CFP 414 |
Peter A. Diamond, Joseph E. Stiglitz, "Increases in Risk and In Risk Aversion," Journal of Economic Theory, (July 1974), 8(3): 337-360 |
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CFP 413 |
Joseph E. Stiglitz, "Incentives and Risk Sharing in Sharecropping," Review of Economic Studies, (April 1974), 41(2): 219-255 (See CFDP 353) |
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CFP 411 |
Joseph E. Stiglitz, "Alternative Theories of Wage Determination and Unemployment in LDC’s: The Labor Turnover Model," Quarterly Journal of Economics, (May 1974), 88(2): 194-227 (See CFDP 335) |
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CFP 410 |
Joseph E. Stiglitz, "The Cambridge-Cambridge Controversy in the Theory of Capital; A View from New Haven: A Review Article," Journal of Political Economy, 82(4): 893-903 |
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CFP 404 |
Partha Dasgupta, Joseph E. Stiglitz, "Benefit-Cost Analysis and Trade Policies," Journal of Political Economy, 82(1): 1-33 (See CFDP 340) |
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CFP 395 |
David Cass, Joseph E. Stiglitz, "Risk Aversion and Wealth Effects on Portfolios with Many Assets," Review of Economic Studies, (July 1972), 39(3): 331-354 |
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CFP 394 |
Joseph E. Stiglitz, "Approaches to the Economics of Discrimination," American Economic Review, Papers and Proceedings, (May 1973), 63(2): 287-295 |
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CFP 390 |
Michael Rothschild, Joseph E. Stiglitz, "Some Further Results on the Measurement of Inequality," Journal of Economic Theory, (April 1973), 6(2): 188-204 (See CFDP 344) |
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CFP 384D |
Joseph E. Stiglitz, "Portfolio Allocation with Many Risky Assets. 4. Comparison with the Multi-commodities Approach," 109-125 (in Szegö and Shell, eds., Mathematical Methods in Investment and Finance, North-Holland, 1972) |
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CFP 384C |
Joseph E. Stiglitz, "Portfolio Allocation with Many Risky Assets. 3 The Term Structure of Interest Rates," 99-108 (in Szegö and Shell, eds., Mathematical Methods in Investment and Finance, North-Holland, 1972) |
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