书籍章节
Financial Risk Tolerance
John E. Grable
University of Georgia
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逐年被引趋势
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79
被引次数 · OpenAlex
39.47
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同类平均 = 1
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学术脉络
学科主题
经济 / 管理Financial Markets and Investment Strategies
Decision-Making and Behavioral Economics · Insurance and Financial Risk Management
参考文献 85
An Improved Measure of Risk Aversion
被引 79Sherman D. Hanna, Suzanne Lindamood · SSRN Electronic Journal · 2013
Subjective And Objective Risk Tolerance: Implications For Optimal Portfolios
被引 141Sherman D. Hanna, Peng Chen · SSRN Electronic Journal · 1998
Reassessing the assessment: exploring the factors that contribute to comprehensive financial risk evaluation
被引 21Nicholas A. Carr · K-State Research Exchange (Kansas State University) · 2014
此处列出前 3 条
引用本文 79
Financial Literacy and Financial Risk Tolerance of Individual Investors: Multinomial Logistic Regression Approach
被引 159Yılmaz Bayar, Funda Hatice Sezgin, Ömer Faruk Öztürk · SAGE Open · 2020
Retail investors' financial risk tolerance and their risk-taking behaviour: The role of demographics as differentiating and classifying factors
被引 129M. Kannadhasan · IIMB Management Review · 2015
Heuristic biases and investment decisions: multiple mediation mechanisms of risk tolerance and financial literacy—a survey at the Tanzania stock market
被引 84Pendo Shukrani Kasoga · Journal of Money and Business · 2021
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