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Risk aversion, prudence, and asset allocation: a review and some new developments - MaRDI portal

Risk aversion, prudence, and asset allocation: a review and some new developments (Q5964213)

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scientific article; zbMATH DE number 6546907
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Risk aversion, prudence, and asset allocation: a review and some new developments
scientific article; zbMATH DE number 6546907

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    Risk aversion, prudence, and asset allocation: a review and some new developments (English)
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    29 February 2016
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    optimal portfolio
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    diversification
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    risk aversion
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    downside risk
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    prudence
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    risk apportionment
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