Can portfolio risk be described with estimates of financial risk tolerance calibration?

Finance Research Letters - Tập 46 - Trang 102492 - 2022
Abed G. Rabbani1, John E. Grable2
1Personal Financial Planning, University of Missouri, 125A Mumford Hall, Columbia, MO 65211, United States
2University of Georgia, 300 Dawson Hall, 305 Sanford Dr, Athens, GA 30602, United States

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