Irving Fisher and statistical approaches to risk. Stabile, D. R. & Putnam, B. H. Review of Financial Economics, 11(3):191–203, 2002.
Irving Fisher and statistical approaches to risk [link]Paper  bibtex   
@article{Stabile2002,
  added-at = {2008-04-22T15:17:45.000+0200},
  author = {Stabile, Donald R. and Putnam, Bluford H.},
  biburl = {https://www.bibsonomy.org/bibtex/293f8837617af7966295e3a4ffe004a85/smicha},
  interhash = {33cd82ae70cea3808768911d7870bb0b},
  intrahash = {93f8837617af7966295e3a4ffe004a85},
  journal = {Review of Financial Economics},
  keywords = {Risk},
  number = 3,
  pages = {191--203},
  timestamp = {2008-04-22T15:33:19.000+0200},
  title = {Irving Fisher and statistical approaches to risk},
  url = {http://www.sciencedirect.com/science/article/B6W61-46Y4DNV-5/1/da364fab21d79caf99a457d84c09f05d},
  volume = 11,
  year = 2002
}

Downloads: 0