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

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