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We examined the temporal stability of financial risk tolerance in a sample of 36 students enrolled in an undergraduate financial planning program who had taken the test on the same day but took the retest anywhere from 269 days to 814 days later. Relative stability was around .56 after a period...
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less likely to change over the life of an individual, or a variable psychological state which varies readily in response to … change in financial risk tolerance scores of individuals over a 5year period and the factors that influence such change. Our … results indicate a relatively small annual change in individuals’ financial risk tolerance. Although our regression model is …
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Financial risk tolerance is one of the key elements that should be considered in making investment decisions for both investment managers and investors. According to its importance, understanding and measuring of financial risk tolerance is not a simple topic. Therefore measuring of financial...
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Financial risk aversion and financial risk tolerance are sometimes considered to be ‘opposite sides of the same coin’, with the implication being that risk aversion (a term describing the unwillingness of an investor to take risks based on a probability assessment) and risk tolerance (an...
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