| ISBN: | 9780230281134 (hardback) |
| 编目源: | DLC DLC DLC |
| 题名: | Risk tolerance in financial decision making / edited by Caterina Lucarelli and Gianni Brighetti. |
| 索书号: | F830.2/L932E |
| 出版发行项: | Houndmills, Basingstoke, Hampshire ; New York : Palgrave Macmillan, 2011. |
| 载体形态: | xii, 269 p. : ill. ; 23 cm. |
| 一般附注: | Includes bibliographical references (p. 244-264) and index. |
| 格式化内容附注: | Machine generated contents note: -- Introduction -- The Role of Risk in the Investment Decision Process: Traditional vs Behavioural Finance; Mazzoli & Marinelli -- Household Behaviour and Debt Decisions; Vandone -- The Traditional Approach to Evaluate the Risk Tolerance for Investment Decisions; Mazzoli & Marinelli -- Fallacy of Traditional Measures for a Responsible Borrowing; Vandone -- Decision Making: Psychological Perspective; Ottaviani, Nucifora, Borlimi & Brighetti -- The Layout of the Empirical Analysis; Lucarelli, Ottaviani & Vandone -- The Indicators of Risk; Lucarelli & Palomba -- Results on the Investment Side; Lucarelli & Palomba -- The Determinants of Households Indebtedness and Over-Indebtedness: An Empirical Analysis Focussing on Risk Attitudes; Vandone -- The Implication for Market Participants and for Regulators; Brighetti, Lucarelli & Vandone. |