Pages that link to "Item:Q1679557"
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The following pages link to Household risk aversion and portfolio choices (Q1679557):
Displaying 9 items.
- Relative risk aversion once more: An analysis of Japanese households' financial asset holding pattern (Q1000368) (← links)
- Does relative risk aversion vary with wealth? Evidence from households portfolio choice data (Q1655733) (← links)
- Is relative risk aversion constant? A reinterpretation of recent asset allocation findings at the micro level (Q1925894) (← links)
- Optimal collective investment: an analysis of individual welfare (Q2690074) (← links)
- Saving Accounts versus Stocks and Bonds in Household Portfolio Allocation (Q4252844) (← links)
- Household Risk Management and Optimal Mortgage Choice (Q4453721) (← links)
- Household Portfolio Risk* (Q4554733) (← links)
- Do disaster expectations explain household portfolios? (Q4645395) (← links)
- Does a Household’s Wealth Determine the Risk Profile of Its Financial Asset Portfolio? (Q5240344) (← links)