Title of article
Risk tolerance and value of information in the standard portfolio model
Author/Authors
Nicolas Treich، نويسنده ,
Issue Information
روزنامه با شماره پیاپی سال 1997
Pages
3
From page
361
To page
363
Abstract
in the portfolio model framework, we show that more risk-tolerant agents assign more value to information.
Keywords
Standard portfolio model , Risk tolerance
Journal title
Economics Letters
Serial Year
1997
Journal title
Economics Letters
Record number
434345
Link To Document