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ASSET MANAGEMENT AND INVESTOR PORTFOLIO BEHAVIOR: THEORY AND PRACTICE.
- Source :
- Journal of Finance (Wiley-Blackwell); May69, Vol. 24 Issue 2, p181-206, 26p, 3 Diagrams, 8 Charts
- Publication Year :
- 1969
-
Abstract
- The objectives in this paper are to present a rather detailed survey of the literature on asset management and investor portfolio behavior, compare current practice in the real world with the existing state of theory, and then discuss some ideas concerning the subject. [ABSTRACT FROM AUTHOR]
Details
- Language :
- English
- ISSN :
- 00221082
- Volume :
- 24
- Issue :
- 2
- Database :
- Complementary Index
- Journal :
- Journal of Finance (Wiley-Blackwell)
- Publication Type :
- Academic Journal
- Accession number :
- 4660335
- Full Text :
- https://doi.org/10.2307/2325289