Comparative Mixed Risk Aversion: Definition and Application to Self-Protection and Willingness to Pay

被引:0
作者
Kaïs Dachraoui
Georges Dionne
Louis Eeckhoudt
Philippe Godfroid
机构
[1] Statistics Canada,Micro Economic Analysis Division
[2] and CREF,Canada Research Chair in Risk Management
[3] HEC Montréal,FUCaM
[4] CREF,undefined
[5] and CIRPÉE,undefined
[6] Mons,undefined
来源
Journal of Risk and Uncertainty | 2004年 / 29卷
关键词
mixed risk aversion; more risk averse MRA; self-protection; willingness to pay; background risk;
D O I
暂无
中图分类号
学科分类号
摘要
We analyze the optimal choices of agents with utility functions whose derivatives alternate in sign, an important class that includes most of the functions commonly used in economics and finance (Mixed Risk Aversion, MRA, Caballé and Pomansky, 1996). We propose a comparative mixed risk aversion definition for this class of utility functions, namely, “More Risk Averse MRA”, and provide a sufficient condition to compare individuals. We apply the model to optimal prevention and willingness to pay. More risk averse MRA agents spend less to reduce accident probabilities that are above 1/2. They spend more only when accident probabilities are below 1/2. Explanations in terms of risk premiums are provided. The results presented also allow for the presence of background risk.
引用
收藏
页码:261 / 276
页数:15
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