Chapter 13 On the microeconomic theory of investment under uncertainty
- 1 January 1982
- book chapter
- Published by Elsevier
Abstract
No abstract availableAll Related Versions
This publication has 58 references indexed in Scilit:
- Optimal rules for ordering uncertain prospectsJournal of Financial Economics, 1975
- Necessary and sufficient conditions for existence of an optimal portfolioJournal of Economic Theory, 1974
- On the Theory of the Firm in an Economy with Incomplete MarketsThe Bell Journal of Economics and Management Science, 1974
- The Pricing of Options and Corporate LiabilitiesJournal of Political Economy, 1973
- Capital Market Equilibrium with Restricted BorrowingThe Journal of Business, 1972
- The structure of investor preferences and asset returns, and separability in portfolio allocation: A contribution to the pure theory of mutual fundsJournal of Economic Theory, 1970
- Efficient Capital Markets: A Review of Theory and Empirical WorkThe Journal of Finance, 1970
- A Note on Uncertainty and Indifference CurvesThe Review of Economic Studies, 1969
- The Behavior of Stock-Market PricesThe Journal of Business, 1965
- The Role of Securities in the Optimal Allocation of Risk-bearingThe Review of Economic Studies, 1964