Risk aversion and wealth effects on portfolios with many assets
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Risk aversion and wealth effects on portfolios with many assets
(Cowles Foundation paper / Cowles Foundation for Research in Economics at Yale University, no. 395)
Cowles Foundation for Research in Economics at Yale University, 1973
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"Reprinted from The Review of Economic Studies, vol. XXXIX (3), July, 1972, D. Cass and J.E. Stiglitz, pp. 331-354"--p. 331