Asset allocation and the investor's relative risk aversion / Nico L. van der Sar
| rdfs:label | "Asset allocation and the investor's relative risk aversion / Nico L. van der Sar" |
| schema:name | "Asset allocation and the investor's relative risk aversion" |
| schema:author | Sar, Nicolaas Leendert van der |
| Vakgroep Financiering en Belegging (Rotterdam) | |
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schema:same |
<http:/ |
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schema:main |
<https:/ |
|
http:/ |
"1992" |
| schema:about | Investments |
| investeringen | |
| Risk analysis | |
| bedrijfseconomie | |
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<http:/ |
|
|
schema:in |
"en" |
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schema:is |
Rapport / Centrum voor Bedrijfseconomisch Onderzoek |
| schema:isbn | "9050861164" |
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schema:number |
21 |
| schema:publication |
<https:/ |