The impact of financial crises on the asset allocation : classical theory versus behavioral theory
Year of publication: |
2020
|
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Authors: | Harzallah, Amen Aissi ; Abbes, Mouna Boujelbène |
Published in: |
Journal of interdisciplinary economics. - London [u.a.] : Sage, ISSN 2321-5305, ZDB-ID 2400493-5. - Vol. 32.2020, 2, p. 218-236
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Subject: | Behavioral portfolio theory | mean variance theory | portfolio optimization | financial crisis | investment decisions | Theorie | Theory | Finanzkrise | Financial crisis | Portfolio-Management | Portfolio selection | Verhaltensökonomik | Behavioral economics |
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