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Risk Aversion and Wealth Effects on Portfolios with Many Assets
Home
Publications
Risk Aversion and Wealth Effects on Portfolios with Many Assets
Risk Aversion and Wealth Effects on Portfolios with Many Assets
DC
D. Cass
D. Cass
JS
J. E. Stiglitz
J. E. Stiglitz
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1 July 1972
journal article
Published by
Oxford University Press (OUP)
in
The Review of Economic Studies
Vol. 39
(3)
,
331-354
https://doi.org/10.2307/2296363
Abstract
D. Cass, J. E. Stiglitz; Risk Aversion and Wealth Effects on Portfolios with Many Assets12, The Review of Economic Studies, Volume 39, Issue 3, 1 July 1972, Pa
Keywords
WEALTH EFFECTS
EFFECTS ON PORTFOLIOS
AVERSION
CASS
ECONOMIC STUDIES
STIGLITZ
ASSETS12
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Cited by 36 articles