Mean-risk analysis of risk aversion and wealth effects on optimal portfolios with multiple investment opportunities (Q1313151)

From MaRDI portal
scientific article
Language Label Description Also known as
English
Mean-risk analysis of risk aversion and wealth effects on optimal portfolios with multiple investment opportunities
scientific article

    Statements

    Mean-risk analysis of risk aversion and wealth effects on optimal portfolios with multiple investment opportunities (English)
    0 references
    0 references
    0 references
    9 February 1994
    0 references
    axiomatic way
    0 references
    mean-risk analysis
    0 references
    portfolio selection
    0 references
    risk aversion
    0 references
    diversification
    0 references

    Identifiers