Risk and risk aversion

Full text not archived in this repository.

Please see our End User Agreement.

It is advisable to refer to the publisher's version if you intend to cite from this work. See Guidance on citing.

Add to AnyAdd to TwitterAdd to FacebookAdd to LinkedinAdd to PinterestAdd to Email

Pezier, J. (2008) Risk and risk aversion. In: Alexander, C. and Sheedy, E. (eds.) The professional risk manager's guide to finance theory and application. McGraw-Hill, pp. 7-53. ISBN 9780071546478

Additional Information The book is out of print and cannot be accessed from the publishers website but related URL gives some additional information
Item Type Book or Report Section
URI https://reading-clone.eprints-hosting.org/id/eprint/20461
Refereed Yes
Divisions Henley Business School > Finance and Accounting
Additional Information The book is out of print and cannot be accessed from the publishers website but related URL gives some additional information
Publisher McGraw-Hill
Download/View statistics View download statistics for this item
Full text not archived in this repository.
Add to AnyAdd to TwitterAdd to FacebookAdd to LinkedinAdd to PinterestAdd to Email

Please see our End User Agreement.

It is advisable to refer to the publisher's version if you intend to cite from this work. See Guidance on citing.

University Staff: Request a correction | Centaur Editors: Update this record

Search Google Scholar