1. Baesel JB (1974) On the assessment of risk: some further considerations. J Financ Econ 29:1491–1494
2. Bart J, Masse IJ (1981) Divergence of opinion and risk. J Financ Econ 16:23–34
3. Bekaert G, Harvey CR (1997) Emerging equity market volatility. Journal of Financial Economics. 43:29–77
4. Black F (1972) Capital market equilibrium with restricted borrowing. J Financ Econ 45:444–454 24
5. Blume ME (1971) On the assessment of risk. J Financ Econ 26:1–10