Risk and risk aversion when states of nature matter
Year of publication: |
2009
|
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Authors: | Werner, Jan |
Published in: |
Economic theory : official journal of the Society for the Advancement of Economic Theory. - Berlin : Springer, ISSN 0938-2259, ZDB-ID 1059110-2. - Vol. 41.2009, 2, p. 231-246
|
Subject: | Rothschild-Stiglitz model | Risikoaversion | Risk aversion | Erwartungsnutzen | Expected utility | Portfolio-Management | Portfolio selection | Theorie | Theory |
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