Investment, expectations and uncertainty
著者
書誌事項
Investment, expectations and uncertainty
Blackwell, 1992
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注記
Bibliography : p. [161]-171
Includes indexes
内容説明・目次
内容説明
This is a study of the investment behaviour of business firms in an uncertain environment. It begins with a general overview of the role of investment in economics. The theory of investment is then examined in a context of risk and uncertainty, taking account of economic theory, and management and decision theory. The authors go on to analyze the theory of risk and uncertainty, focusing on the integration of a coherent account of risk with models of investment behaviour. The book also offers a construction of a set of measures of uncertainty and the use of these in the econometric estimation of investment behaviour, at both aggregate and industry level.
目次
- Introduction
- is investment important?
- capital shortage and trends in investment
- investment under risk
- risk and uncertainty - conceptual issues and measurement problems
- dispersion as a measure of uncertainty
- estimating the effect of uncertainty - aggregate investment
- estimating the effect of uncertainty at industry level
- conclusions and implications of the research.
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