Details about Edward Schlee
Access statistics for papers by Edward Schlee.
Last updated 2024-05-06. Update your information in the RePEc Author Service.
Short-id: psc74
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Working Papers
2016
- The Welfare Cost of Uncertainty in Policy Outcomes
NBER Working Papers, National Bureau of Economic Research, Inc 
See also Journal Article The welfare cost of uncertainty in policy outcomes, Journal of Environmental Economics and Management, Elsevier (2019) View citations (1) (2019) Chapter The welfare cost of uncertainity in policy outcomes, Chapters, Edward Elgar Publishing (2022) (2022)
2011
- Information and the Equity Premium
IDEI Working Papers, Institut d'Économie Industrielle (IDEI), Toulouse View citations (2)
Also in Working Papers, Department of Economics, W. P. Carey School of Business, Arizona State University 
See also Journal Article INFORMATION AND THE EQUITY PREMIUM, Journal of the European Economic Association, European Economic Association (2011) View citations (2) (2011)
2008
- Optimal Insurance with Adverse Selection
Levine's Working Paper Archive, David K. Levine View citations (16)
See also Journal Article Optimal insurance with adverse selection, Theoretical Economics, Econometric Society (2012) View citations (31) (2012)
2004
- Expected Consumer's Surplus as an Approximate Welfare Measure
Econometric Society 2004 North American Summer Meetings, Econometric Society
Also in Working Papers, Department of Economics, W. P. Carey School of Business, Arizona State University  Working Papers, Department of Economics, W. P. Carey School of Business, Arizona State University 
See also Journal Article Expected consumer’s surplus as an approximate welfare measure, Economic Theory, Springer (2008) View citations (9) (2008)
2000
- Increasing Returns in the Value of Information
Econometric Society World Congress 2000 Contributed Papers, Econometric Society
1992
- Strategic Information Manipulation in Duopolies
Working papers, Wisconsin Madison - Social Systems View citations (12)
Also in Other publications TiSEM, Tilburg University, School of Economics and Management (1991)  Discussion Paper, Tilburg University, Center for Economic Research (1991)  Working Papers, Tilburg - Center for Economic Research (1991)
See also Journal Article Strategic Information Manipulation in Duopolies, Journal of Economic Theory, Elsevier (1994) View citations (51) (1994)
Undated
- Increased Risk-Bearing with Background Risk
Working Papers, Department of Economics, W. P. Carey School of Business, Arizona State University 
See also Journal Article Increased Risk-Bearing with Background Risk, The B.E. Journal of Theoretical Economics, De Gruyter (2006) View citations (5) (2006)
- Measuring Consumer Welfare Using Statistical Demands
Working Papers, Department of Economics, W. P. Carey School of Business, Arizona State University
Journal Articles
2023
- Money-metrics in local welfare analysis: Pareto improvements and equity considerations
Journal of Economic Theory, 2023, 213, (C)
2022
- MONEY METRICS IN APPLIED WELFARE ANALYSIS: A SADDLEPOINT REHABILITATION
International Economic Review, 2022, 63, (1), 189-210 View citations (4)
2020
- Insurance as a lemons market: Coverage denials and pooling
Journal of Economic Theory, 2020, 189, (C) View citations (5)
2019
- The welfare cost of uncertainty in policy outcomes
Journal of Environmental Economics and Management, 2019, 98, (C) View citations (1)
See also Chapter The welfare cost of uncertainity in policy outcomes, Chapters, 2022, 65-76 (2022) (2022) Working Paper The Welfare Cost of Uncertainty in Policy Outcomes, NBER Working Papers (2016) (2016)
2018
- Radner’s cost–benefit analysis in the small: A correction and new equivalences
Economics Letters, 2018, 172, (C), 31-33
2017
- The nonconcavity of money-metric utility: A new formulation and proof
Economics Letters, 2017, 154, (C), 10-12 View citations (3)
2016
- On Lionel McKenzie's 1957 intrusion into 20th-century demand theory
Canadian Journal of Economics, 2016, 49, (2), 589-636 View citations (2)
Also in Canadian Journal of Economics/Revue canadienne d'économique, 2016, 49, (2), 589-636 (2016) View citations (1)
2013
- Radner’s cost–benefit analysis in the small: An equivalence result
Economics Letters, 2013, 120, (3), 570-572 View citations (1)
- Surplus Maximization and Optimality
American Economic Review, 2013, 103, (6), 2585-2611 View citations (5)
2012
- Optimal insurance with adverse selection
Theoretical Economics, 2012, 7, (3) View citations (31)
See also Working Paper Optimal Insurance with Adverse Selection, Levine's Working Paper Archive (2008) View citations (16) (2008)
2011
- INFORMATION AND THE EQUITY PREMIUM
Journal of the European Economic Association, 2011, 9, (5), 871-902 View citations (2)
See also Working Paper Information and the Equity Premium, IDEI Working Papers (2011) View citations (2) (2011)
2008
- Expected consumer’s surplus as an approximate welfare measure
Economic Theory, 2008, 34, (1), 127-155 View citations (9)
See also Working Paper Expected Consumer's Surplus as an Approximate Welfare Measure, Econometric Society 2004 North American Summer Meetings (2004) (2004)
2007
- MEASURING CONSUMER WELFARE WITH MEAN DEMANDS
International Economic Review, 2007, 48, (3), 869-899 View citations (7)
2006
- Increased Risk-Bearing with Background Risk
The B.E. Journal of Theoretical Economics, 2006, 6, (1), 31 View citations (5)
See also Working Paper Increased Risk-Bearing with Background Risk, Working Papers
2003
- Monopoly, competition and information acquisition
International Journal of Industrial Organization, 2003, 21, (10), 1623-1642 View citations (16)
2002
- Another Look at the Radner-Stiglitz Nonconcavity in the Value of Information
Journal of Economic Theory, 2002, 107, (2), 421-452 View citations (46)
- Optimal Experimentation in Signal Dependent Decision Problems
International Economic Review, 2002, 43, (2), 577-608 View citations (20)
2001
- Buyer experimentation and introductory pricing
Journal of Economic Behavior & Organization, 2001, 44, (3), 347-362 View citations (13)
- Mean-Variance Preferences and Investor Behaviour
Economic Journal, 2001, 111, (474), 849-61 View citations (44)
- The Value of Information in Efficient Risk-Sharing Arrangements
American Economic Review, 2001, 91, (3), 509-524 View citations (73)
2000
- Learning with noiseless information and payoff-relevant signals
Economic Theory, 2000, 16, (1), 63-75 View citations (3)
1999
- Comparative statics tests between decision models under risk
Journal of Mathematical Economics, 1999, 32, (2), 145-166
1996
- The Value of Information About Product Quality
RAND Journal of Economics, 1996, 27, (4), 803-815 View citations (37)
1995
- The Comparative Statics of Deductible Insurance in Expected- and Non-Expected-Utility Theories
The Geneva Risk and Insurance Review, 1995, 20, (1), 57-72 View citations (1)
- Utility Theory with Probability Dependent Outcome Valuation: Extensions and Applications
Journal of Risk and Uncertainty, 1995, 10, (2), 127-42 View citations (2)
1994
- Strategic Information Manipulation in Duopolies
Journal of Economic Theory, 1994, 62, (2), 363-384 View citations (51)
See also Working Paper Strategic Information Manipulation in Duopolies, Working papers (1992) View citations (12) (1992)
- The Preservation of Multivariate Comparative Statics in Nonexpected Utility Theory
Journal of Risk and Uncertainty, 1994, 9, (3), 257-72 View citations (3)
1993
- A curvature condition ensuring uniqueness of Cournot equilibrium, with applications to comparative statics
Economics Letters, 1993, 41, (1), 29-33 View citations (5)
- A curvature condition ensuring uniqueness of Cournot equilibrium, with applications to comparative statics (economics letters 41, no. 1, 1993, pp. 29-33)
Economics Letters, 1993, 43, (2), 239-239 View citations (3)
- Comparative Statics under Uncertainty for a Class of Economic Agents
Journal of Economic Theory, 1993, 61, (2), 412-422 View citations (27)
- The Valuation of Contingent Claims Markets
Journal of Risk and Uncertainty, 1993, 6, (1), 19-31 View citations (1)
1992
- Marshall, Jevons, and the Development of the Expected Utility Hypothesis
History of Political Economy, 1992, 24, (3), 729-744 View citations (3)
- Multivariate Risk Aversion and Intertemporal Substitution
The Geneva Risk and Insurance Review, 1992, 17, (2), 159-169
- Necessary conditions for comparative statics under uncertainty
Economics Letters, 1992, 40, (4), 429-434 View citations (14)
1990
- Multivariate Risk Aversion and Consumer Choice
International Economic Review, 1990, 31, (3), 737-45 View citations (1)
- The Value of Information in Anticipated Utility Theory
Journal of Risk and Uncertainty, 1990, 3, (1), 83-92 View citations (22)
Chapters
2022
- The welfare cost of uncertainity in policy outcomes
Chapter 4 in The Economics of Environmental Risk, 2022, pp 65-76 
See also Working Paper The Welfare Cost of Uncertainty in Policy Outcomes, National Bureau of Economic Research, Inc (2016) (2016) Journal Article The welfare cost of uncertainty in policy outcomes, Elsevier (2019) View citations (1) (2019)
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