G2TT

浏览/检索结果: 共6条,第1-6条 帮助

已选(0)清除 条数/页:   排序方式:
DP16378 Who Owns What? A Factor Model for Direct Stockholding 智库出版物
2021
作者:  Vimal Balasubramaniam;  John Y Campbell;  Benjamin Ranish
收藏  |  浏览/下载:9/0  |  提交时间:2022/09/22
Stockholding  Factor models  Coholdings  Portfolio construction  Diversification  Retail investors  
DP14417 Asset Pricing vs Asset Expected Returning in Factor-Portfolio Models 智库出版物
2020
作者:  Carlo A. Favero;  Alessandro Melone
收藏  |  浏览/下载:10/0  |  提交时间:2022/09/22
Return predictability  Mispricing  Equilibrium correction term  Dynamic factor-portfolio models  
DP4927 Job Security and Job Protection 智库出版物
2005
作者:  Andrew Clark;  Fabien Postel-Vinay
收藏  |  浏览/下载:1/0  |  提交时间:2022/09/22
Dollar exchange rate  Current account  Portfolio models  
DP4841 Playing it Safe with Low Conditional Fees versus Being Insured by High Contingent Fees 智库出版物
2005
作者:  Winand Emons
收藏  |  浏览/下载:7/0  |  提交时间:2022/09/22
Life-cycle models  Portfolio choice  Preference heterogeneity  Liquidity constraints  Stock market participation  Uninsurable labour income risk  
Uncertainty Aversion, Robust Control and Asset Holdings 智库出版物
2004
作者:  Anastasios Xepapadeas;  Giannis Vardas
Adobe PDF(618Kb)  |  收藏  |  浏览/下载:3/0  |  提交时间:2019/06/14
Uncertainty aversion,Model misspecification,Robust control,Portfolio choice models  
DP43 Wealth and Portfolio Composition: Theory and Evidence 智库出版物
1985
作者:  Mervyn King
收藏  |  浏览/下载:2/0  |  提交时间:2022/09/22
Continuous choice models  Discrete choice models  Portfolio behaviour  Saving  Wealth