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Table 2 Kendall’s Tau Rank Correlation Between Risk Preference and Investment in the Risk-free Bond (with p-value)
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图表出处:Frontiers in Economic and Management Research (Volume 7) 出处详情
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所属学科:国民经济计划学
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Table 3 Investments in the Three Assets Across the Three Correlation Conditions of Experiment No.1
图表出处:Frontiers in Economic and Management Research (Volume 7)
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图表出处:Frontiers in Economic and Management Research (Volume 7)
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Table 6 Optimal Estimated Parameters of the Two Learning Models of Experiment No.1
图表出处:Frontiers in Economic and Management Research (Volume 7)
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Table 8 Two Factor Repeated Measurement ANOVA of Experiment No.2
图表出处:Frontiers in Economic and Management Research (Volume 7)
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Table 9 Average Portfolios in Experiments No.1 and No.2
图表出处:Frontiers in Economic and Management Research (Volume 7)