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On the Optimality of the Stock Market Allocation of Investment

J. E. Stiglitz

Yale University

Quarterly Journal of Economics 1972 open access

I. Introduction, 25.--II. The basic model, 27.--III. Determination of the level of investment in a mean variance model, 32.--IV. Choice of technique, 47.--V. Remarks on alternative models of market equilibrium, 52.--VI. Concluding remarks, 55.--Appendix, 57.

DOI
10.2307/1880492
Volume
86 (1)
Pages
25
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