Long‐term government debt and household portfolio composition
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Publication:3306072
DOI10.3982/QE836zbMath1447.91164WikidataQ127436028 ScholiaQ127436028MaRDI QIDQ3306072
Publication date: 12 August 2020
Published in: Quantitative Economics (Search for Journal in Brave)
life cycledynamic portfolio choiceasset-market participationlong-term government debtsurvey of consumer finances
Macroeconomic theory (monetary models, models of taxation) (91B64) Consumer behavior, demand theory (91B42) Portfolio theory (91G10)
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