<?xml version="1.0" encoding="UTF-8"?><xml><records><record><source-app name="Biblio" version="7.x">Drupal-Biblio</source-app><ref-type>13</ref-type><contributors><authors><author><style face="normal" font="default" size="100%">张楠楠</style></author><author><style face="normal" font="default" size="100%">孙祁祥</style></author></authors></contributors><titles><title><style face="normal" font="default" size="100%">资产组合选择:背景风险下的最优保险</style></title><secondary-title><style face="normal" font="default" size="100%">新华文摘</style></secondary-title></titles><keywords><keyword><style  face="normal" font="default" size="100%">保险经济学;资产组合选择;风险偏好;市场主体;传统研究;保险决策;七十年代;市场研究</style></keyword></keywords><dates><year><style  face="normal" font="default" size="100%">2010</style></year></dates><isbn><style face="normal" font="default" size="100%">1001-6651</style></isbn><language><style face="normal" font="default" size="100%">eng</style></language><issue><style face="normal" font="default" size="100%">3</style></issue></record></records></xml>