Cite
HARVARD Citation
Roszkowski, M. et al. (2009). A longitudinal perspective on financial risk tolerance: rank-order and mean level stability. International journal of behavioural accounting and finance. pp. 111-134. [Online].
This is an interim version of our Electronic Legal Deposit Catalogue-eJournals and eBooks while we continue to recover from a cyber-attack.
Roszkowski, M. et al. (2009). A longitudinal perspective on financial risk tolerance: rank-order and mean level stability. International journal of behavioural accounting and finance. pp. 111-134. [Online].