in Theoretical Economics, Berkeley Electronic Press, vol. 6(1), pages 1249-1249. [Downloadable!] (restricted)
    Other versions:

  4. Christian Gollier and Richard Zeckhauser, 2005. "Aggregation of Heterogeneous Time Preferences," Journal of Political Economy, University of Chicago Press, vol. 113(4), pages 878-896, August.

  5. Eeckhoudt, Louis & Gollier, Christian & Treich, Nicolas, 2005. "Optimal consumption and the timing of the resolution of uncertainty," European Economic Review, Elsevier, vol. 49(3), pages 761-773, April. [Downloadable!] (restricted)

  6. Louis Eeckhoudt & Christian Gollier, 2005. "The impact of prudence on optimal prevention," Economic Theory, Springer, vol. 26(4), pages 989-994, November. [Downloadable!] (restricted)

  7. Gollier, Christian & Proult, David & Thais, Francoise & Walgenwitz, Gilles, 2005. "Choice of nuclear power investments under price uncertainty: Valuing modularity," Energy Economics, Elsevier, vol. 27(4), pages 667-685, July. [Downloadable!] (restricted)
    Other versions:

  8. Gollier, Christian, 2004. "Maximizing the expected net future value as an alternative strategy to gamma discounting," Finance Research Letters, Elsevier, vol. 1(2), pages 85-89, June. [Downloadable!] (restricted)
    Other versions:

  9. Christian Gollier, 2004. "Optimal Dynamic Portfolio Risk with First-Order and Second-Order Predictability," Contributions to Theoretical Economics, Berkeley Electronic Press, vol. 4(1), pages 1070-1070. [Downloadable!] (restricted)
    Other versions:

  10. Christian Gollier & Hans-Peter Weikard & Justus Wesseler, 2004. "Introduction: Risk and Uncertainty in Environmental and Resource Economics," Journal of Risk and Uncertainty, Springer, vol. 29(1), pages 5-6, 07. [Downloadable!]

  11. Christian Gollier, 2004. "Misery Loves Company: Equilibrium Portfolios With Heterogeneous Consumption Externalities," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, vol. 45(4), pages 1169-1192, November. [Downloadable!] (restricted)

  12. Gollier, Christian & Treich, Nicolas, 2003. " Decision-Making under Scientific Uncertainty: The Economics of the Precautionary Principle," Journal of Risk and Uncertainty, Springer, vol. 27(1), pages 77-103, August. [Downloadable!] (restricted)

  13. Gollier, Christian & Schlesinger, Harris, 2003. "Preserving preference rankings under background risk," Economics Letters, Elsevier, vol. 80(3), pages 337-341, September. [Downloadable!] (restricted)

  14. Gollier, Christian, 2002. "Discounting an uncertain future," Journal of Public Economics, Elsevier, vol. 85(2), pages 149-166, August. [Downloadable!] (restricted)
    Other versions:

  15. Gollier, Christian, 2002. "Time diversification, liquidity constraints, and decreasing aversion to risk on wealth," Journal of Monetary Economics, Elsevier, vol. 49(7), pages 1439-1459, October. [Downloadable!] (restricted)

  16. Gollier, Christian & Schlesinger, Harris, 2002. "Changes in risk and asset prices," Journal of Monetary Economics, Elsevier, vol. 49(4), pages 747-760, May. [Downloadable!] (restricted)
    Other versions:

  17. Gollier, Christian, 2002. "Time Horizon and the Discount Rate," Journal of Economic Theory, Elsevier, vol. 107(2), pages 463-473, December. [Downloadable!] (restricted)

  18. Gollier, Christian & Zeckhauser, Richard J, 2002. " Horizon Length and Portfolio Risk," Journal of Risk and Uncertainty, Springer, vol. 24(3), pages 195-212, May. [Downloadable!] (restricted)
    Other versions:

  19. Christian Gollier, 2001. "Should we beware of the Precautionary Principle?," Economic Policy, CEPR, CES, MSH, vol. 16(33), pages 301-328, October. [Downloadable!] (restricted)

  20. Eeckhoudt, Louis & Godfroid, Philippe & Gollier, Christian, 2001. "Multiple risks and the value of information," Economics Letters, Elsevier, vol. 73(3), pages 359-365, December. [Downloadable!] (restricted)

  21. Gollier, Christian, 2001. "Wealth Inequality and Asset Pricing," Review of Economic Studies, Blackwell Publishing, vol. 68(1), pages 181-203, January.
    Other versions:

  22. Gollier, Christian & Jullien, Bruno & Treich, Nicolas, 2000. "Scientific progress and irreversibility: an economic interpretation of the 'Precautionary Principle'," Journal of Public Economics, Elsevier, vol. 75(2), pages 229-253, February. [Downloadable!] (restricted)

  23. de Aghion, Beatriz Armendariz & Gollier, Christian, 2000. "Peer Group Formation in an Adverse Selection Model," Economic Journal, Royal Economic Society, vol. 110(465), pages 632-43, July. [Downloadable!] (restricted)

  24. Gollier, Christian & Lindsey, John & Zeckhauser, Richard J., 1997. "Investment Flexibility and the Acceptance of Risk," Journal of Economic Theory, Elsevier, vol. 76(2), pages 219-241, October. [Downloadable!] (restricted)
    Other versions:

  25. Biais, Bruno & Gollier, Christian, 1997. "Trade Credit and Credit Rationing," Review of Financial Studies, Oxford University Press for Society for Financial Studies, vol. 10(4), pages 903-37.

  26. Gollier, Christian, 1997. "On the Inefficiency of Bang-Bang and Stop-Loss Portfolio Strategies," Journal of Risk and Uncertainty, Springer, vol. 14(2), pages 143-54, March. [Downloadable!] (restricted)

  27. Eeckhoudt, Louis & Gollier, Christian & Schlesinger, Harris, 1997. "The no-loss offset provision and the attitude towards risk of a risk-neutral firm," Journal of Public Economics, Elsevier, vol. 65(2), pages 207-217, August. [Downloadable!] (restricted)
    Other versions:

  28. Eeckhoudt, L. & Godfroid, Ph. & Gollier, C., 1997. "Willingness to pay, the risk premium and risk aversion," Economics Letters, Elsevier, vol. 55(3), pages 355-360, September. [Downloadable!] (restricted)

  29. Gollier, Christian, 1997. "A Note on Portfolio Dominance," Review of Economic Studies, Blackwell Publishing, vol. 64(1), pages 147-50, January. [Downloadable!] (restricted)

  30. Gollier, Christian & Schlesinger, Harris, 1996. "Portfolio choice under noisy asset returns," Economics Letters, Elsevier, vol. 53(1), pages 47-51, October. [Downloadable!] (restricted)

  31. Gollier, Christian, 1996. "Decreasing absolute prudence: Characterization and applications to second-best risk sharing," European Economic Review, Elsevier, vol. 40(9), pages 1799-1815, December. [Downloadable!] (restricted)

  32. Gollier, Christian & Pratt, John W, 1996. "Risk Vulnerability and the Tempering Effect of Background Risk," Econometrica, Econometric Society, vol. 64(5), pages 1109-23, September. [Downloadable!] (restricted)

  33. Dionne, Georges & Gollier, Christian, 1996. "A Model of Comparative Statics for Changes in Stochastic Returns with Dependent Risky Assets," Journal of Risk and Uncertainty, Springer, vol. 13(2), pages 147-62, September.
    Other versions:

  34. Eeckhoudt, Louis & Gollier, Christian & Schlesinger, Harris, 1996. "Changes in Background Risk and Risk-Taking Behavior," Econometrica, Econometric Society, vol. 64(3), pages 683-89, May. [Downloadable!] (restricted)
    Other versions:

  35. Gollier, Christian, 1996. "Deductible insurance and production: A comment," Insurance: Mathematics and Economics, Elsevier, vol. 19(1), pages 55-59, December. [Downloadable!] (restricted)

  36. Christian Gollier & Harris Schlesinger, 1996. "Arrow's theorem on the optimality of deductibles: A stochastic dominance approach (*)," Economic Theory, Springer, vol. 7(2), pages 359-363.

  37. Gollier, Christian & Schlesinger, Harris, 1996. "Arrow's Theorem on the Optimality of Deductibles: A Stochastic Dominance Approach," Economic Theory, Springer, vol. 7(2), pages 359-63, February.

  38. Gollier, Christian & Schlesinger, Harris, 1995. " Second-Best Insurance Contract Design in an Incomplete Market," Scandinavian Journal of Economics, Blackwell Publishing, vol. 97(1), pages 123-35, March.
    Other versions:

  39. Eeckhoudt, Louis & Gollier, Christian & Schneider, Thierry, 1995. "Risk-aversion, prudence and temperance: A unified approach," Economics Letters, Elsevier, vol. 48(3-4), pages 331-336, June. [Downloadable!] (restricted)
    Other versions:

  40. Gollier Christian, 1995. "The Comparative Statics of Changes in Risk Revisited," Journal of Economic Theory, Elsevier, vol. 66(2), pages 522-535, August. [Downloadable!] (restricted)

  41. Eeckhoudt, Louis & Gollier, Christian, 1995. "Demand for Risky Assets and the Monotone Probability Ratio Order," Journal of Risk and Uncertainty, Springer, vol. 11(2), pages 113-22, September.

  42. Eeckhoudt, Louis & Gollier, Christian & Levasseur, Michel, 1993. " The Economics of Adding and Subdividing Independent Risks: Some Comparative Statics Results," Journal of Risk and Uncertainty, Springer, vol. 7(3), pages 325-37, December.

  43. Dionne, Georges & Eeckhoudt, Louis & Gollier, Christian, 1993. "Increases in Risk and Linear Payoffs," International Economic Review, Department of Economics, University of Pennsylvania and Osaka University Institute of Social and Economic Research Association, vol. 34(2), pages 309-19, May. [Downloadable!] (restricted)
    Other versions:

  44. Dreze, Jacques H. & Gollier, Christian, 1993. "Risk sharing on the labour market and second-best wage rigidities," European Economic Review, Elsevier, vol. 37(8), pages 1457-1482, December. [Downloadable!] (restricted)
    Other versions:

  45. Dionne, Georges & Eeckhoudt, Louis & Gollier, Christian, 1993. "Relatively weak increases in risk and their comparative statics," Economics Letters, Elsevier, vol. 41(3), pages 269-272. [Downloadable!] (restricted)

  46. Gollier, Christian & Wibaut, Serge, 1992. "Portfolio selection by mutual insurance companies and optimal participating insurance policies," Insurance: Mathematics and Economics, Elsevier, vol. 11(3), pages 237-245, October. [Downloadable!] (restricted)

  47. Gollier, Christian, 1991. "Wage Differentials, the Insider-Outsider Dilemma, and Entry-Deterrence," Oxford Economic Papers, Oxford University Press, vol. 43(3), pages 391-408, July. [Downloadable!] (restricted)

  48. Eeckhoudt, Louis & Gollier, Christian & Schlesinger, Harris, 1991. "Increases in risk and deductible insurance," Journal of Economic Theory, Elsevier, vol. 55(2), pages 435-440, December. [Downloadable!] (restricted)


NEP Fields

25 papers by this author were announced in
NEP, and specifically in the following field reports (number of papers):
  1. NEP-AGE: Economics of Ageing (1) 2007-04-21
  2. NEP-AGR: Agricultural Economics (1) 2005-04-30
  3. NEP-CBA: Central Banking (1) 2007-08-27
  4. NEP-CDM: Collective Decision-Making (3) 2003-04-21 2004-05-02 2004-05-02
  5. NEP-CFN: Corporate Finance (2) 2005-02-06 2007-03-03
  6. NEP-COM: Industrial Competition (1) 2006-04-22
  7. NEP-EEC: European Economics (1) 2007-08-27
  8. NEP-EVO: Evolutionary Economics (1) 2005-02-06
  9. NEP-FIN: Finance (5) 2004-05-02 2005-01-16 2005-02-06 2005-05-14 2006-06-24 Author is listed
  10. NEP-FMK: Financial Markets (4) 2005-01-16 2006-06-24 2006-06-24 2007-08-27
  11. NEP-HEA: Health Economics (1) 2001-11-05
  12. NEP-IAS: Insurance Economics (3) 2005-04-30 2006-04-22 2007-08-27
  13. NEP-IFN: International Finance (1) 1998-08-21
  14. NEP-IND: Industrial Organization (1) 2006-04-22
  15. NEP-MAC: Macroeconomics (2) 2003-04-21 2005-01-16
  16. NEP-MIC: Microeconomics (2) 2001-11-05 2007-08-27
  17. NEP-MON: Monetary Economics (1) 2005-01-16
  18. NEP-PPM: Project, Program & Portfolio Management (1) 2007-09-02
  19. NEP-RMG: Risk Management (3) 2005-04-30 2005-05-14 2007-08-27
  20. NEP-UPT: Utility Models & Prospect Theory (1) 2007-03-17

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This page was last updated on 2008-7-4.


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