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Portfolio Choice Under Cumulative Prospect Theory: An Analytical Treatment - MaRDI portal

Portfolio Choice Under Cumulative Prospect Theory: An Analytical Treatment (Q3005682)

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Portfolio Choice Under Cumulative Prospect Theory: An Analytical Treatment
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    Portfolio Choice Under Cumulative Prospect Theory: An Analytical Treatment (English)
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    9 June 2011
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    portfolio choice
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    single period
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    cumulative prospect theory
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    reference point
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    loss aversion
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    S-shaped utility function
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    probability weighting
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    well-posedness
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