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Earnings dispersion, risk aversion and eduation
Belzil, Christian, (2002)
Public debt management and tax evasion
Argentiero, Amedeo, (2021)
Mean-variance portfolio optimization with state-dependent risk aversion
Björk, Tomas, (2014)
Los fondos de pensiones desde un punto de vista financiero
Zapatero, Fernando, (1992)
Essays on intertemporal asset pricing
Zapatero, Fernando, (1991)
Effects of financial innovations on market volatility when beliefs are heterogeneous
Zapatero, Fernando, (1998)