Evaluating stock returns with time-varying risk aversion driver by trend deviations from the consumption-to-wealth ratio an analysis conditional on income levels.
الحاوية / القاعدة: | Review of financial economics V. 12-17, 1-4 (2003-08). |
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المؤلف الرئيسي: | |
التنسيق: | مقال |
اللغة: | English |
الموضوعات: |