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The Complexity of Equilibria for Risk-Modeling Valuations

We study the complexity of deciding the existence of mixed equilibria for minimization games where players use valuations other than expectation to evaluate their costs. We consider risk-averse players seeking to minimize the sum ${\mathsf{V}} = {\mathsf{E}} + {\mathsf{R}}$ of expectation ${\mathsf{E}}$ and a risk valuation ${\mathsf{R}}$ of their costs; ${\mathsf{R}}$ is non-negative and vanishes exactly when the cost incurred to a player is constant over all choices of strategies by the other players. In a ${\mathsf{V}}$-equilibrium, no player could unilaterally reduce her cost. Say that ${\mathsf{V}}$ has the Weak-Equilibrium-for-Expectation property if all strategies supported in a player's best-response mixed strategy incur the same conditional expectation of her cost. We introduce ${\mathsf{E}}$-strict concavity and observe that every ${\mathsf{E}}$-strictly concave valuation has the Weak-Equilibrium-for-Expectation property. We focus on a broad class of valuations shown to have the Weak-Equilibrium-for-Expectation property, which we exploit to prove two main complexity results, the first of their kind, for the two simplest cases of the problem: games with two strategies, or games with two players. For each case, we show that deciding the existence of a ${\mathsf{V}}$-equilibrium is strongly ${\mathcal{NP}}$-hard for certain choices of significant valuations (including variance and standard deviation).

preprint2015arXivOpen access

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