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Portfolio characterization of risk aversion

By J. Werner, MN (United States). Dept. of Economics) Minneapolis Zhenyu Wang (Minnesota Univ. and Bonn Univ. (Germany). Sonderforschungsbereich 303 - Information und die Koordination Wirtschaftlicher Aktivitaeten


SIGLEAvailable from TIB Hannover: RO 2708(373) / FIZ - Fachinformationszzentrum Karlsruhe / TIB - Technische InformationsbibliothekDEGerman

Topics: 05D - Economics, economic theory, RISK AVERSION, MONETARY ASPECTS, ECONOMICAL MODEL
Year: 1992
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Provided by: OpenGrey Repository
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