MULTIDIMENSIONAL-ANALYSIS OF INSTITUTIONAL INVESTOR PERCEPTION OF RISK

被引:19
作者
COOLEY, PL [1 ]
机构
[1] UNIV S CAROLINA,COLUMBIA,SC 29208
关键词
D O I
10.2307/2326903
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
引用
收藏
页码:67 / 78
页数:12
相关论文
共 36 条
[1]  
ABELSON RP, 1959, P SOCIAL STAT SECT A, P226
[2]  
ALDERFER CP, 1970, J BUSINESS JUL, P241
[3]   RISK AND REQUIRED RETURN ON EQUITY [J].
ARDITTI, FD .
JOURNAL OF FINANCE, 1967, 22 (01) :19-36
[4]  
BLOCK FE, 1970, CFA READINGS FINANCI
[5]  
BLOCK FE, 1966, FINANCIAL ANALYS MAR
[6]  
CARROLL JD, UNPUBLISHED MANUSCRI
[7]  
CLARKSON GP, 1962, PORTFOLIO SELECTION
[8]  
COHEN J, 1967, INVESTMENT ANALYSIS
[9]  
COOLEY PL, 1975, FINANCIAL REV, P31
[10]  
COOMBS CH, 1960, J EXPT PSYCHOLOG NOV, P265