000 00666naa a2200205 i 4500
001 43319
003 ES-MaBCM
005 20241016104557.0
008 961009s1996 gbr 000 0 eng d
021 _axx
035 _a(OCoLC)1337778253
040 _cES-MaBCM
041 0 _aeng
043 _agbr
100 1 _aBlake, David
_95285
245 1 0 _aEfficiency, risk aversion and portfolio insurance, an analysis of financial asset portfolios held by investors in the United Kingdom
_cDavid Blake
650 2 7 _aInversión
_959065
773 0 _aEn:
_tThe Economic journal
_dOxford : 1996
_w104400
_gvol. 106, no. 438, Sept., p. 1175-1192. - Loc. S.41
942 _cAREV
999 _c43319
_d43319