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Berkelaar, Arjan B. Mitchell, Olivia S. Peijnenburg, Kim Dimmock, Stephen G. Menkhoff, Lukas Grohmann, Antonia Vorst, Ton Cumperayot, Phornchanok J. Hübler, Olaf Gondzio, Jacek Kanin Anantanasuwong Donders, Monique Grohmann, Antonia Zwinkels, Remco C. J. Atcha Kamolsareeratana Phunnarungsi, Visit Vorst, Ton Zenios, Stauros Andrea Post, Thierry Mentink, Albert Kobor, Adam Wakker, Peter P. Keijzer, Tjeert Ziemba, William T. Nasha Ananchotikul Thontirawong, Pipat Verhoeks, Ralph Markiewicz, Agnieszka Cox, Ruben Peijnenberg, Kim Dert, Cees All co-authors financial literacy probability portfolio anlageverhalten weighting evidence asset stock trading
Composed terms portfolio management portfolio selection behavioural finance probability weighting financial literacy household portfolio portfolio underdiversification risk aversion evidence field privater haushalt underdiversification probability weighting evidence asset liability liability management
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The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata
Roy Kouwenberg Alternative spellings: R. Kouwenberg Roy Robertus Petrus Kouwenberg B: 1972
Affiliations Tinbergen Institute Mahidol University University of British Columbia
Q58052270
Publishing years Series Report / Erasmus Center for Financial Research, Erasmus University (6) Working paper / National Bureau of Economic Research, Inc. (3) Discussion papers / Deutsches Institut für Wirtschaftsforschung (2) Wharton Pension Research Council Working Paper (1) NBER Working Paper (1) NBER working paper series (1) DIW Berlin Discussion Paper (1) Discussion papers / CEPR (1) Discussion paper / Centre for Economic Policy Research (1) Kiel working paper (1) Econometric Institute research papers (1) Tinbergen Institute research series (1)