Risk Aversion Revisited
- 1 September 1983
- journal article
- Published by JSTOR in The Journal of Finance
- Vol. 38 (4) , 1201-1216
- https://doi.org/10.2307/2328020
Abstract
In order to supply additional empirical evidence of the effect of wealth on relative risk aversion, this study investigates households' demand for risky assets, using analysis of covariance technique...Keywords
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