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2. | 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) |
3. | 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) |
4. | Embrey, L. L.、Fox, J. J.(1997)。Gender differences in the investment Decision- making process。Financial Counseling and Planning,8(2),33-40。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
5. | Barsky, Robert B.、Juster, Francis T.、Kimball, Miles S.、Shapiro, Matthew D.(1997)。Preference parameters and behavioral heterogeneity: An experimental approach in the health and retirement study。The Quarterly Journal of Economics,112(2),537-579。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
6. | Friend, I.、Blume, M. E.(1975)。The Demand for Risky Assets。The American Economic Review,65(5),900-922。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
7. | Hanna, S. D.、Chen, P.(1997)。Subjective and objective risk tolerance: Implications for optimal portfolios。Financial Counseling and Planning,8(2),17-26。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
8. | Schooley, D. K.、Worden, D. D.(1996)。Risk aversion measures: Comparing attitudes and asset allocation。Finanacial Services Review,5(2),87-99。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
9. | Bellante, D.、Saba, R. P.(1986)。Human Capital and Life-Cycle Effects on Risk Aversion。Journal of Financial Research,9(1),41-51。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
10. | Grossman, Sanford J.、Shiller, Robert J.(1981)。The Determinants of the Variability of Stock Market Prices。American Economic Review,71(2),222-227。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
11. | Siegel, F. W.、Hoban, J. P. Jr.(1982)。Relative Risk Aversion Revisited。The Review of Economics and Statistics,64(3),481-487。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
12. | Pratt, John W.(1964)。Risk Aversion in the Small and in the Large。Econometrica,32(1/2),122-136。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
13. | Lu, Jin-ray、Chan, Chih-ming、Li, Wen-shen(20111200)。Portfolio Selections with Innate Learning Ability。International Journal of Business and Economics,10(3),201-217。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
14. | Montalto, C. P.、Yuh, Y.(1998)。Estimating Nonlinear Models with Multiply Imputed Data。Journal of Financial Counseling and Planning,9(1),97-101。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
15. | Montalto, C. P.、Sung, J.(1996)。Multiple Imputation in the 1992 Survey of Consumer Finances。Journal of Financial Counseling and Planning,7(1),133-146。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
16. | Lindamood, S.、Hanna, S. D.、Bi, L.(2007)。Using the Survey of Consumer Finances: Some Methodological Considerations and Issues。Journal of Consumer Affairs,41(2),195-222。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
17. | Li, Chu-shiu、Peng, Sheng-chang(20110800)。Can Auto Liability Insurance Purchases Signal Risk Attitude?。International Journal of Business and Economics,10(2),159-164。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
18. | I Wayan Nuka Lantara(20120600)。The Use of Derivatives as a Risk Management Instrument: Evidence from Indonesian Non-financial Firms。International Journal of Business and Economics,11(1),45-62。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
19. | Jellal, Mohamed、Wolff, Francois-Charles(20020800)。Altruistic Bequests with Inherited Tastes。International Journal of Business and Economics,1(2),95-113。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
20. | Hung, Chiehwei、Huang, Po-ya(20130600)。The Impact of Familial and Marital Status on the Performance of Life Insurance Agents--The Case of Taiwan。International Journal of Business and Economics,12(1),15-26。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
21. | Fredman, A.(1996)。Wrestling with Risk: A Multiheaded Concept with No Single Measure。AAII JOURNAL,1996(Feb.),25-30。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
22. | 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) |
23. | Croson, Rachel、Gneezy, Uri(2009)。Gender Differences in Preferences。Journal of Economic Literature,47(2),448-474。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
24. | Jianakoplos, Nancy Ammon、Bernasek, Alexandra(1998)。Are women more risk averse?。Economic Inquiry,36(4),620-630。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
圖書1. | Maddala, G. S.、Lahiri, K.(1992)。Introduction to Econometrics。New York:Macmillan Publishing Company。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
2. | Wooldridge, J. M.(2015)。Introductory Econometrics: A Modem Approach。Nelson Education。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
3. | Rubin, D. B.(2004)。Multiple Imputation for Nonresponse in Surveys。John Wiley & Sons, Inc。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
4. | Arrow, Kenneth J.(1971)。Essays in the theory of risk bearing。Markham Publishing Company。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |
5. | Greene, William H.(2003)。Econometric Analysis。Prentice-Hall, Inc.。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) |