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Uncertainty and Consumer Bahavior (Reducing Risk (The Stock Market (Mutual…
Uncertainty and Consumer Bahavior
Describing Risk
Probability
Expected Value
Pay Off
Variability
Detivation
Standart Derivation
Decision Making
Preference Toward Risk
Difference Preference Toward Risk
Risk Averse
Risk Loving
Risk Neutral
Risk Premium
Reducing Risk
Diversification
negatively Correlated Variables
The Stock Market
Mutual Funds
Positively Correlated Variables
The Laws of Large Numbers
Actuarial Fairness
Value of Information
The Demand for Risky Assets
Assets
Risky and Riskless Assets
Assets Return
Expected
Actual
Bubbles
Behavioral Economics
Reference Point
Endowment Effect
Lost Aversion
Framing