Pages that link to "Item:Q811991"
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The following pages link to Portfolio choice for increases in risk and prudence revisited (Q811991):
Displaying 7 items.
- Increases in risk aversion and the distribution of portfolio payoffs (Q417629) (← links)
- Portfolio choice under noisy asset returns (Q673303) (← links)
- Changes in multiplicative risks and optimal portfolio choice: new interpretations and results (Q777930) (← links)
- Portfolio choice under cumulative prospect theory: sensitivity analysis and an empirical study (Q1722753) (← links)
- Risk-return trade-off with the scenario approach in practice: a case study in portfolio selection (Q1935293) (← links)
- Demand for risky financial assets: A portfolio analysis (Q2276854) (← links)
- Risky allocations from a risk-neutral informed principal (Q2493219) (← links)