Number of items: 2.

Gollier, ChristianIdRefORCIDORCID: https://orcid.org/0000-0001-7277-5532 (2004) Optimal Dynamic Portfolio Risk with First-Order and Second-Order Predictability. Contributions to Theoretical Economics, 4 (1).

Faure-Grimaud, AntoineIdRef, Laffont, Jean-JacquesIdRef and Martimort, DavidIdRefORCIDORCID: https://orcid.org/0000-0002-4185-8703 (2002) Risk Averse Supervisors and the Efficiency of Collusion. Contributions to Theoretical Economics, 2 (1).

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