Key points are not available for this paper at this time.
I. Portfolio theory and the availability doctrine, 113. — II. Portfolio optimization under deposit variability, 120. — III. Some extensions of the argument, 125. — IV. Conclusions, 128. — Appendix, 130.
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Kane et al. (Mon,) studied this question.
synapsesocial.com/papers/6a189e93b861582e9ccf8601 — DOI: https://doi.org/10.2307/1880516
Edward J. Kane
Boston College
Burton G. Malkiel
Princeton University
The Quarterly Journal of Economics
Princeton University
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