!!Christian Gollier - Selected publications
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Gollier, C., (2001), The economics of risk and time, MIT Press, 450 pages. (880 citations on Google Scholar)\\
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Gollier, C., and J.W. Pratt, (1996), Risk Vulnerability and the Tempering Effect of Background Risk,  Econometrica, 64, 1109-1124. (382 citations)\\
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Biais, B., and C. Gollier, (1997), Why Do Firms Use Trade Credits? A Signalling Model, with B. Biais, Review of Financial Studies, 10, 903-937. (351 citations)\\
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Eeckhoudt, L., C. Gollier, and H. Schlesinger, (1995), The Risk Averse (and Prudent) Newsboy, Management Science, 41, 786-794. (298 citations)\\
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Gollier, C., B. Jullien, and N. Treich, (2000), Scientific Progress and Irreversibility: An Economic Interpretation of the Precautionary Principle, Journal of Public Economics,  75, 229-53. (274 citations)\\
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Gollier, C., (2002), Discounting an uncertain future, Journal of Public Economics, 85, 149-166. (194 citations)\\
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Gollier (1995), The Comparative Statics of Changes in Risk Revisited, Journal of Economic Theory , 66, 522-536. (126 citations)\\
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Gollier, C., (2008), Intergenerational risk-sharing and risk-taking of a pension fund, Journal of Public Economics, Vol 92/5-6, pp 1463-1485. (103 citations)\\
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Drèze, J.H., and C. Gollier, (1993), Risk Sharing on the Labour Market and Second-Best Wage Rigidity, European Economic Review, 37, 1457-1482. (87 citations)\\
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Gollier, C., and R.J. Zeckhauser, (2005), Aggregation of heterogeneous time preferences, Journal of Political Economy, 113, 878-898. (82 citations)