Portfolio management-Economic aspects
Portfolio management-Economic aspects is a book subject. It includes 6 books, written by 6 different authors.
Key facts
- number of authors: 6 people
- number of books: 6
- books: Household Portfolio Underdiversification and Probability Weighting : Evidence from the Field, Losing trust in money doctors, Offsetting disagreement and security prices
- authors: Stephen G. Dimmock, Daniel Dorn, Byoung-Hyoun Hwang
- publication dates: 2018, 2017, 2017
- book publishers: Centre for Economic Policy Research
Extract data
Download datasets about Portfolio management-Economic aspects:
Dataset of books about Portfolio management-Economic aspects:
"Portfolio management-Economic aspects" is one of the 293,135 book subjects in our database.
Related
Connected or similar to Portfolio management-Economic aspects: .
This dashboard is based on data from: The British Library.
This content is available under the CC BY 4.0 license.