Publication not explained
This publication has not yet been explained in plain language by the author(s). However, you can still read the publication.
If you are one of the authors, claim this publication so you can create a plain language summary to help more people find, understand and use it.
Read the Original
This page is a summary of: Wealth Conditions and Feasibility of Equivalence Between Funds Managers' and Investors' Risk Tolerances, SSRN Electronic Journal, January 2019, Elsevier,
You can read the full text:
The following have contributed to this page