A two price theory of financial equilibrium with risk management implications
Year of publication: |
2012
|
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Authors: | Madan, Dilip B. |
Published in: |
Annals of finance. - Berlin : Springer, ISSN 1614-2446, ZDB-ID 2174824-X. - Vol. 8.2012, 4, p. 489-505
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Subject: | Anlageverhalten | Behavioural finance | Haftung | Liability | Rücklage | Reserves for contingencies | Portfolio-Management | Portfolio selection | Finanzmarkt | Financial market | Unvollkommener Markt | Incomplete market | Theorie | Theory |
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