Analysis of variance in household financial portfolio choice: evidence from Spain
Španielsky prieskum domácich financií. Cieľom analýzy je lepšie porozumieť rozhodnutiam súvisiacim s financovaním rizikových a bezrizikových portfólií španielskych domácností. Modely ekonometrické - viacrozmerný frakčný logit.
Gespeichert in:
| 1. Verfasser: | |
|---|---|
| Weitere Verfasser: | , |
| Format: | Buchkapitel |
| Sprache: | Englisch |
| Schlagworte: | |
| Tags: |
Keine Tags, Fügen Sie das erste Tag hinzu!
|
Ähnliche Einträge: Analysis of variance in household financial portfolio choice: evidence from Spain
- Minimum variance portfolios in the German stock market
- Construction of commodity portfolio and its hedge effectiveness gauging – revisiting DCC models
- Arbitrage and optimal portfolio choice with financial constraints
- Determinants of risk premiums on the bond market in Spain
- Analysing Value-At-Risk of Sovereign Bond Investment Portfolio During COVID-19
- Flight capital as a portfolio choice