期刊論文1. | Baker, H. K.、Haslem, J. A.(1974)。Toward the Development of Client-Specified Valuation Models。Journal of Finance,29,255-263。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
2. | Cutler, N. E.(1995)。Three Myths of Risk Tolerance: What Clients Are Not Telling You。Journal of the American Society of CLU and ChFC,49(January),33-37。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
3. | Cohn R. A.、Lewellen, W. G.、Lease, R. C.、Schlarbaum, G. G.(1975)。Individual investor Risk Aversion and Investment Portfolio Composition。Journal of Finance,30,605-620。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
4. | Das, M.、van Soest, A.(1997)。Expected and Realized Income Changes: Evidence from the Dutch Socio-economic Panel。Journal of Economic Behavior and Organization,32(1),137-154。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
5. | Gerrit, A.、van der Sar, N. L.(1990)。Individual Expectations, Risk Perception and Preferences in Relation to Investment Decision Making。Journal of Economic Psychology,11(2),227-245。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
6. | Grable, J. E.、Joo,S.(1999)。Factors Related to Risk Tolerance: A Further Examination。Consumer Interests Annual,45,53-58。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
7. | Grable J. E.(2000)。Financial Risk Tolerance and Additional Factors that Affect Risk Taking in Everyday Money Matters。Journal of Business and Psychology,14,625-630。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
8. | Gregory, N.(1980)。Relative Wealth and Risk Taking: Ashort Note on the Friedman-Savage Utility Function。Journal of Political Economy,88(6),1226-1230。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
9. | Graham, J. F.、Stendardi, E. J. Jr.、Myers, J. K.、Graham, M. J.(2002)。Gender Differences in Investment Strategies: an Information Processing Perspective。International Journal of Bank Marketing,20(1),17-26。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
10. | Hawley, C. B.、Fujii, E. T.(1993-1994)。An Empirical Analysis of Preference for Financial Risk: Further Evidence on the Friedman-Savage Model。Journal of Post Keynesian Economics,16,197-204。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
11. | Keith, C. B.、Harlow, W. V.、Starks, L. T.(1996)。Of Tournaments and Temptations: An Analysis of Managerial Incentives in the Mutual Fund Industry。Journal of Finance,51(1),85-110。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
12. | Leigh J. P.(1986)。Accounting for Tastes: Correlates of Risk and Time Preferences。Journal of Post Keynesian Economic,9,17-31。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
13. | Morin, Roger-A.、Suarez, Fernandez A.(1983)。Risk Aversion Revisited。Journal of Finance,38(4),1201-1216。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
14. | Palsson, A. -M.(1996)。Does the Degree of Relative Risk Aversion Vary with Household Characteristics?。Journal of Economic Psychology,17(6),771-787。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
15. | Slovic, P.(1972)。Psychological Study of Human Judgment: Implications for Investment Decision Making。Journal of Finance,27(4),779-799。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
16. | Sung, J.、Hanna, S.(1996)。Factors Related to Risk-tolerance。Journal of Financial Counseling and Planning,7,11-19。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
17. | Wells, W. D.(1975)。Psychographics: A Critical Review。Journal of Marketing Research,12(2),196-213。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
18. | Warneryd, Karl-Erik(1996)。Risk Attitudes and Risky Behavior。Journal of Economic Psychology,17(6),749-770。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
19. | Wang, H.、Hanna,S.(1997)。Does Risk Tolerance Decrease with Age?。Financial Counseling and Planning,8(2),27-31。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
20. | Powell, Melanie、Ansic, David(1997)。Gender Differences in Risk Behaviour in Financial Decision-making: An Experimental Analysis。Journal of Economic Psychology,18(6),605-628。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
21. | Shaw, K. L.(1996)。An Empirical Analysis of Risk Aversion and Income Growth。Journal of Labor Economics,14(4),626-653。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
22. | Brocato, J.、Steed, S.(1998)。Optimal Asset Allocation over the Business Cycle。Financial Review,33(3),129-148。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
23. | Rubin, P. H.、Paul Ii, C. W.(1979)。An Evolutionary Model of Taste for Risk。Economic Inquiry,17(4),585-596。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
24. | Olsen, Robert A.(1998)。Behavioral Finance and its Implications for Stock-Price Volatility。Financial Analysts Journal,54(2),10-18。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
25. | Nagelkerke, N. J. D.(1991)。A Note on a General Definition of the Coefficient of Determination。Biometrika,78(3),691-692。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
26. | Riley, W. B. Jr.、Chow, K. V.(1992)。Asset Allocation and Individual Risk Aversion。Financial Analysts Journal,48(6),32-37。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |