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Building a portfolio based on different risk measures and investor's risk perception
Author(s) -
E.R. Kolyasnikova
Publication year - 2017
Publication title -
economic analysis theory and practice
Language(s) - English
Resource type - Journals
eISSN - 2311-8725
pISSN - 2073-039X
DOI - 10.24891/ea.16.8.1583
Subject(s) - portfolio , risk perception , perception , actuarial science , business , financial economics , economics , psychology , neuroscience

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