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Are Women More Risk Averse? A Sequel
Published 2025-01-01Subjects: “…financial relative risk aversion…”
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Risk-averse estimates of effective properties in heterogeneous elasticity
Published 2023-01-01“…In this work, we propose a theoretical framework for computing pessimistic and optimistic estimates of effective properties in the case of heterogeneous elastic materials with uncertain microscopic elastic properties. We rely on a risk-averse measure widely used in finance called the conditional-value at risk (CVaR). …”
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A Risk-Averse Newsvendor Model under Stochastic Market Price
Published 2021-01-01“…In contrast, when the inventory cost is high, market price uncertainty leads the firm to decrease inventory. Besides, the risk-averse behaviour leads the firm to reduce its stocking quantity.…”
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Ten Years After the 2008 Crisis: Has Risk Aversion Won?
Published 2023-01-01Subjects: Get full text
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Could the Incentive Policy of Shared Parking Be Sustainable? The Viewpoint of Personal Risk Aversion
Published 2022-01-01“…The analytical results show that operational rules based on risk aversion can enable profit-seeking with a bounded capability to obtain considerable economic benefits and release parking resources in an environment of demand competition. …”
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Distributed Risk Aversion Parameter Estimation for First-Price Auction in Sensor Networks
Published 2013-12-01“…More and more clues show that the bidders tend to be risk-averse ones. However, traditional nonparametric approach is only applicable for the case of risk neutrality in a centralized server. …”
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A Reliability-Based Network Equilibrium Model with Adaptive Risk-Averse Travelers
Published 2018-01-01“…Under truncated travel time distribution, the risk-averse levels of travelers are adaptive, which are affected by the characteristics of the used routes besides the confidence level of travelers. …”
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The Complex Dynamics of Bertrand-Stackelberg Pricing Models in a Risk-Averse Supply Chain
Published 2014-01-01“…We construct dynamic Bertrand-Stackelberg pricing models including two manufacturers and a common retailer in a risk-averse supply chain with the uncertain demand. …”
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The Complexity Analysis for Price Game Model of Risk-Averse Supply Chain Considering Fairness Concern
Published 2018-01-01“…This paper, considering risk aversion and fair concern, establishes a dynamic price game model of a dual-channel supply chain in which dual-channel retailer sells products through traditional channel and online channel and the online retailer only sells products through online channel. …”
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Influence of personality trait on business performance: The mediating role of risk aversion in hybrid tourism entrepreneurs
Published 2024-10-01Subjects: Get full text
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The importance of understanding attachment and resilience in residential child care: an argument against risk-averse practice
Published 2011-02-01“…Whilst making reference to research, theoretical and legislative material, consideration will be given to the ethical and developmental issues surrounding the risk-averse approach to practice believed to be increasingly evident in relation to care provision within contemporary social work in Scotland (Scottish Executive, 2005). …”
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The Optimal Strategies of Risk-Averse Newsvendor Model for a Dyadic Supply Chain with Financing Service
Published 2017-01-01“…The budget-constrained retailer as a newsvendor faces a nonnegative random demand and the financial institution provides the loan service for the retailer who is risk-averse. This paper first explores the impact of risk aversion on the decisions in financial supply chain. …”
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Small profits mean peace: food price, risk aversion, and farmers’ choices of sale channels
Published 2025-01-01Subjects: Get full text
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The Study of Mean-Variance Risky Asset Management with State-Dependent Risk Aversion under Regime Switching Market
Published 2021-01-01“…To cope with this problem, firstly, this paper explores the approach of asset-liability management under the state-dependent risk aversion with only risky assets, which has been considered under a continuous-time Markov regime-switching setting. …”
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The Risks to Investment Decisions: Can Financial Knowledge and Investor’s Experience be Moderate?
Published 2024-12-01Subjects: Get full text
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16
Discounted-likelihood valuation of variance and volatility swaps
Published 2025-01-01Subjects: Get full text
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Reliability Analysis of Water Intake Based on MIKE Model
Published 2021-01-01Subjects: Get full text
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Frameworks and Results in Distributionally Robust Optimization
Published 2022-07-01Subjects: Get full text
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Financial Risk Avoidance Based on the Sensor Network and Edge Computing
Published 2022-01-01“…In order to improve the effect of financial risk aversion, this paper studies the financial risk aversion system combined with the edge computing method of the sensor network and proposes a sensor data anomaly detection algorithm based on the offset distance. …”
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