7 results
Discounting pension liabilities: funding versus value*
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- Journal:
- Journal of Pension Economics & Finance / Volume 15 / Issue 3 / July 2016
- Published online by Cambridge University Press:
- 10 June 2016, pp. 254-284
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Contingent Capital: The Case of COERCs
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- Journal:
- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 3 / June 2014
- Published online by Cambridge University Press:
- 08 July 2014, pp. 541-574
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- June 2014
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Portfolio allocation for public pension funds*
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- Journal:
- Journal of Pension Economics & Finance / Volume 10 / Issue 2 / April 2011
- Published online by Cambridge University Press:
- 12 April 2011, pp. 221-245
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Does Prior Performance Affect a Mutual Fund’s Choice of Risk? Theory and Further Empirical Evidence
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- Journal:
- Journal of Financial and Quantitative Analysis / Volume 44 / Issue 4 / August 2009
- Published online by Cambridge University Press:
- 01 August 2009, pp. 745-775
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- August 2009
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Restructuring Retirement Risks. Edited by Blitzstein David, S. Mitchell Olivia, and P. Utkus Stephen. Oxford University Press, 2006, ISBN 0-19-920465-9, 272 pages.
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- Journal:
- Journal of Pension Economics & Finance / Volume 7 / Issue 3 / November 2008
- Published online by Cambridge University Press:
- 02 October 2008, pp. 363-365
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Measuring Rents and Interest Rate Risk in Imperfect Financial Markets: The Case of Retail Bank Deposits
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- Journal:
- Journal of Financial and Quantitative Analysis / Volume 31 / Issue 3 / September 1996
- Published online by Cambridge University Press:
- 06 April 2009, pp. 399-417
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- September 1996
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Estimating the Likelihood of Mexican Default from the Market Prices of Brady Bonds
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- Journal:
- Journal of Financial and Quantitative Analysis / Volume 31 / Issue 1 / March 1996
- Published online by Cambridge University Press:
- 06 April 2009, pp. 109-126
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- March 1996
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