Portfolio Response to a Shift in a Return Distribution: Comment
Year of publication: |
1998
|
---|---|
Authors: | Dachraoui, K. ; Dionne, G. |
Institutions: | HEC Montréal (École des Hautes Études Commerciales) |
Subject: | RISK | FINANCIAL ASSETS |
-
Portfolio Response to a Shift in a Return Distribution: Comment
Dachraoui, K., (1998)
-
Impatience, anticipatory feelings and uncertainty : a dynamic experiment on time preferences
Casari, Marco, (2011)
-
Does risk communication really decrease cooperation in climate change mitigation?
Bravo, Giangiacomo, (2017)
- More ...
-
Optimal Financial Portfolio and Dependence of Risky Assets.
Dachraoui, K., (2000)
-
Comparative Mixed Risk Aversion.
Dachraoui, K., (2000)
-
Capital Structure and Compensation Policies.
Dachraoui, K., (1999)
- More ...