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Comment. Econometric Reviews, 5 (2): 267--271 (1986)Chapter 14 Volatility., and . Finance, volume 9 of Handbooks in operations research and management science, Elsevier, (1995)Risk-aversion and the term structure of real interest rates. Economics Letters, 10 (3-4): 355--361 (1982)Atheoretical macroeconometrics: A critique, and . Journal of Monetary Economics, 16 (3): 283--308 (November 1985)Arbitrage, martingales and bubbles, and . Economics Letters, 60 (3): 357--362 (Sep 1, 1998)Principles of financial economics, and . Cambridge Univ. Press, Cambridge u.a., (2001)Risk-aversion and the term structure of real interest rates correction. Economics Letters, 12 (3-4): 339--340 (1983)