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Precautionary portfolio behavior from a life-cycle perspective

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Publication:1391451
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DOI10.1016/S0165-1889(97)00060-2zbMath0901.90034OpenAlexW2159491988MaRDI QIDQ1391451

Michael Haliassos, Carol C. Bertaut

Publication date: 22 July 1998

Published in: Journal of Economic Dynamics \& Control (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/s0165-1889(97)00060-2


zbMATH Keywords

precautionary savingportfolio choiceincome riskcareer uncertaintystockholding


Mathematics Subject Classification ID

Economic growth models (91B62) Portfolio theory (91G10)


Related Items (2)

ON THE DISTRIBUTIONAL EFFECTS OF INTERNATIONAL TARIFFS ⋮ The demand for risky assets: Sample selection and household portfolios




Cites Work

  • Equilibrium asset prices with undiversifiable labor income risk
  • Proper Risk Aversion
  • Standard Risk Aversion




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