The place of portfolio management in the Keynesian canon
Year of publication: |
2018
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Authors: | Woods, J. E. |
Published in: |
Cambridge journal of economics. - Oxford : Oxford Univ. Press, ISSN 0309-166X, ZDB-ID 131778-7. - Vol. 42.2018, 1, p. 231-257
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Subject: | Portofolio management | J. M. Keynes | Benjamin Graham | uncertainty | investment | speculation | the Margin of Safety | investment-risk | diversification | Theorie | Theory | Portfolio-Management | Portfolio selection | Keynesianismus | Keynesian economics | Risiko | Risk | Risikomanagement | Risk management |
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