Asset allocation and the investor's relative risk aversion
Year of publication: |
1993
|
---|---|
Authors: | Sar, Nico L. van der |
Published in: |
Modelling reality and personal modelling. - Heidelberg : Physica-Verl. [u.a.], ISBN 3-7908-0682-X. - 1993, p. 342-355
|
Subject: | Portfolio-Management | Portfolio selection | Risiko | Risk | Theorie | Theory |
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