摘要
本文提出了一个基于累积前景理论构建风险决策模型,系统阐述了模型建构的基本方法,通过风险敏感性分析量化来实现PPP项目的风险分担,有助于公私双方对风险分担安排达成共识。
This paper proposes a framework that the cumulative prospect theory is applied to the risk decision.Based on sensitivity analysis,the risk allocation can be more rational and helps to reach consensus between the private promoter and the public sector in PPP project financing scheme.
出处
《价值工程》
2017年第12期69-71,共3页
Value Engineering
关键词
累积前景理论
PPP
风险分担
cumulative prospect theory
PPP
risk allocation