Book classification:Business & Management,English Books
No. of pages:228 Pages
Format:Paperback
This book is printed on demand and is non-refundable after purchase
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SR686
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About this Product
The book is an in-depth review of the theory and empirics of the demand for money and other financial assets. The different theoretical approaches to the portfolio choice problem are described, together with an up-to-date survey of the results obtained from empirical studies of asset choice behaviour. Both single-equation studies and the more complete multi-asset portfolio models, are analysed.