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Do Heterogeneous Background Risks Matterto Household Asset Allocation?

dc.contributor.authorCai, Mingchao
dc.contributor.authorShi, Jing
dc.contributor.authorYang, Ni
dc.contributor.authorPan, Rulu
dc.date.accessioned2015-12-10T22:16:20Z
dc.date.issued2013
dc.date.updated2016-02-24T11:45:37Z
dc.description.abstractThis paper extends the literature reviews of Curcuru et al. (2009, Handbook of Financial Econometrics, Elsevier Science, Amsterdam), on the heterogeneity of background risk during investment into the following categories: income from labor and entrepreneu
dc.identifier.issn2041-6156
dc.identifier.urihttp://hdl.handle.net/1885/50891
dc.publisherWiley Online Library
dc.sourceAsia-Pacific Journal of Financial Studies
dc.subjectKeywords: Asset allocation; Background risk; Risk aversion
dc.titleDo Heterogeneous Background Risks Matterto Household Asset Allocation?
dc.typeJournal article
local.bibliographicCitation.lastpage589
local.bibliographicCitation.startpage563
local.contributor.affiliationCai, Mingchao, Shanghai Jiaotong University
local.contributor.affiliationShi, Jing, College of Business and Economics, ANU
local.contributor.affiliationYang, Ni, Shanghai Jiaotong University
local.contributor.affiliationPan, Rulu, College of Business and Economics, ANU
local.contributor.authoruidShi, Jing, u9702681
local.contributor.authoruidPan, Rulu, u4590081
local.description.embargo2037-12-31
local.description.notesImported from ARIES
local.identifier.absfor150205 - Investment and Risk Management
local.identifier.absseo900102 - Investment Services (excl. Superannuation)
local.identifier.ariespublicationu8902633xPUB212
local.identifier.citationvolume42
local.identifier.doi10.1111/ajfs.12024
local.identifier.scopusID2-s2.0-84884484938
local.identifier.thomsonID000329443800002
local.type.statusPublished Version

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