Excess Return, Excess Volatility, and Negative Autocorrelation Caused by Uncertainty Aversion and Risk Aversion
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| Auteur principal: | |
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| Format: | Livre |
| Langue: | anglais |
| Publié: |
Atlanta
Federal Reserve Bank
1993
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| Édition: | 1. ed. |
| Collection: | Working Paper
93-16 |
| Sujets: | |
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