Christian Gollier, “Aversion to risk of regret and preference for positively skewed risks”, Economic Theory, Springer Berlin / Heidelberg, 2019, forthcoming.
Christian Gollier, and Miles S. Kimball, “New methods in the classical economics of uncertainty : Comparing risks”, The Geneva Risk and Insurance Review, vol. 43, 2018, pp. 5–23.
Christian Gollier, and Miles S. Kimball, “Toward a Systematic Approach to the Economic Effects of Risk: Characterizing Utility Functions"”, Journal of Risk and Insurance, vol. 85, 2018, pp. 397–430.
Christian Gollier, “Valorisation des investissements ultra-longs et développement durable”, L'Actualité Économique, vol. 92, n. 4, December 2016.
Christian Gollier, “Evaluation of long-dated assets : The role of parameter uncertainty”, Journal of Monetary Economics, vol. 84, December 2016, pp. 66–83.
Catherine Bobtcheff, Thomas Chaney, and Christian Gollier, “Analysis of systemic risk in the insurance industry”, The Geneva Risk and Insurance Review, vol. 41, n. 1, 2016, pp. 73–106.
Christian Gollier, and Jean Tirole, “Negotiating effective institutions against climate change”, Economics of Energy and Environmental Policy, vol. 4, n. 2, June 2015, pp. 5–27.
Christian Gollier, “Long-term savings: The case of life insurance in France”, Financial Stability Review (Banque de France), vol. 19, 2015, pp. 129–136.