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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G23: Non-bank Financial Institutions; Financial Instruments; Institutional Investors
Most recent items first, undated at the end.
  • 2014 Shadow Banking and Traditional Bank Lending: The Role of Implicit Guarantees
    by Lucyna Gornicka
  • 2014 Liquidity and Risk Sharing Benefits from Opening an ETF Market with Liquidity Providers: Evidence from the CAC 40 Index
    by De Winne, Rudy & Gresse, Carole & Platten, Isabelle
  • 2014 The introduction of market-based pricing in corporate lending
    by Ivanov, Ivan & Santos, Joao & Vo, Thu
  • 2014 Financial Markets Regulation: Models, Evolution, Efficiency
    by A. Abramov & A. Radygin & M. Chernova/
  • 2014 Leverage and Beliefs: Personal Experience and Risk Taking in Margin Lending
    by Peter Koudijs & Hans-Joachim Voth
  • 2014 Chinese pension fund investment efficiency: Evidence from CNCSSF stock holdings
    by Lang, Gunnar & Shen, Yu & Xu, Xian
  • 2014 The effects of a low interest rate environment on life insurers
    by Berdin, Elia & Gründl, Helmut
  • 2014 The geography of stock exchanges in Imperial Germany
    by Burhop, Carsten & Lehmann-Hasemeyer, Sibylle H.
  • 2014 The role of bank lending tightening on corporate bond issuance in the eurozone
    by Kaya, Orcun & Wang, Lulu
  • 2014 Outsourcing of mutual funds' non-core competencies and the impact on operational outcomes: Evidence from funds' shareholder services
    by Sorhage, Christoph
  • 2014 Forecasting the volatility of the dow jones islamic stock market index: Long memory vs. regime switching
    by Nasr, Adnen Ben & Lux, Thomas & Ajm, Ahdi Noomen & Gupta, Rangan
  • 2014 Market transparency and the marking precision of bond mutual fund managers
    by Cici, Gjergji & Gibson, Scott & Gündüz, Yalin & Merrick, John J.
  • 2014 Does historical volatility term structure contain valuable in-formation for predicting volatility index futures?
    by Juliusz Jabłecki & Ryszard Kokoszczyński & Paweł Sakowski & Robert Ślepaczuk & Piotr Wójcik
  • 2014 Crystallization – the Hidden Dimension of Hedge Funds' Fee Structure
    by G. ELAUT & M. FRÖMMEL & J. SJÖDIN
  • 2014 Eficiencia financiera en los portafolios de inversión de las AFP en el Perú: Un enfoque robusto de Multifondos
    by Mendoza, Rodrigo
  • 2014 Forecasting the Volatility of the Dow Jones Islamic Stock Market Index: Long Memory vs. Regime Switching
    by Adnen Ben Nasr & Thomas Lux & Ahdi N. Ajmi & Rangan Gupta
  • 2014 International portfolio allocation with European fixed-income funds: What scope for Italian funds?
    by Zagaglia, Paolo
  • 2014 An Empirical Evidence of Dynamic Interaction between institutional fund flows and Stock Market Returns
    by Naik, Pramod Kumar & Padhi, Puja
  • 2014 Design of Financial Derivatives: Statistical Power does not Ensure Risk Management Power
    by Bell, Peter Newton
  • 2014 Assessing the strictness of portfolio-related regulation of pension funds: Rethinking the definition of prudent
    by Senderski, Marcin
  • 2014 The Diffusion of Corporate Governance to Emerging Markets: Evaluating Two Dimensions of Investor Heterogeneity
    by Kim, Woochan & Sung, Taeyoon & Wei, Shang-Jin
  • 2014 Assessing Credit Risk in Money Market Fund Portfolios
    by Collins, Sean & Gallagher, Emily
  • 2014 Panel Data Analysis of Performance of QDII Equity Funds in China
    by Jin, Hui & Cao, Yanka
  • 2014 Fixing Europe's youth unemployment and skills mismatch, can public financial support to SMEs be effective? The case of the European Commission and European Investment Bank joint initiatives
    by Floreani, Vincent Arthur
  • 2014 IPARD in Macedonia, a Chance for Farmers and private Consultants
    by Kovachev, Goran
  • 2014 Influence of Foreign Institutional Investments (FIIs) on the Indian stock market
    by Vardhan, Harsh & Sinha, Pankaj
  • 2014 Asymmetric co-integration and causality effects between financial development and economic growth in South Africa
    by Phiri, Andrew
  • 2014 Analysis of European Equity Funds Preferences for Stock Characteristics
    by Carlos F. Alves & João Vaz Nunes & Ana Paula Serra
  • 2014 Deconstructing Canada's Housing Markets: Finance, Affordability and Urban Sprawl
    by Calista Cheung
  • 2014 Dodd-Frank and the Great Debate: Regulation vs. Growth
    by R. Christopher Whalen
  • 2014 The Macroeconomics of Shadow Banking
    by Alan Moreira & Alexi Savov
  • 2014 Employee Satisfaction, Labor Market Flexibility, and Stock Returns Around The World
    by Alex Edmans & Lucius Li & Chendi Zhang
  • 2014 Banks as Patient Fixed-Income Investors
    by Samuel G. Hanson & Andrei Shleifer & Jeremy C. Stein & Robert W. Vishny
  • 2014 The Shorting Premium and Asset Pricing Anomalies
    by Itamar Drechsler & Qingyi Freda Drechsler
  • 2014 Investor Sophistication and Capital Income Inequality
    by Marcin Kacperczyk & Jaromir B. Nosal & Luminita Stevens
  • 2014 Capital Gains Lock-In and Governance Choices
    by Stephen G. Dimmock & William C. Gerken & Zoran Ivković & Scott J. Weisbenner
  • 2014 Investment Noise and Trends
    by Robert F. Stambaugh
  • 2014 Scale and Skill in Active Management
    by Lubos Pastor & Robert F. Stambaugh & Lucian A. Taylor
  • 2014 How Constraining Are Limits to Arbitrage? Evidence from a Recent Financial Innovation
    by Alexander Ljungqvist & Wenlan Qian
  • 2014 On the robustness of persistence in mutual fund performance
    by Juan Carlos Matallín-Sáez & Amparo Soler-Domínguez & Emili Tortosa-Ausina
  • 2014 Crowdfunding, Cascades and Informed Investors
    by Parker, Simon C.
  • 2014 Forecasting the Volatility of the Dow Jones Islamic Stock Market Index: Long Memory vs. Regime Switching
    by Adnen Ben Nasr & Thomas Lux & Ahdi Noomen Ajmi & Rangan Gupta
  • 2014 Sistema de pensiones y profundidad financiera: Evidencia empírica de cointegración para el caso Boliviano
    by Pamela Córdova Olivera
  • 2014 Credit Risk Calibration based on CDS Spreads
    by Shih-Kang Chao & Wolfgang Karl Härdle & Hien Pham-Thu &
  • 2014 Debt Markets in Emerging Economies: Major Trends
    by Tatiana Didier & Sergio L. Schmukler
  • 2014 Reshaping financial systems. New technologies and financial innovations - evidence from the United States, Mexico and Brazil
    by Ewa Lechman & Adam Marszk
  • 2014 It will cost you nothing to "kill" a Proof-of-Stake crypto-currency
    by Nicolas Houy
  • 2014 Financial benefits, travel costs, and bankruptcy
    by Mikhed, Vyacheslav & Scholnick, Barry
  • 2014 A primer on the GCF Repo® Service
    by Agueci, Paul & Alkan, Leyla & Copeland, Adam & Davis, Isaac & Martin, Antoine & Pingitore, Kate & Prugar, Caroline & Rivas, Tyisha
  • 2014 Gates, fees, and preemptive runs
    by Cipriani, Marco & Martin, Antoine & McCabe, Patrick E. & Parigi, Bruno
  • 2014 Failures Of Supervisory Bodies And Rating Agencies In Mortgage Crisis Escalation
    by Perica Janković
  • 2014 The increasing interest of Middle Eastern Sovereign Wealth Funds for Europe: presenting original data
    by Françoise Hay & Christian Milelli
  • 2014 Net flows to emerging markets’ funds and the U.S. monetary policy after the subprime crisis
    by Henri Audigé
  • 2014 The measurement of international pension obligations - Have we harmonised enough?
    by Dirk van der Wal
  • 2014 Utility-equivalence of pension security mechanisms
    by Dirk Broeders & An Chen & Birgit Koos
  • 2014 Shadow Banking and Traditional Bank Lending: The Role of Implicit Guarantees
    by Lucyna Gornicka
  • 2014 Direct and Indirect Effects of Index ETFs on Spot-Futures Pricing and Liquidity : Evidence from the CAC 40 Index
    by Gresse, Carole & Deville, Laurent & De Séverac, Béatrice
  • 2014 Differential Effects of Law, Culture and Political Risk on Fees, Performance and Risk-taking Behavior of Mutual Fund Managers
    by Mehri, Meryem
  • 2014 The Differential Effects of Law, Culture and Political Risk on Fees, Performance and Risk-Taking Behavior of Islamic and Conventional Funds
    by Mehri, Meryem
  • 2014 Filtering and Prediction in Noncausal Processes
    by Christian Gouriéroux & Joann Jasiak
  • 2014 Runs on Money Market Funds
    by Schmidt, Lawrence & Timmermann, Allan G & Wermers, Russ
  • 2014 Scale and Skill in Active Management
    by Pástor, Luboš & Stambaugh, Robert F. & Taylor, Lucian
  • 2014 Bitcoin: something seems to be ‘fundamentally’ wrong
    by José E. Gómez-González & Julián A. Parra-Polania
  • 2014 Las acciones como activo de reserva para el Banco de la República
    by Mario Alejandro Acosta R.
  • 2014 How Should Donors Respond to Resource Windfalls in Poor countries? From Aid to Insurance- Working Paper 372
    by Anton Dobronogov, Alan Gelb, and Fernando Brant Saldanha
  • 2014 Intergenerational Risk-Sharing through Funded Pensions and Public Debt
    by Damiaan H.J. Chen & Roel Beetsma & Eduard Ponds & Ward E. Romp
  • 2014 The Economics of Securitization: Evidence from the European Markets
    by João Pinto
  • 2014 The Impact of Large Orders in Electronic Markets
    by Luisella Bosetti & Pietro Gottardo & Maurizio Murgia & Andrea Pinna
  • 2014 Are the log-returns of Italian open-end mutual funds normally distributed? A risk assessment perspective
    by Michele Leonardo Bianchi
  • 2014 The impact of the exchange rate on Luxembourg equity funds
    by Mustafa Kultur & Romuald Morhs
  • 2014 Search-for-Yield in Canadian Fixed-Income Mutual Funds and Monetary Policy
    by Sermin Gungor & Jesus Sierra
  • 2014 Determinants of financial inclusion in Mexico based on the 2012 National Financial Inclusion Survey (ENIF)
    by Ximena Pena & Carmen Hoyo & David Tuesta
  • 2014 Determinantes de la inclusion financiera en Mexico a partir de la ENIF 2012
    by Ximena Pena & Carmen Hoyo & David Tuesta
  • 2014 A model for the pension system in Mexico: diagnosis and recommendations
    by Javier Alonso & Carmen Hoyo & David Tuesta
  • 2014 Un modelo para el sistema de pensiones en Mexico.Diagnostico y recomendaciones
    by Javier Alonso & Carmen Hoyo & David Tuesta
  • 2014 Comparando Comisiones por Flujo y Saldo en Fondos de Pensiones con Cuentas Individuales de Capitalización
    by Luis Chávez-Bedoya & Nelson Ramírez-Rondán
  • 2014 Social Security and Pension Reform: International Perspectives
    by Marek Szczepanski & John A. Turner
  • 2014 Determinants of equity pension plan flows
    by Carmen Pilar Martí Ballester
  • 2014 The wider economic impacts of high-skilled migrants: a survey of the literature for receiving countries
    by Max Nathan
  • 2014 Do institutional and political factors matter for the efficiency of banking sectors?
    by Malgorzata Anna Olszak & Patrycja Chodnicka
  • 2014 Measuring the information content of customer foreign exchange orders
    by Sviatoslav Rosov & F. Douglas Foster
  • 2014 Corporate Bond Market Of Real Estate Development Companies In Poland
    by Magdalena Gostkowska-Drzewicka
  • 2014 Do Concentrated Institutional Investors Really Reduce Executive Compensation Whilst Raising Incentives?
    by Smith, Gavin S. & Swan, Peter L.
  • 2014 Should Banks' Stress Test Results be Disclosed? An Analysis of the Costs and Benefits
    by Goldstein, Itay & Sapra, Haresh
  • 2014 Análisis del riesgo de mercado de los fondos de pensión en México Un enfoque con modelos autorregresivos
    by Martínez Preece Marissa R. & Venegas Martínez Francisco
  • 2014 A New Perspective of Benevolent Loan, QARD Al-Hassan, Using Upfront Payment ‘Mesbah Point’
    by Feroza Ragnath. & Amir Behnam Izadyar.
  • 2014 Las fundaciones de origen bancario italianas: Un espejo donde mirarnos/The Italian Foundations of Banking Origin: A Mirror where we can see Ourselves
    by PARDO ALÉS, GLORIA & LÓPEZ MILLA, JULIÁN
  • 2014 Stability of funding models: an analytical framework
    by Eisenbach, Thomas M. & Keister, Todd & McAndrews, James J. & Yorulmazer, Tanju
  • 2014 Stock Market Efficiency and Size of the Firm: Empirical Evidence from Pakistan
    by Ikram ul Haq & Kashif Rashid
  • 2014 The Interaction of Mutual Fund Flows and Stock Returns: Evidence From The Turkish Capital Market
    by Berna AYDOGAN & Gulin VARDAR & Gokce TUNC
  • 2014 IMKB’de Islem Goren Araci Kurulus Varantlari icin Etkin Fiyatlama Modelinin Belirlenmesi
    by Rifat KARAKUS & Israfil ZOR
  • 2014 The timing ability and global performance of Tunisian mutual fund managers: A multivariate GARCH approach
    by Oueslati, Abdelmonem & Hammami, Yacine & Jilani, Faouzi
  • 2014 Are we overestimating REIT idiosyncratic risk? Analysis of pricing effects and persistence
    by Abugri, Benjamin A. & Dutta, Sandip
  • 2014 Performance of global Islamic versus conventional share indices: International evidence
    by Ho, Catherine Soke Fun & Abd Rahman, Nurul Afiqah & Yusuf, Noor Hafizha Muhamad & Zamzamin, Zaminor
  • 2014 Precious metal mutual fund performance appraisal using DEA modeling
    by Tsolas, Ioannis E.
  • 2014 Speculators, commodities and cross-market linkages
    by Büyükşahin, Bahattin & Robe, Michel A.
  • 2014 Winners in the spotlight: Media coverage of fund holdings as a driver of flows
    by Solomon, David H. & Soltes, Eugene & Sosyura, Denis
  • 2014 Limited partner performance and the maturing of the private equity industry
    by Sensoy, Berk A. & Wang, Yingdi & Weisbach, Michael S.
  • 2014 Mutual fund performance evaluation with active peer benchmarks
    by Hunter, David & Kandel, Eugene & Kandel, Shmuel & Wermers, Russ
  • 2014 Fund Manager Allocation
    by Fang, Jieyan & Kempf, Alexander & Trapp, Monika
  • 2014 Are hedge fund managers systematically misreporting? Or not?
    by Jorion, Philippe & Schwarz, Christopher
  • 2014 Government policy and ownership of equity securities
    by Rydqvist, Kristian & Spizman, Joshua & Strebulaev, Ilya
  • 2014 Syndicated loan spreads and the composition of the syndicate
    by Lim, Jongha & Minton, Bernadette A. & Weisbach, Michael S.
  • 2014 Overcoming limits of arbitrage: Theory and evidence
    by Hombert, Johan & Thesmar, David
  • 2014 Introduction to financial economics
    by Allen, Franklin & Vayanos, Dimitri & Vives, Xavier
  • 2014 Competition of socially responsible and conventional mutual funds and its impact on fund performance
    by In, Francis & Kim, Martin & Park, Raphael Jonghyeon & Kim, Sangbae & Kim, Tong Suk
  • 2014 Value of strategic alliances: Evidence from the bond market
    by Chou, Ting-Kai & Ou, Chin-Shyh & Tsai, Shu-Huan
  • 2014 Unveiling the embedded coherence in divergent performance rankings
    by Bosch-Badia, Maria Teresa & Montllor-Serrats, Joan & Tarrazon-Rodon, Maria-Antonia
  • 2014 An analysis of risk-taking behavior for public defined benefit pension plans
    by Mohan, Nancy & Zhang, Ting
  • 2014 Style chasing by hedge fund investors
    by Horst, Jenke ter & Salganik, Galla
  • 2014 The tax benefit of income smoothing
    by Rydqvist, Kristian & Schwartz, Steven T. & Spizman, Joshua D.
  • 2014 Dynamic correlation analysis of spill-over effects of interest rate risk and return on Australian and US financial firms
    by Akhtaruzzaman, Md & Shamsuddin, Abul & Easton, Steve
  • 2014 Currency hedging strategies in strategic benchmarks and the global and Euro sovereign financial crises
    by Caporin, Massimiliano & Jimenez-Martin, Juan-Angel & Gonzalez-Serrano, Lydia
  • 2014 Bringing cost transparency to the life annuity market
    by Donnelly, Catherine & Guillén, Montserrat & Nielsen, Jens Perch
  • 2014 Longevity risk, cost of capital and hedging for life insurers under Solvency II
    by Meyricke, Ramona & Sherris, Michael
  • 2014 A risk-based premium: What does it mean for DB plan sponsors?
    by Chen, An & Uzelac, Filip
  • 2014 Pension funds and stock market volatility: An empirical analysis of OECD countries
    by Thomas, Ashok & Spataro, Luca & Mathew, Nanditha
  • 2014 Overconfidence, risk perception and the risk-taking behavior of finance professionals
    by Broihanne, M.H. & Merli, M. & Roger, P.
  • 2014 Do mutual funds have information advantage? Evidence from seasoned equity offerings in China
    by Xiang, Erwei & Tian, Gloria Y. & Yang, Fan & Liu, Zhiyuan
  • 2014 Culture's impact on institutional investors' trading frequency
    by Beracha, Eli & Fedenia, Mark & Skiba, Hilla
  • 2014 Dynamic asset allocation when bequests are luxury goods
    by Ding, Jie & Kingston, Geoffrey & Purcal, Sachi
  • 2014 Age-dependent investing: Optimal funding and investment strategies in defined contribution pension plans when members are rational life cycle financial planners
    by Blake, David & Wright, Douglas & Zhang, Yumeng
  • 2014 Dolarizasyon ve Finansman Maliyeti
    by Hasan Zeybek
  • 2014 Analysis Of The Non-Bank, Non- Government Customers Credits, In Territorial Profile
    by Marioara MIREA & Kamer-Ainur AIVAZ
  • 2014 Cyber Risk and Insurance Coverage: An Actuarial Multistate Approach
    by Carla Barracchini & M. Elena Addessi
  • 2014 European ETFs: Risks, tracking error and new regulation
    by Marco Elia
  • 2014 The new Alternative Investment Fund Managers Directive
    by Andrea Meiani & Luigi Rizzi & David Sabatini
  • 2014 Optimal Design of Funded Pension Schemes
    by Lans Bovenberg & Roel Mehlkopf
  • 2013 Liability Investment with Downside Risk
    by Andrew Ang & Bingxu Chen & Suresh Sundaresan
  • 2013 Central Clearing and Asset Prices
    by Albert J. Menkveld & Emiliano Pagnotta & Marius A. Zoican
  • 2013 Predicting Covariance Matrices with Financial Conditions Indexes
    by Anne Opschoor & Dick van Dijk & Michel van der Wel
  • 2013 Hedging Inflation Risk in a Developing Economy
    by Signori, Ombretta & Brière, Marie
  • 2013 I fondi comuni italiani: quale metrica per quale performance?
    by Daniela Venanzi
  • 2013 Principles and policies for in-house asset management
    by Clark, Gordon & Monk, Ashby
  • 2013 Do firm characteristics influence mutual fund performance? An empirical study for European mutual funds
    by de Jong, Frank & Wingens, Loes
  • 2013 Do Firm Characteristics Influence Mutual Fund Performance? An Empirical Study for European Mutual Funds
    by de Jong, Frank & Wingens, Loes
  • 2013 The synchronized and long-lasting structural change on commodity markets: Evidence from high frequency data
    by Bicchetti, David & Maystre, Nicolas Maystre
  • 2013 The Impact of Alternative Models of Leasing on Financing Investments
    by V. Gazman.
  • 2013 Yurtiçi tasarruflar ve bireysel emeklilik sistemi: Türkiye’deki uygulamaya ilişkin bir değerlendirme
    by Cihan YALÇIN & Özgür ÖZEL
  • 2013 Uluslararası Kurumsal Yatırımcıların Genel Kurullara Katılımı ve Oy Kullanma Eğilimleri
    by B. Burcin YURTOĞLU & Melsa ARARAT
  • 2013 Performance benefits of tight control
    by Gill, Andrej & Visnjic, Nikolai
  • 2013 Insight private equity
    by Gill, Andrej & Visnjic, Nikolai
  • 2013 Determinants of equity pension plan flows
    by Martí Ballester, Carmen Pilar
  • 2013 Private infrastructure finance and investment in Europe
    by Inderst, Georg
  • 2013 Managerial multitasking in the mutual fund industry
    by Agarwal, Vikas & Ma, Linlin
  • 2013 The impact of duality on managerial decisions and performance: Evidence from the mutual fund industry
    by Kempf, Alexander & Pütz, Alexander & Sonnenburg, Florian
  • 2013 Cash holdings of German open-end equity funds: Does ownership matter?
    by Dötz, Niko & Weth, Mark
  • 2013 The efficiency of Spanish mutual funds companies: A slacks-based measure approach
    by Carlos Sánchez-González & José Luis Sarto & Luis Vicente
  • 2013 The pricing of options on WIG20 using GARCH models
    by Szymon Kamiński
  • 2013 Portfolio Performance Measure and A New Generalized Utility-based N-moment Measure
    by Monica Billio & Gregory Jannin & Bertrand Maillet & Loriana Pelizzon
  • 2013 Is there an optimal pension fund size? A scale-economy analysis of administrative and investment costs
    by Jacob A. Bikker
  • 2013 Yurtici Tasarruflar ve Bireysel Emeklilik Sistemi : Turkiye’deki Uygulamaya Iliskin Bir Degerlendirme
    by Ozgur Ozel & Cihan Yalcin
  • 2013 Leverage and Alpha: The Case of Funds of Hedge Funds
    by Benoît Dewaele
  • 2013 Portfolio Optimization for Hedge Funds through Time-Varying Coefficients
    by Benoît Dewaele
  • 2013 Non-Exclusive Financial Advice
    by Salvatore Piccolo & Giovanni W. Puopolo & Luis Vasconcelos
  • 2013 Impact of a Low Interest Rate Environment - Global Liquidity Spillovers and the Search-for-yield
    by Ansgar Belke
  • 2013 Are Islamic Banks Subject to Depositor Discipline?
    by A. F. AYSAN & M. DISLI & H. OZTURK & I. M. TURHAN
  • 2013 The Value of Social Networks in Financial Markets
    by Michela Rancan
  • 2013 Extending Financialisation and Increasing Fragility of the Financial System
    by IANCU, Aurel
  • 2013 Extinderea financiarizarii si accentuarea fragilitatii sistemului financiar
    by IANCU, Aurel
  • 2013 Impact of a Low Interest Rate Environment – Global Liquidity Spillovers and the Search-for-yield
    by Ansgar Belke
  • 2013 What Lessons Can Asia Draw from Capital Controls in Brazil during 2008–2012?
    by Jinjarak, Yothin & Noy, Ilan & Zheng, Huanhuan
  • 2013 Trading Death: The Implications of Annuity Replication for the Annuity Puzzle, Arbitrage, Speculation and Portfolios
    by Charles Sutcliffe &
  • 2013 Micro Foundations of Savings Behavior in Urban Pakistan
    by Shaikh, Salman
  • 2013 Analysing social attributes of loan default among small Indian Dairy farms: A discriminating approach
    by Sinha, Mukesh Kumar & Dhaka, J. P. & Mondal, B.
  • 2013 Accounting and the Macroeconomy: The Case of Aggregate Price-Level Effects on Individual Stocks
    by Konchitchki, Yaniv
  • 2013 Growth Effects of Financial Integration and Financial Deepening in Selected Sub-Saharan African Economies: a Panel-Data Approach
    by Evans, Olaniyi
  • 2013 Venture capital optimal investment portfolio strategies selection in diffusion - type financial systems in global capital markets with nonlinearities
    by Ledenyov, Dimitri O. & Ledenyov, Viktor O.
  • 2013 Fund Performance Evaluation in Greece Revisited: Evidence from the Impact of Operational Attributes
    by Mamatzakis, E & Babalos, Vassilios & filipas, n
  • 2013 Relative Performance Concerns, Attention Allocation and Complementarities in Information Acquisition
    by Niu, Zilong
  • 2013 What should every Young Farmer know about Agro lending?
    by Kovachev, Goran
  • 2013 Features that influence the exit decision from the private pension system in Turkey
    by Kayam, Saime S. & Parkın, Mehmet Koray & Çeliktopuz, Merih
  • 2013 Role of regulation in micro finance: jurisdictional analysis
    by Ojo, Marianne
  • 2013 Role of regulation in micro finance: jurisdictional analysis
    by Ojo, Marianne
  • 2013 Enhancing the Enforceability of Islamic Microfinance Contracts in OIC countries
    by ZOUARI, Zeineb & NABI, Mahmoud Sami
  • 2013 A Solar-Home Rental Business Model: Capturing Synergies from Solar Energy and Single Family Rental Properties
    by Lutey, Robert
  • 2013 The Influence of Social Capital Dimensions on Household Participation in Micro-Credit Groups and Loan Repayment Performance in Uasin Gishu County, Kenya
    by Kangogo, Daniel & Lagat, Job & Ithinji, Gicuru
  • 2013 Analysis of external factors affecting the development of SMEs in Kosovo
    by Govori, Arbiana
  • 2013 Rules of Microcredit Regulatory Authority in Bangladesh: A Synopsis
    by Badruddoza, S.
  • 2013 Institutional changes of SPACs
    by Lakicevic, Milan & Shachmurove, Yochanan & Vulanovic, Milos
  • 2013 Pension funds and Market Efficiency: A review
    by Ashok Thomas & Luca Spataro
  • 2013 Pension funds and Stock Market Volatility: An Empirical Analysis of OECD countries
    by Ashok Thomas & Luca Spataro & Nanditha Mathew
  • 2013 Exploring Climate Finance Effectiveness
    by Jane Ellis & Randy Caruso & Stephanie Ockenden
  • 2013 Comparing Definitions and Methods to Estimate Mobilised Climate Finance
    by Randy Caruso & Jane Ellis
  • 2013 China's March to Prosperity: Reforms to Avoid the Middle-income Trap
    by Vincent Koen & Richard Herd & Sam Hill
  • 2013 Investor Relations and Communications: An Overview of Leading Practices in the OECD Area
    by Mark Dooner & David McAlister
  • 2013 Institutional Investors and Infrastructure Financing
    by Raffaele Della Croce & Juan Yermo
  • 2013 Institutional Investors and Green Infrastructure Investments: Selected Case Studies
    by Christopher Kaminker & Osamu Kawanishi & Fiona Stewart & Ben Caldecott & Nicholas Howarth
  • 2013 Pension Fund Investment in Infrastructure: A Comparison Between Australia and Canada
    by Georg Inderst & Raffaele Della Croce
  • 2013 International Capital Rules: Harmonization, Conflict or Competition
    by Martin F. Grace
  • 2013 Why Fixing the "Shadow Banking" Sector is Essential for the U.S. Housing Market
    by R. Christopher Whalen
  • 2013 Staging experience, valuing authenticity: Towards a market perspective on territorial development
    by Hugues Jeannerat
  • 2013 Mobility of Knowledge. The Photovoltaic Industry in Western Switzerland : The Emergence of a Multi-Local Valuation Milieu
    by Christian Livi & Hugues Jeannerat & Olivier Crevoisier
  • 2013 Mobility of Knowledge. Territorial Knowledge Dynamics in luxury car industry. Beyond standard and production markets
    by Macneill Stewart & Hugues Jeannerat
  • 2013 Is Bitcoin a Real Currency? An economic appraisal
    by David Yermack
  • 2013 Consumer Credit: Too Much or Too Little (or Just Right)?
    by Jonathan Zinman
  • 2013 Buffett’s Alpha
    by Andrea Frazzini & David Kabiller & Lasse H. Pedersen
  • 2013 Liquidity and Governance
    by Kerry Back & Tao Li & Alexander Ljungqvist
  • 2013 The Cost of Capital for Alternative Investments
    by Jakub W. Jurek & Erik Stafford
  • 2013 Collateral Valuation and Borrower Financial Constraints: Evidence from the Residential Real Estate Market
    by Sumit Agarwal & Itzhak Ben-David & Vincent Yao
  • 2013 Home Bias and Local Contagion: Evidence from Funds of Hedge Funds
    by Clemens Sialm & Zheng Sun & Lu Zheng
  • 2013 Defined Contribution Pension Plans: Sticky or Discerning Money?
    by Clemens Sialm & Laura Starks & Hanjiang Zhang
  • 2013 The Interaction of Spending Policies, Asset Allocation Strategies, and Investment Performance at University Endowment Funds
    by Keith Brown & Cristian Tiu
  • 2013 Predatory Short Selling
    by Markus K. Brunnermeier & Martin Oehmke
  • 2013 The Disintermediation of Financial Markets: Direct Investing in Private Equity
    by Lily Fang & Victoria Ivashina & Josh Lerner
  • 2013 Capital Controls in Brazil – Stemming a Tide with a Signal?
    by Yothin Jinjarak & Ilan Noy & Huanhuan Zheng
  • 2013 Concentration in Mortgage Lending, Refinancing Activity and Mortgage Rates
    by David S. Scharfstein & Adi Sunderam
  • 2013 Borrowing High vs. Borrowing Higher: Sources and Consequences of Dispersion in Individual Borrowing Costs
    by Victor Stango & Jonathan Zinman
  • 2013 Risk Premia in Crude Oil Futures Prices
    by James D. Hamilton & Jing Cynthia Wu
  • 2013 Indirect Incentives of Hedge Fund Managers
    by Jongha Lim & Berk A. Sensoy & Michael S. Weisbach
  • 2013 It Pays to Set the Menu: Mutual Fund Investment Options in 401(k) Plans
    by Veronika K. Pool & Clemens Sialm & Irina Stefanescu
  • 2013 Take a chance on me – Can the Swedish premium pension serve as a role model for Germany’s Riester scheme?
    by Haupt, Marlene & Kluth, Sebastian
  • 2013 The Lure of the Brand: Evidence from the European Mutual Fund Industry
    by Fabian Irek, & Jan Jaap Hazenberg & Willem van der Scheer
  • 2013 The Lure of the Brand: Evidence from the European Mutual Fund Industry
    by Fabian Irek, & Jan Jaap Hazenberg & Willem van der Scheer
  • 2013 Do Fund Investors Know that Risk is Sometimes not Priced?
    by Fabian Irek & Thorsten Lehnert
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  • 2011 Performance and international investments in microfinance institutions
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  • 2011 Alberto Quadrio Curzio - Valeria Miceli, Sovereign Wealth Funds. A complete guide to state-owned investment funds
    by Schilirò, Daniele
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  • 2011 Longevity hedge effectiveness: a decomposition
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  • 2011 How accurate are commercial-real-estate appraisals? evidence from 25 years of NCREIF sales data
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  • 2011 Longevity risk and capital markets: The 2009-2010 update
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    by Philip Hemmings
  • 2011 Financial Sector Reform in India: Time for a Second Wave?
    by Richard Herd & Vincent Koen & Ila Patnaik & Ajay Shah
  • 2011 Making the Dutch Pension System Less Vulnerable to Financial Crises
    by Jens Høj
  • 2011 Funding in Public Sector Pension Plans: International Evidence
    by Eduard Ponds & Clara Severinson & Juan Yermo
  • 2011 Reform on Pension Fund Governance and Management: The 1998 Reform of Korea National Pension Fund
    by Woochan Kim & Fiona Stewart
  • 2011 Pension Funds Investment in Infrastructure: Policy Actions
    by Raffaele Della Croce
  • 2011 The Role of Guarantees in Defined Contribution Pensions
    by Pablo Antolín & Stéphanie Payet & Edward R. Whitehouse & Juan Yermo
  • 2011 The Role of Pension Funds in Financing Green Growth Initiatives
    by Raffaele Della Croce & Christopher Kaminker & Fiona Stewart
  • 2011 The Relative Performance of Debt-restricted Real Estate Investment Trusts (REITs): Does Faith Matter?
    by M. Kabir Hassan & Yasser Alhenawi & Hesham Merdad
  • 2011 La ville négociée : entre financiarisation et durabilité
    by Thierry Theurillat
  • 2011 The Effect of Liquidity on Governance
    by Alex Edmans & Vivian W. Fang & Emanuel Zur
  • 2011 A survey of venture capital research
    by Marco Da Rin & Thomas F. Hellmann & Manju Puri
  • 2011 The Real Effects of Hedge Fund Activism: Productivity, Risk, and Product Market Competition
    by Alon Brav & Wei Jiang & Hyunseob Kim
  • 2011 Lifecycle Portfolio Choice with Systematic Longevity Risk and Variable Investment-Linked Deferred Annuities
    by Vasily Kartashov & Raimond Maurer & Olivia S. Mitchell & Ralph Rogalla
  • 2011 Mutual Fund Performance and the Incentive to Generate Alpha
    by Diane Del Guercio & Jonathan Reuter
  • 2011 On the International Transmission of Shocks: Micro-Evidence from Mutual Fund Portfolios
    by Claudio Raddatz & Sergio L. Schmukler
  • 2011 Spillover Effects in Mutual Fund Companies
    by Clemens Sialm & T. Mandy Tham
  • 2011 Negotiating with Labor Under Financial Distress
    by Efraim Benmelech & Nittai K. Bergman & Ricardo Enriquez
  • 2011 Lifecycle Impacts of the Financial and Economic Crisis on Household Optimal Consumption, Portfolio Choice, and Labor Supply
    by Jingjing Chai & Raimond Maurer & Olivia S. Mitchell & Ralph Rogalla
  • 2011 Local Overweighting and Underperformance: Evidence from Limited Partner Private Equity Investments
    by Yael V. Hochberg & Joshua D. Rauh
  • 2011 Hedge Fund Leverage
    by Andrew Ang & Sergiy Gorovyy & Gregory B. van Inwegen
  • 2011 The Economics of State and Local Public Pensions
    by Jeffrey R. Brown & Robert Clark & Joshua Rauh
  • 2011 How Financial Literacy and Impatience Shape Retirement Wealth and Investment Behaviors
    by Justine S. Hastings & Olivia S. Mitchell
  • 2011 Behavioral Economics Perspectives on Public Sector Pension Plans
    by John Beshears & James J. Choi & David Laibson & Brigitte C. Madrian
  • 2011 Are defined contribution pension schemes socially sustainable? A conceptual map from a macroprudential perspective
    by Giuseppe Marotta
  • 2011 Sostenibilità finanziaria e rischio politico degli schemi pensionistici a contribuzione definita: una prospettiva macroprudenziale (Financial sustainability and political risk in defined contriburiion pension schemes: a macroprudential perspective)
    by Giuseppe Marotta
  • 2011 Underpricing, wealth loss for pre-existing shareholders and the cost of going public: the role of private equity backing in Italian IPOs
    by Riccardo Ferretti & Antonio Meles
  • 2011 Are defined contribution pension schemes socially sustainable? A conceptual map from a macroprudential perspective
    by Giuseppe Marotta
  • 2011 Suggesting Guidelines for Public Pension Funds Governance
    by Ricardo Bebczuk & Alberto Musalem & María Luisa Streb
  • 2011 Portability of Pension, Health, and Other Social Benefits: Facts, Concepts, Issues
    by Holzmann, Robert & Koettl, Johannes
  • 2011 Portability of Pension, Health, and Other Social Benefits: Facts, Concepts, Issues
    by Holzmann, Robert & Koettl, Johannes
  • 2011 On the economics of hedge fund drawdown status: Performance, insurance selling and darwinian selection
    by Sevinc Cukurova & Jose M. Marin
  • 2011 Financial performance of the Czech private pension scheme: Its current position and the comparison with other CEE countries
    by Jan Hlaváč
  • 2011 Confianza, redes sociales y hábitos financieros: Un estudio empírico
    by Sonia Di Giannatale & Alexander Elbittar & María José Roa García & Lucy N. Maya & Alfredo Ramírez
  • 2011 Behavioral Economics Perspectives on Public Sector Pension Plans
    by Beshears, John & Choi, James J. & Laibson, David & Madrian, Brigitte C.
  • 2011 Pricing of real estate specific market risks for worldwide 66 countries
    by Lieser, Karsten
  • 2011 The determinants of international commercial real estate investments
    by Lieser, Karsten & Groh, Alexander P.
  • 2011 Some Implications Of Capping The Inflation Indexation Of Uss Pensions
    by Bill Russell
  • 2011 Valuation of Liabilities in Hybrid Pension Plans
    by Dirk Broeders & An Chen & David Rijsbergen
  • 2011 Real Pension Rights as a Control Mechanism for Pension Fund Solvency
    by Jakob Bikker & Thijs Knaap & Ward Romp
  • 2011 Investment risk taking by institutional investors
    by Janko Gorter & Jacob A. Bikker
  • 2011 Existe-t-il un univers de benchmarks pour les Hedge Funds?
    by Kamel Laaradh & Nesrine Samet
  • 2011 Market Liquidity and Exposure of Hedge Funds
    by Arjen Siegmann & Denitsa Stefanova
  • 2011 Risk Measures for Autocorrelated Hedge Fund Returns
    by Antonio Di Cesare & Philip A. Stork & Casper G. de Vries
  • 2011 Economic Costs and Benefits of Imposing Short-Horizon Value-at-Risk Type Regulation
    by Zhen Shi & Bas J.M. Werker
  • 2011 A Survey of Venture Capital Research
    by Da Rin, M. & Hellmann, T. & Puri, M.L.
  • 2011 Longevity Risk and Natural Hedge Potential in Portfolios Of Life Insurance Products: The Effect of Investment Risk
    by Stevens, R.S.P. & De Waegenaere, A.M.B. & Melenberg, B.
  • 2011 Inflation-hedging Portfolios in Different Regimes
    by Brière, Marie & Signori, Ombretta
  • 2011 The Role of Law Corruption and Culture in Investment Fund Manager Fees
    by Johan, Sofia & Najar, Dorra
  • 2011 Financial Literacy and Retirement Planning in View of a Growing Youth Demographic: The Russian Case
    by Leora Klapper & Georgios A. Panos
  • 2011 On the High-Frequency Dynamics of Hedge Fund Risk Exposures
    by Patton, Andrew J & Ramadorai, Tarun
  • 2011 The Tax Benefit of Income Smoothing
    by Rydqvist, Kristian & Schwartz, Steven & Spizman, Joshua
  • 2011 Optimal portfolio allocation for corporate pension funds
    by McCarthy, David & Miles, David K
  • 2011 La Afiliación A Un Grupo Ecónomico Y El Desempeño E Inversiones De Las Administradoras De Fondos De Pensiones En Colombia
    by María Rossana Sánchez Vega & Mario García Molina
  • 2011 El salario mínimo y el régimen de ahorro individual en pensiones: diagnóstico, evidencia y problemática
    by Erika Schutt Pardo
  • 2011 Measuring Longevity Risk for a Canadian Pension Fund
    by M. Martin Boyer & Joanna Mejza & Lars Peter Stentoft
  • 2011 Does Canada Have a Problem with Occupational Fraud?
    by Elena Simonova & Rock Lefebvre & Kevin Girdharry
  • 2011 Planning for Retirement - There is no Substitute
    by Elena Simonova & Rock Lefebvre & Kevin Girdharry
  • 2011 How Much Do Means-Tested Benefits Reduce the Demand for Annuities?
    by Monika Bütler & Kim Peijnenburg & Stefan Staubli
  • 2011 Saving Pooled Registered Pension Plans: It's Up To the Provinces
    by Keith Ambachtsheer & Keith Waitzer
  • 2011 Saving Pooled Registered Pension Plans: It's Up To the Provinces
    by Keith Ambachtsheer & Keith Waitzer
  • 2011 Ottawa's Pension Gap: The Growing and Under-reported Cost of Federal Employee Pensions
    by Alexandre Laurin & William B.P. Robson
  • 2011 Ottawa's Pension Gap: The Growing and Under-reported Cost of Federal Employee Pensions
    by Alexandre Laurin & William B.P. Robson
  • 2011 Risk measures for autocorrelated hedge fund returns
    by Antonio Di Cesare & Philip A. Stork & Casper G. de Vries
  • 2011 What determines annuity demand at retirement?
    by Giuseppe Cappelletti & Giovanni Guazzarotti & Pietro Tommasino
  • 2011 Italian open-end funds: performance of asset management companies
    by Michele Leonardo Bianchi & Maria Grazia Miele
  • 2011 A review of recent infrastructure investment in Latin America and the role of private pension funds
    by Enestor Dos Santos & Diego Torres Torres & David Tuesta
  • 2011 Una revision de los avances en la inversion en infraestructura en Latinoamerica y el papel de los fondos de pensiones privados
    by Enestor Dos Santos & Diego Torres Torres & David Tuesta
  • 2011 Brazil on the global finance map: an analysis of the development of the Brazilian capital market
    by Enestor Dos Santos
  • 2011 Posibles consecuencias de la evolucion de las pensiones privadas en China
    by Javier Alonso & Claudia Llanes Valenzuela & David Tuesta & Miguel Angel Caballero & Li Hui & Yun Cao
  • 2011 Potential outcomes of private pension developments in China
    by Javier Alonso & Miguel Angel Caballero & Li Hui & Claudia Llanes Valenzuela & David Tuesta & Yuwei Hu & Yun Cao
  • 2011 Economic Rationality, Risk Presentation, and Retirement Portfolio Choice
    by Hazel Bateman & Christine Ebling & John Geweke & Jordan Louviere & Stephen Satchell & Susan Thorp
  • 2011 Financial Competence, Risk Presentation and Retirement Portfolio Preferences
    by Hazel Bateman & Christine Eckert & John Geweke & Jordan Louviere & Stephen Satchell & Susan Thorp
  • 2011 Individual Post-Retirement Longevity Risk Management Under Systematic Mortality Risk
    by Katja Hanewald & John Piggott & Michael Sherris
  • 2011 Civil Services and Military Retirement Income
    by Hazel Bateman & John Piggott
  • 2011 Consistent Dynamic Affine Mortality Model for Longevity Risk Applications
    by Craig Blackburn & Michael Sherris
  • 2011 Managing Systematic Mortality Risk with Group Self Pooling and Annuitisation Schemes
    by Chao Qiao & Michael Sherris
  • 2011 Heterogeneity of Australian Population Mortality and Implications for a Viable Life Annuity Market
    by Shu Su & Michael Sherris
  • 2011 Mathematical Models for the Longevity Risk in the Annuity Market
    by Iulian MIRCEA
  • 2011 The Need for Market Regulations and Hedge Funds Performance
    by Carmen CORDUNEANU & Daniela Liliana TURCAS
  • 2011 Pension funds – main institutional investor on the Romanian capital market?
    by Laura Raisa MILOS & Carmen CORDUNEANU
  • 2011 Diversification of Investment Portfolios as an Instrument Used by Institutional Investors in the Capital Management Process
    by Pawe³ Trippner
  • 2011 Fiscal Sustainability of Pension Systems
    by Rudolf Sivák & Pavol Ochotnický & Andrea Čambalová
  • 2011 Una propuesta de reforma del sistema de pensiones español basada en un modelo de contribución definida nocional = A Proposal for Reforming the Spanish Pension System Based on a Notional Defined Contribution Model
    by Valero, Diego & Artís, Manuel & Ayuso, Mercedes & García, Jaime
  • 2011 The Structure of Financial Regulation
    by Bratu Renate Doina & Petria Nicolae
  • 2011 A Single European Corporate Governance Model – An Overview
    by Ilut Bogdan & Chirlesan Dan
  • 2011 Investment Decisions in the Romanian Pension Funds
    by Ciobotea Adina & Oaca Sorina Cristina
  • 2011 Assets and Liabilities Management – Concept and Optimal Organization
    by Ciobotea Adina & Oaca Sorina Cristina
  • 2011 Convergence of Social Insurance Public System with Private Pension System in Romania
    by Vîrlãnuþã Florina
  • 2011 Fluctuation In Pension Fund Assets Privately Managed Under The Influence Of Certain Factors. Statistical Study In Romania
    by Cristea Mirela & Siminica Marian & Dracea Raluca
  • 2011 The reversal of the pension reform 1998 from a short-term perspective
    by Zsuzsa Kékesi & Gábor P. Kiss
  • 2011 An Evaluation of Mutual Fund Performance in an Emerging Economy: The Case of Pakistan
    by Mehreen Mahmud & Nawazish Mirza
  • 2011 Alterssicherungssysteme in Mittel- und Osteuropa: Zwischen Umbruch und Kontinuität
    by Martina Kämpfe & Ingmar Kumpmann
  • 2011 Rating Agencies and Their Role in the International Financial Crisis
    by Eugen Andreescu
  • 2011 Alcune considerazioni sullo Shadow Banking System
    by Figuera Stefano
  • 2011 Latin American Private Pension Funds’ Vulnerabilities
    by Jorge Guillén
  • 2011 The macroeconomics of pension reform: The case of severance pay reform in Italy
    by Sergio Cesaratto
  • 2011 The determinants of domestic and foreign bond bias
    by Ferreira, Miguel A. & Miguel, Antonio F.
  • 2011 Stock price fragility
    by Greenwood, Robin & Thesmar, David
  • 2011 Institutional trading and share returns
    by Douglas Foster, F. & Gallagher, David R. & Looi, Adrian
  • 2011 Relationship between macroeconomic variables and net asset values (NAV) of equity funds: Cointegration evidence and vector error correction model of the Hong Kong Mandatory Provident Funds (MPFs)
    by Chu, Patrick Kuok-Kun
  • 2011 A joint valuation of premium payment and surrender options in participating life insurance contracts
    by Schmeiser, H. & Wagner, J.
  • 2011 Equity-linked pension schemes with guarantees
    by Nielsen, J. Aase & Sandmann, Klaus & Schlögl, Erik
  • 2011 One-year Value-at-Risk for longevity and mortality
    by Plat, Richard
  • 2011 A risk-based model for the valuation of pension insurance
    by Chen, An
  • 2011 Are better governed funds better monitors?
    by Chou, Julia & Ng, Lilian & Wang, Qinghai
  • 2011 Karenzzeit, "Pflege-Riester", Bürgerversicherung: was hilft weiter?
    by Kornelia Hagen & Wolfram Lamping
  • 2011 Optimización de portafolios de pensiones en Colombia: el esquema de multifondos, 2003-2010
    by Claudía María García Mazo & Jilmer Arley Moreno Martínez
  • 2011 Can Immigration Save Our Social Protection System?
    by Xavier Chojnicki & Lionel Ragot
  • 2011 Le financement des retraites aux États-Unis. Impact de la crise et tendances de long terme
    by Vincent Touzé
  • 2011 La relation entre flux d'entrées nets et performance des fonds. Une étude appliquée au cas des opcvm actions français
    by Raphaëlle Bellando & Linh Tran-Dieu
  • 2011 Institutional Investment in Bulgaria – Trends, Problems and Directions
    by Raina Tsaneva
  • 2011 Pension System in Argentina
    by Jaros?aw Poteraj
  • 2011 Mutual funds and pension funds taxation differences in the Italian market
    by Stefania Celebrini & Andrea Nobili
  • 2011 Etc fiscal treatment in the Italian market
    by Enzo Mignarri
  • 2011 Real Estate asset management companies in the Italian market: structures and trends
    by Guido Abate
  • 2011 Structured Etfs: opportunities and risks for the investors
    by Maria Debora Braga
  • 2011 The Exchange Traded Funds in Italy
    by Michele Leonardo Bianchi & Mariano Loddo & Maria Grazia Miele
  • 2011 Performance Measurement of Mutual Funds, Hedge Funds, and Institutional Accounts
    by Russ Wermers
  • 2011 The Economics of Mutual Funds
    by David K. Musto
  • 2011 Comparison Of Investment Style: An Application On Share Weighted Funds Trading In Turkey
    by Turhan Korkmaz & Hasan Uygurturk
  • 2011 Investment decisions in crises — A study of private pension fund investments
    by E. Kovács & B. Dömötör & H. Naffa
  • 2011 The Impact Of The Economic And Financial Crisis On Pension Systems In The European Union
    by Daniel Nicolae Militaru
  • 2011 The Impact Of The Economic And Financial Crisis On Pension Systems In The European Union
    by Daniel Nicolae Militaru
  • 2011 Considerations on the Reform of Pension Systems in Romania and Hungary
    by Daniel Nicolae MILITARU
  • 2011 The Financial Crisis and the Crisis Within European Health Insurance Systems
    by Bianca MIHART
  • 2011 Global Tendencies in Investment Funds Market Development
    by Ioan E. NISTOR & Ioana RADU
  • 2011 Assessing The Performance Of Non-Banking Financial Institutions – A Knowledge Discovery Approach
    by Adrian Costea
  • 2011 The Performance And Risks Of Private Pension Funds - Implications For Financial Stability
    by Ph. D Student Daniel Nicolae Militaru, Student Adriana Iuliana Spînu
  • 2011 Correlation Analiysis Between Performances Of The Privately Managed Pension Funds And Their Asset Investment Allocation In Romania
    by Assoc. Prof. Mirela Cristea Ph. D
  • 2011 Diversity Of The Pension Systems In The European Union Countries"
    by Laura Raisa Miloş & Carmen Corduneanu
  • 2011 Determinants of Participation in Occupational Pension Funds by Private Sector Workers in South Africa
    by Sheshangai Kaniki & Miracle Ntuli
  • 2010 Höhe, Struktur und Determinanten der Managervergütung: Eine Analyse der Fondsbranche in Deutschland
    by Drachter, Kerstin & Kempf, Alexander
  • 2010 Instruments financiers dérivés
    by Folus, Didier
  • 2010 Investor Irrationality and Closed-end Hedge Funds
    by Dietiker, Oliver
  • 2010 Sesgos en los modelos de sincronización tradicionales
    by Ferruz, Luis & Muñoz, Fernando & Vargas, María
  • 2010 Criterios de decisión de inversión en fondos monetarios
    by Andreu, Laura & Ortiz, Cristina & Sarto, José Luis
  • 2010 Pension funds' performance in strongly regulated industries in Central Europe: Evidence from Poland and Hungary
    by Bohl, Martin T. & Lischewski, Judith & Voronkova, Svitlana
  • 2010 Risk and return in convertible arbitrage: Evidence from the convertible bond market
    by Agarwal, Vikas & Fung, William H. & Loon, Yee Cheng & Naik, Narayan Y.
  • 2010 Purchase and redemption decisions of mutual fund investors and the role of fund families
    by Jank, Stephan & Wedow, Michael
  • 2010 The influence of buy-side analysts on mutual fund trading
    by Frey, Stefan & Herbst, Patrick
  • 2010 Are there disadvantaged clienteles in mutual funds?
    by Jank, Stephan
  • 2010 Purchase and redemption decisions of mutual fund investors and the role of fund families
    by Jank, Stephan & Wedow, Michael
  • 2010 Relative performance of SRI equity funds: An analysis of European funds using Data Envelopment Analysis
    by Antonella Basso & Stefania Funari
  • 2010 Equity-Linked Pension Schemes with Guarantees
    by J. Aase Nielsen & Klaus Sandmann & Erik Schlogl
  • 2010 Mutual Fund Style, Characteristic-Matched Performance Benchmarks and Activity Measures: A New Approach
    by Daniel Buncic & Jon E. Eggins & Robert J. Hill
  • 2010 Payouts in Switzerland: Explaining Developments in Annuitization
    by Monika Bütler & Stefan Staubli
  • 2010 The Variance Gamma Scaled Self-Decomposable Process in Actuarial Modelling
    by Conall O'Sullivan & Michael Moloney
  • 2010 An alternative perspective on South Africa’s public debt, 1962-1994
    by Estian Calitz & Stan du Plessis & Krige Siebrits
  • 2010 Mutual Fund Style, Characteristic-Matched Performance Benchmarks and Activity Measures: A New Approach
    by Daniel Buncic & Jon E. Eggins & Robert J. Hill
  • 2010 Un nuevo índice de precios para rentas vitalicias
    by Salvador Valdes & Nicolás Castro & Arístides Torche
  • 2010 Le système de retraite américain : impact de la crise et tendances de long terme
    by Vincent Touze
  • 2010 Risk, return and cash flow characteristics of infrastructure fund investments
    by Bitsch, Florian & Buchner, Axel & Kaserer, Christoph
  • 2010 Infrastructure as an asset class
    by Inderst, Georg
  • 2010 Responsible Investment: A Vehicle for Environmentally Sustainable Economic Growth in South Africa
    by Giamporcaro, Stephanie & Pretorius, Lise & Visser, Martine
  • 2010 Pension Funds under Investments Constraints: An Assessment of the Opportunity Cost to the Greek Social Security System
    by Milonas, Nikolaos /T & Papachristou, George & Roupas, Theodor /A
  • 2010 Decentralized investment management: evidence from the pension fund industry
    by Blake, David & Timmermann, Allan & Tonks, Ian & Wermers, Russ
  • 2010 Sharing longevity risk: Why governments should issue longevity bonds
    by Blake, David & Boardman, Tom & Cairns, Andrew
  • 2010 Economics and Hegemony; Globalization and International Trade Agreements
    by Mohamed, Issam A.W.
  • 2010 Islamic Private Equity
    by Chatti, Mohamed Ali & Yousfi, Ouidad
  • 2010 Challenges to Solvency II Reform in Insurance Industry
    by Ramosaj, Berim
  • 2010 Global financial crisis and its impact on the financial system of Kosovo
    by Ramosaj, Berim
  • 2010 An Assessment of the Italian 2007 Second Pillar Reform: a simulation approach
    by Corsini, Lorenzo & Pacini, Pier Mario & Spataro, Luca
  • 2010 Asset Allocation for Government Pension Funds in Pakistan:A Case for International Diversification
    by Rehman, Fahd
  • 2010 Modeling the fraud-like investment founds by Petri nets
    by Ciuiu, Daniel
  • 2010 Pension Fund Performance and Costs: Small is Beautiful
    by Bauer, R.M.M.J. & Cremers, K.J.M. & Frehen, R.G.P.
  • 2010 Fiscal performance and income inequality: Are unequal societies more deficit-prone? Some cross-country evidence
    by Larch, Martin
  • 2010 Myopic investment view of the Indian mutual fund industry
    by Manjrekar, Rajesh & Sinha, Pankaj
  • 2010 The growth and size of the Brazilian mutual fund industry
    by Varga, Gyorgy & Wengert, Maxim
  • 2010 Social Security System in India: An International Comparative Analysis
    by Jha, Rupak Kumar & Bhattacharyya, Surajit
  • 2010 Options to Improve the Governance and Investment of Japan's Government Pension Investment Fund
    by Fiona Stewart & Juan Yermo
  • 2010 The New IAS 19 Exposure Draft
    by Clara Severinson
  • 2010 The Impact of the Financial Crisis on Defined Benefit Plans and the Need for Counter-Cyclical Funding Regulations
    by Juan Yermo & Clara Severinson
  • 2010 Pension Funds' Risk-Management Framework: Regulation and Supervisory Oversight
    by Fiona Stewart
  • 2010 Managing Investment Risk in Defined Benefit Pension Funds
    by Dorothee Franzen
  • 2010 The Role of Pension Funds in Capital Market Development
    by Channarith Meng & Wade Donald Pfau
  • 2010 Reforming Pension Funds in Sri Lanka: International Diversification and the Employees’ Provident Fund
    by Ajantha Sisira Kumara & Wade D. Pfau
  • 2010 The Portfolio Size Effect and Lifecycle Asset Allocation Funds: A Different Perspective
    by Wade D. Pfau
  • 2010 Shareholder Democracy in Canada
    by Randall Morck
  • 2010 Portfolio Allocation for Public Pension Funds
    by George Pennacchi & Mahdi Rastad
  • 2010 Policy Options for State Pension Systems and Their Impact on Plan Liabilities
    by Joshua Rauh & Robert Novy-Marx
  • 2010 Financial Literacy, Schooling, and Wealth Accumulation
    by Jere R. Behrman & Olivia S. Mitchell & Cindy Soo & David Bravo
  • 2010 Should Public Retirement Plans be Fully Funded?
    by Henning Bohn
  • 2010 The Effects of Stock Lending on Security Prices: An Experiment
    by Steven N. Kaplan & Tobias J. Moskowitz & Berk A. Sensoy
  • 2010 How Much Does Size Erode Mutual Fund Performance? A Regression Discontinuity Approach
    by Jonathan Reuter & Eric Zitzewitz
  • 2010 Broker Incentives and Mutual Fund Market Segmentation
    by Diane Del Guercio & Jonathan Reuter & Paula A. Tkac
  • 2010 The Behavior of Intoxicated Investors: The role of institutional investors in propagating the crisis of 2007-2008
    by Alberto Manconi & Massimo Massa & Ayako Yasuda
  • 2010 Locked Up by a Lockup: Valuing Liquidity as a Real Option
    by Andrew Ang & Nicolas P.B. Bollen
  • 2010 The Effect of Uncertain Labor Income and Social Security on Life-cycle Portfolios
    by Raimond Maurer & Olivia S. Mitchell & Ralph Rogalla
  • 2010 Retirement 20/20: Innovation in Pension Design
    by Robert L. Brown
  • 2010 The Appeal of Risky Assets
    by Stolper, Anno
  • 2010 The Global Financial Crisis and the Shift to Shadow Banking
    by Yeva Nersisyan & L. Randall Wray
  • 2010 Do Women Manage Smaller Funds?
    by Hübler, Olaf & Menkhoff, Lukas
  • 2010 Do Women Manage Smaller Funds?
    by Hübler, Olaf & Menkhoff, Lukas
  • 2010 Welfare, inequality and financial consequences of a multi-pillar pension system. A reform in Peru
    by Javier Olivera
  • 2010 Price support in the stock market
    by Benjamin Golez & José M. Marín
  • 2010 Pay for Performance from Future Fund Flows: The Case of Private Equity
    by Chung, Ji-Woong & Sensoy, Berk A. & Stern, Lea H. & Weisbach, Michael S.
  • 2010 Risk-based classification of financial instruments in the Finnish statutory pension scheme TyEL
    by Tanskanen , Antti J & Niininen , Petri & Vatanen, Kari
  • 2010 Does the "Bund" dominate price discovery in Euro bond futures? Examining information shares
    by Fricke, Christoph & Menkhoff, Lukas
  • 2010 Are Momentum Traders Different? Implications for the Momentum Puzzle
    by Menkhoff, Lukas
  • 2010 The Use of Technical Analysis by Fund Managers: International Evidence
    by Menkhoff, Lukas
  • 2010 Economies of Scale and Scope in Australian Superannuation Funds
    by Helen Higgs & Andrew C. Worthington
  • 2010 What is the cost of funded pension scheme (OFE) in Poland?
    by Michał Kempa
  • 2010 Le système de retraite américain : impact de la crise et tendances de long terme
    by Vincent Touzé
  • 2010 Fiscal performance and income inequality: Are unequal societies more deficit-prone? Some cross-count
    by Martin Larch
  • 2010 Reinventing Strategic Philanthropy: the sustainable organization of voluntary action for impact
    by Meijs, L.C.P.M.
  • 2010 The Regulation of Consumer Financial Products: An Introductory Essay with Four Case Studies
    by Campbell, John Y. & Jackson, Howell E. & Madrian, Brigitte C. & Tufano, Peter
  • 2010 The attractiveness of 66 countries for institutional real estate investments: A composite index approach
    by Lieser, Karsten & Groh, Alexander P.
  • 2010 On the origins of a Conflict of Interest in the Mutual Fund Industry
    by Lemeunier, Sébastien M.
  • 2010 Exit routes in LBO projects
    by Ouidad Yousfi
  • 2010 Pension benefit security: a comparison of solvency requirements, a pension guarantee fund and sponsor support
    by Dirk Broeders & An Chen
  • 2010 The impact of scale, complexity, and service quality on the administrative costs of pension funds: A cross-country comparison
    by Jacob Bikker & Onno Steenbeek & Federico Torracchi
  • 2010 Decision Making in the Pension Fund Board Room: An Experiment with Dutch Pension Fund Trustees
    by Dalen, H.P. van & Henkens, K. & Koedijk, C.G. & Slager, A.M.H.
  • 2010 Optimal time of annuitization in the decumulation phase of a defined contribution pension scheme
    by Marina Di Giacinto & Bjarne Højgaard & Elena Vigna
  • 2010 Investor Interest and Hedge Fund Returns
    by Ramadorai, Tarun
  • 2010 On the Dynamics of Hedge Fund Risk Exposures
    by Patton, Andrew J & Ramadorai, Tarun
  • 2010 Keynes Meets Markowitz: The Trade-off Between Familiarity and Diversification
    by Boyle, Phelim & Garlappi, Lorenzo & Uppal, Raman & Wang, Tan
  • 2010 Decentralized Investment Management: Evidence from the Pension Fund Industry
    by Blake, David & Timmermann, Allan G & Tonks, Ian & Wermers, Russ
  • 2010 On the Size of the Active Management Industry
    by Pástor, Luboš & Stambaugh, Robert F.
  • 2010 Gauging the Path of Private Canadian Pensions: 2010 Update on the State of Defined Benefit and Defined Contribution Pension Plans
    by Kamalesh Gosalia & Elena Simonova & Rock Lefebvre
  • 2010 Optimal Liability Sharing and Court Errors: An Exploratory Analysis
    by Marcel Boyer & Donatella Porrini
  • 2010 Marginal Tax Rates and Tax-Favoured Pension Savings of the Self-Employed - Evidence from Sweden
    by Håkan Selin
  • 2010 Saver's Choice: Comparing the Marginal Effective Tax Burdens on RRSPs and TFSAs
    by Alexandre Laurin & Finn Poschmann
  • 2010 Saver's Choice: Comparing the Marginal Effective Tax Burdens on RRSPs and TFSAs
    by Alexandre Laurin & Finn Poschmann
  • 2010 Ex Post Portfolio Performance with Predictable Skewness and Kurtosis
    by Massimo Guidolin & Giovanna Nicodano
  • 2010 On the sub-optimality cost of immediate annuitization in DC pension funds
    by Marina Di Giacinto & Elena Vigna
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    by Giuseppe Cappelletti & Giovanni Guazzarotti & Pietro Tommasino
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  • 2010 Canada’s Looming Retirement Challenge: Will Future Retirees Be Able to Maintain Their Living Standards upon Retirement?
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  • 2010 Seeking Certainty in Uncertain Times: A Review of Recent Government-Sponsored Studies on the Regulation of Canadian Pension Plans
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  • 2010 Cutting Through Pension Complexity: Easy Steps Forward for the 2010 Federal Budget
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  • 2010 Investigating Investment Preferences of Institutional Investors toward ISE Companies
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  • 2010 Counterparty risk and contract volumes in the credit default swap market
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  • 2010 Management fee and italian retail Reits
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  • 2010 Specialized investment funds, alternative investments
    by Massimo Paolo Gentili & Marina Mastrangelo & Sante Jannoni
  • 2010 Italian real estate funds and regulatory structure: effects on Nav discount
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  • 2010 Analysis of the Correlations Between Public Capital Investments and Economic Development in Romania
    by Anca-Stefania Sava & Bogdan-Gabriel Zugravu
  • 2010 Challenges for the Romanian Public Pensions System in the Current Economic and Financial Crisis
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  • 2010 Bayesian Portfolio Analysis
    by Doron Avramov & Guofu Zhou
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  • 2010 An Informal Perspective on the Economics and Regulation of Securities Markets
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    by David Yermack
  • 2010 The Orientation Towards The Private Pension System – A Consequence Of The Public Pension System’S Unsustanability
    by Lect. Ph.D Mangra Madalina Giorgiana & Assoc. Prof. Ph.D Stanciu Marieta & Lect. Ph.D Sperdea Natalita Maria
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  • 2010 The private health insurance market in Romania – past, present and future
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  • 2010 Does The Albanian Pension System Work?
    by Dorina Kripa & Edlira Luci
  • 2010 Software Model For Real Estate Leasing Consulting
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  • 2010 When Safe Proved Risky: Commercial Paper during the Financial Crisis of 2007-2009
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  • 2010 Unemployment and Small Cap Returns: The Nexus
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  • 2009 Los mercados de las rentas vitalicias en Chile. Competencia, regulación, ¿y miopía?
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  • 2009 Rapid Trading bei deutschen Aktienfonds: Evidenz aus einer großen deutschen Fondsgesellschaft
    by Fang, Jieyan & Ruenzi, Stefan
  • 2009 False discoveries in mutual fund performance: Measuring luck in estimated alphas
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  • 2009 The dark and the bright side of liquidity risks: evidence from open-end real estate funds in Germany
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  • 2009 Mutual funds flows and the "Sheriff of Nottingham" effect
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  • 2009 Limited understanding of individual retirement accounts among chileans
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  • 2009 Inflation-hedging portfolios in Different Regimes
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  • 2009 Optimal Central Counterparty Risk Management
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  • 2009 Private Equity, Investment and Financial Constraints – Firm-Level Evidence for France and the United Kingdom
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  • 2009 Optimal Clearing Arrangements for Financial Trades
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  • 2009 Performance metrics for algorithmic traders
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  • 2009 Pensions at a glance: Asia/Pacific
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  • 2009 Institutional and Socio-Cultural Factors Explaining the Development of Mutual Funds. A Cross-Country Analysis
    by Tulbure, Narcis & Catarama, Delia
  • 2009 Establishment of Micro-Finance Bank, Utilizing NADRA’s Computerized Facilities: Suggestions for BISP, Asian Bank, World Bank and Donors Agencies to Disburse Funds
    by Herani, Gobind M.
  • 2009 Emerging Market Pension Funds and International Diversification
    by Pfau, Wade Donald
  • 2009 The Role of International Diversification in Public Pension Systems: The Case of Pakistan
    by Pfau, Wade Donald
  • 2009 Is Latin America retreating from individual retirement accounts?
    by Bertranou, Fabio & Calvo, Esteban & Bertranou, Evelina
  • 2009 InfSOCSol2 An updated MATLAB Package for Approximating the Solution to a Continuous-Time Infinite Horizon Stochastic Optimal Control Problem with Control and State Constraints
    by Azzato, Jeffrey D. & Krawczyk, Jacek B.
  • 2009 Klassifizierung von Hedge-Fonds durch das k-means Clustering von Self-Organizing Maps: eine renditebasierte Analyse zur Selbsteinstufungsgüte und Stiländerungsproblematik
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  • 2009 A tango tale: on the closure of the Argentine fully funded system
    by Ferro, Gustavo & Castagnolo, Fermando
  • 2009 Investment Risk and Pensions: Impact on Individual Retirement Incomes and Government Budgets
    by Edward R. Whitehouse & Anna Christina D'Addio & Andrew Reilly
  • 2009 Pension Reform in Chile Revisited: What Has Been Learned?
    by Augusto Iglesias-Palau
  • 2009 Investment Risk and Pensions: Measuring Uncertainty in Returns
    by Anna Christina D'Addio & José Seisdedos & Edward R. Whitehouse
  • 2009 Filling the Pension Gap: Coverage and Value of Voluntary Retirement Savings
    by Pablo Antolín & Edward R. Whitehouse
  • 2009 Defined-Contribution (DC) Arrangements in Anglo-Saxon Countries
    by John Ashcroft
  • 2009 Evaluating the Design of Private Pension Plans: Costs and Benefits of Risk-Sharing
    by Hans J. Blommestein & Pascal Janssen & Niels Kortleve & Juan Yermo
  • 2009 Licensing Regulation and the Supervisory Structure of Private Pensions: International Experience and Implications for China
    by Yu-Wei Hu & Fiona Stewart
  • 2009 Pension Fund Investment in Infrastructure
    by Georg Inderst
  • 2009 Pension Coverage and Informal Sector Workers: International Experiences
    by Yu-Wei Hu & Fiona Stewart
  • 2009 Pensions in Africa
    by Fiona Stewart & Juan Yermo
  • 2009 Lifecycle Funds and Wealth Accumulation for Retirement: Evidence for a More Conservative Asset Allocation as Retirement Approaches
    by Wade D. Pfau
  • 2009 An Optimizing Framework for the Glide Paths of Lifecycle Asset Allocation Funds
    by Wade D. Pfau
  • 2009 Lifecycle Funds and Wealth Accumulation for Retirement:Evidence for a More Conservative Asset Allocation as Retirement Approaches
    by Wade D. Pfau
  • 2009 Mutual Fund Tax Clienteles
    by Clemens Sialm & Laura Starks
  • 2009 Default, Framing and Spillover Effects: The Case of Lifecycle Funds in 401(k) Plans
    by Olivia S. Mitchell & Gary R. Mottola & Stephen P. Utkus & Takeshi Yamaguchi
  • 2009 Extending Life Cycle Models of Optimal Portfolio Choice: Integrating Flexible Work, Endogenous Retirement, and Investment Decisions with Lifetime Payouts
    by Jingjing Chai & Wolfram Horneff & Raimond Maurer & Olivia S. Mitchell
  • 2009 Is Investor Rationality Time Varying? Evidence from the Mutual Fund Industry
    by Vincent Glode & Burton Hollifield & Marcin Kacperczyk & Shimon Kogan
  • 2009 Risk Shifting and Mutual Fund Performance
    by Jennifer Huang & Clemens Sialm & Hanjiang Zhang
  • 2009 The Investment Strategies of Sovereign Wealth Funds
    by Shai Bernstein & Josh Lerner & Antoinette Schoar
  • 2009 Are Stocks Really Less Volatile in the Long Run?
    by Lubos Pastor & Robert F. Stambaugh
  • 2009 Pension reform, institutional investors’ growth and stock market development in the developing countries: does it function?
    by Aneta Hryckiewicz
  • 2009 Performance Analysis of a Collateralized Fund Obligation (CFO) Equity Tranche
    by Shady Aboul-Enein & Georges Dionne & Nicolas Papageorgiou
  • 2009 Mortality-Indexed Annuities
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  • 2009 Fusión Procompetitiva y Economías de escala en el Mercado de AFPs
    by Claudio Agostini & Eduardo Saavedra & Manuel Willington
  • 2009 Stochastic Mortality, Macroeconomic Risks, and Life Insurer Solvency
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  • 2009 Marginal tax rates and tax-favoured pension savings of the self-employed Evidence from Sweden
    by Selin, Håkan
  • 2009 Marginal tax rates and tax-favoured pension savings of the selfemployed Evidence from Sweden
    by Selin, Håkan
  • 2009 "The End of the Golden Age" - The Developments of the Venture Capital and Private Equity Industry in Central and Eastern Europe
    by Judit Karsai
  • 2009 Dynamic Lifecycle Strategies for Target Date Retirement Funds
    by Michael E. Drew & Anup Basu & Alistair Byrnes
  • 2009 Welfare, inequality and financial consequences of a multi-pillar pension system. A reform in Peru
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  • 2009 Organizational diseconomies in the mutual fund industry
    by Fabian Garavito
  • 2009 The first step of the capital flow from institutions to entrepreneurs: The criteria for sorting venture capital funds
    by Groh, Alexander P. & Liectenstein, Heinrich
  • 2009 Time-varying incentives in the mutual fund industry
    by Olivier, Jacque & Tay, Anthony
  • 2009 Evaluation of Hedge Fund Returns Value at Risk Using GARCH Models
    by Sabrina Khanniche
  • 2009 Copulas and bivariate risk measures : an application to hedge funds
    by Rihab Bedoui & Makram Ben Dbadis
  • 2009 An institutional evaluation of pension funds and life insurance companies
    by Dirk Broeders & An Chen & Birgit Koos
  • 2009 Pension fund sophistication and investment policy
    by Jan de Dreu & Jacob Bikker
  • 2009 Evaluating Greek Equity Funds Using Data Envelopment Analysis
    by Vassilios Babalos & Guglielmo Maria Caporale & Nikolaos Philippas
  • 2009 Selectivity, Market Timing and the Morningstar Star-Rating System
    by Antonios Antypas & Guglielmo Maria Caporale & Nikolaos Kourogenis & Nikitas Pittis
  • 2009 Copulas and bivariate Risk measures : an application to hedge funds
    by Bedoui, Rihab & Ben Dbabis, Makram
  • 2009 Analyse Economique du Droit versus Institutionnalisme. Une comparaison "en situation"
    by Montagne, Sabine
  • 2009 “Domesticação” e/ou “Moralização do Capitalismo” no Governo Lula: Inclusão Social Via Mercado e Via Fundos de Pensão
    by Jardim, Maria A. Chaves
  • 2009 The Regulation of Hedge Funds under the Prism of the Financial Crisis. Policy Implications
    by Michel Aglietta & Sandra Rigot
  • 2009 Two-sided career concern and financial equilibrium
    by Yolanda Portilla
  • 2009 Compatibility between pricing rules and risk measures: The CCVaR
    by Alejandro Balbás & Raquel Balbás
  • 2009 Mean-variance inefficiency of CRRA and CARA utility functions for portfolio selection in defined contribution pension schemes
    by Elena Vigna
  • 2009 Corporate Governance and Value Creation: Evidence from Private Equity
    by Acharya, Viral V. & Hahn, Moritz & Kehoe, Conor
  • 2009 Are Stocks Really Less Volatile in the Long Run?
    by Pástor, Luboš & Stambaugh, Robert F.
  • 2009 Bonus Payments and Fund Managers’ Behaviour: Trans-Atlantic Evidence
    by Gehrig, Thomas & Lütje, Torben & Menkhoff, Lukas
  • 2009 Administración de riesgos en los Fondos Privados de Pensiones
    by Carlos Alberto Castro Iragorri
  • 2009 Modelo de simulación del valor de la pensión de un trabajador en Colombia
    by Alejandro Reveiz & Carlos León & Freddy H. Castro & Gabriel Piraquive
  • 2009 Principal-Agent Problem with Minimum Performance Insurance: The Case of Mandatory Individual Pension Accounts
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  • 2009 51 and Counting - Is It Time to Remodel RRSPs?
    by Elena Simonova & Rock Lefebvre
  • 2009 Tax-Free Savings Accounts - Shifting Opportunity
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  • 2009 Uncertain Longevity and Investment in Education
    by Eytan Sheshinski
  • 2009 Do Economic Policymakers Practice what they Preach? The Case of Pension Decisions
    by Momi Dahan & Tehila Kogut & Moshe Shalem
  • 2009 Selectivity, Market Timing and the Morningstar Star-Rating System
    by Antonios Antypas & Guglielmo Maria Caporale & Nikolaos Kourogenis & Nikitas Pittis
  • 2009 Mean-variance inefficiency of CRRA and CARA utility functions for portfolio selection in defined contribution pension schemes
    by Elena Vigna
  • 2009 Financial System and Innovations-Determinants of Early Stage Venture Capital in Europe
    by Christian Schröder
  • 2009 Financial System and Innovations: Determinants of Early Stage Venture Capital in Europe
    by Christian Schröder
  • 2009 La gestion des fonds de fonds islamiques de capital investissement pour le développement des pays arabes
    by Abou-Zeid, Amr
  • 2009 Mit Aktien Effektiv die Altersvorsoge Sichern
    by Urban Bacher
  • 2009 Comparative Study Regarding The Evolutin Of Private Pension Funds In Romania (Second Pillor)
    by Seulean Victoria & Mos Maria Luiza
  • 2009 Establishment of Micro-Finance Bank, Utilizing NADRA’s Computerized Facilities: Suggestions for BISP, Asian Bank, World Bank and Donors Agencies to Disburse Funds
    by Gobind M. Heran
  • 2009 Az aranykor vége. A kockázatitőke-ágazat fejlődése Közép-Kelet-Európában
    by Karsai, Judit
  • 2009 Evidence of Non-Markovian Behavior in the Process of Bank Rating Migrations
    by José E. Gómez-González & Nicholas M. Kiefer.
  • 2009 Pension Reform through Voluntary Opt-Out: The Czech Case
    by Robert Jahoda & Jiøí Špalek
  • 2009 Bireysel Emeklilik Fonlarinda Risk Yönetimi Ve Riske Maruz Deger Analizi
    by Mert URAL & Türker ADAKALE
  • 2009 Implementing the Open Method of Co-ordination in Pensions
    by Jaroslaw POTERAJ
  • 2009 Efectos del sistema multifondos en el Régimen de Ahorro Individual en Colombia
    by Carlos Andrés Hernández García
  • 2009 Colombia Capital Investment S.A
    by GUILLERMO BUENAVENTURA VERA & ANDRÉS FELIPE CUEVAS & MÓNICA CARVAJAL & ANA MILDRED OSPINA
  • 2009 The Pension Tangle: Achieving Greater Uniformity of Pension Legislation and Regulation in Canada
    by Gretchen Van Riesen
  • 2009 The Pension Tangle: Achieving Greater Uniformity of Pension Legislation and Regulation in Canada
    by Gretchen Van Riesen
  • 2009 A Matter of Voice: The Case for Abolishing the 30 percent Rule for Pension Fund Investments
    by Poonam Puri
  • 2009 A Matter of Voice: The Case for Abolishing the 30 percent Rule for Pension Fund Investments
    by Poonam Puri
  • 2009 The Regulation of Hedge Funds under the Prism of the Financial Crisis. Policy Implications
    by Michel Aglietta & Sandra Rigot
  • 2009 Hedge funds : la fin du laissez-faire
    by Michel Aglietta & Sandra Rigot
  • 2009 Investment Risk Management in Private Pension Systems
    by Ivanka Daneva
  • 2009 Why do banks securitize? Evidence from Italy
    by Mariarosaria Agostino & Maria Mazzuca
  • 2009 Exchange Traded Commodities: characteristics and fiscal regime
    by Enzo Mignarri
  • 2009 Initial public offerings and listing costs: is there a difference between venture and non venture capital Ipos?
    by Antonio Meles
  • 2009 Learning in Financial Markets
    by Lubos Pastor & Pietro Veronesi
  • 2009 Optimal financial structure, bankruptcy risk and the right to a new beginning
    by Cornelia NITU
  • 2009 Beware of Venturing into Private Equity
    by Ludovic Phalippou
  • 2009 Reflections on Northern Rock: The Bank Run That Heralded the Global Financial Crisis
    by Hyun Song Shin
  • 2009 Discounting State and Local Pension Liabilities
    by Jeffrey R. Brown & David W. Wilcox
  • 2009 How Should Public Pension Plans Invest?
    by Deborah J. Lucas & Stephen P. Zeldes
  • 2009 New Evidence on the Returns to Job Skills
    by Katharine G. Abraham & James R. Spletzer
  • 2008 Finances, droit et protection sociale : influences et jurisprudences dans la définition des standards économiques des fonds de pension américains
    by Montagne, Sabine
  • 2008 Sociétés de gestion de portefeuille : un triple problème de gouvernance
    by Moussavou, Jean
  • 2008 The investment policy of Canadian pension funds : evolution and current issues
    by Romaniuk, Katarzyna & El Mekkaoui de Freitas, Najat
  • 2008 Les nouveaux acteurs de la finance
    by Trainar, Philippe & Lorenzi, Jean-Hervé
  • 2008 Open-End Real Estate Funds in Germany – Genesis and Crisis
    by Christina E. Bannier & Falko Fecht & Marcel Tyrell
  • 2008 Supplementary Pension Schemes in Italy: Features,Development and Opportunities for Workers
    by Riccardo Cesari & Giuseppe Grandi & Fabio Panetta
  • 2008 Kürzung der Vorsorgeaufwendungen nach dem Jahressteuergesetz 2008 bei betrieblicher Altersversorgung für den GGF
    by Dommermuth, Thomas
  • 2008 Employment risk, compensation incentives and managerial risk taking: Evidence from the mutual fund industry
    by Kempf, Alexander & Ruenzi, Stefan & Thiele, Tanja
  • 2008 Private equity entities and conglomerates: what are the differences?
    by Achleitner, Ann-Kristin & Müller, Kay
  • 2008 Eine Frage der Perspektive? Die Wahrnehmung von Steuern bei Anlageentscheidungen zur privaten Altersvorsorge
    by Treisch, Corinna & Jordan, Silvia
  • 2008 Modellierung von Aktienanlagen bei laufenden Umschichtungen und einer Besteuerung von Veräußerungsgewinnen
    by Fochmann, Martin & Rumpf, Dominik
  • 2008 Should Benchmark Indices Have Alpha? Revisiting Performance
    by Martijn Cremers & Antti Petajisto & Eric Zitzewitz
  • 2008 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2008 Pension Funds And Capital Market Development:How Much Bang For The Buck?
    by Raddatz, Claudio & Schmukler, Sergio L.
  • 2008 Italian Equity Funds: Efficiency and Performance Persistence
    by Loriana Pelizzon & Roberto Casarin & Andrea Piva
  • 2008 The Macroeconomics of the Pension Fund Reform and the case of the TFR reform in Italy
    by Sergio Cesaratto
  • 2008 Momentum and Contrarian Stock-Market Indices
    by Jon Eggins & Robert J. Hill
  • 2008 Time-Varying Incentives in the Mutual Fund Industry
    by Anthony Tay & Jacques Olivier
  • 2008 A Benchmarking Exercise on Latin American Water Util
    by Romero, Carlos A. & Ferro, Gustavo
  • 2008 Are There Cost Differences in the Argentinean Pension Fund Industry? An Efficiency Frontier Analysis
    by Ferro, Gustavo & Romero, Carlos A.
  • 2008 Optimal Investment Strategies and Performance Sharing Rules for Pension Schemes with Minimum Guarantee
    by Johanna Scheller & Jacques Pézier
  • 2008 Demographic Changes and Pension Finances in Vietnam
    by Giang, Thanh Long & Pfau, Wade Donald
  • 2008 Italian Open End Mutual Fund Costs
    by Anolli, Mario & Del Giudice, Alfonso
  • 2008 El éxito de la autorregulación de las instituciones microfinancieras en Bolivia: una prueba empírica
    by Nogales Carvajal, Cristian Ricardo
  • 2008 Duński system emerytalny
    by Poteraj, Jarosław
  • 2008 Systemy Emerytalne W Europie – Włochy
    by Poteraj, Jarosław
  • 2008 Turning pension plans into pension planes: What investment strategy designers of defined contribution pension plans can learn from commercial aircraft designers
    by Blake, David & Cairns, Andrew & Dowd, Kevin
  • 2008 Pension systems in 27 EU countries
    by Poteraj, Jarosław
  • 2008 Changes in REIT liquidity 1988 - 2007: Evidence from daily data
    by Cannon, Susanne E. & Cole, Rebel A.
  • 2008 Pension systems in the European Union: Variable patterns of influence in Italy, the Netherlands and Belgium
    by Anderson, Karen M. & Keading, Michael
  • 2008 Un impulso al mercado de rentas vitalicias en España
    by Ferro, Gustavo
  • 2008 On annuities: an overview of the issues
    by Ferro, Gustavo
  • 2008 The Latin American experience in pension system reform: Coverage, fiscal issues and possible implications for China
    by Titelman, Daniel & Vera, Cecilia & Perez Caldentey, Esteban
  • 2008 Information Exchange and the Limits of Arbitrage
    by Gray, Wesley
  • 2008 The Financial Crisis and Mandatory Pension Systems in Developing Countries: Short- and Medium-term Responses
    by Dorfman, Mark & Hinz, Richard & Robalino, David
  • 2008 Global Asset Return in Pension Funds: a dynamical risk analysis
    by Sergio, Bianchi & Alessandro, Trudda
  • 2008 Recovering Delisting Returns of Hedge Funds
    by Jackwerth, Jens Carsten & Kolokolova, Olga & Hodder, James E.
  • 2008 The ageing population and the associated challenges of the Slovenian pension system
    by Verbic, Miroslav
  • 2008 Fees in Individual Account Pension Systems: A Cross-Country Comparison
    by Waldo Tapia & Juan Yermo
  • 2008 Accounting for Defined Benefit Plans: An International Comparison of Exchange-Listed Companies
    by Clara Severinson
  • 2008 Description of Private Pension Systems
    by Waldo Tapia
  • 2008 Comparing Aggregate Investment Returns in Privately Managed Pension Funds: An Initial Assessment
    by Waldo Tapia
  • 2008 Pension Fund Performance
    by Pablo Antolín
  • 2008 Coverage of Funded Pension Plans
    by Pablo Antolín
  • 2008 Pension Fund Governance: Challenges and Potential Solutions
    by Fiona Stewart & Juan Yermo
  • 2008 Funding Regulations and Risk Sharing
    by Colin Pugh & Juan Yermo
  • 2008 Evaluating the Impact of Risk Based Funding Requirements on Pension Funds
    by Jordy Peek & Andreas Reuss & Gerhard Scheuenstuhl
  • 2008 Governance and Investment of Public Pension Reserve Funds in Selected OECD Countries
    by Juan Yermo
  • 2008 Sovereign Wealth and Pension Fund Issues
    by A. Blundell-Wignall & Yu-Wei Hu & Juan Yermo
  • 2008 Emerging Market Pension Funds and International Diversification
    by Wade D. Pfau
  • 2008 Impossible Frontiers
    by Thomas J. Brennan & Andrew W. Lo
  • 2008 The True Cost of Social Security
    by Alexander W. Blocker & Laurence J. Kotlikoff & Stephen A. Ross
  • 2008 Costly Financial Intermediation in Neoclassical Growth Theory
    by Rajnish Mehra & Facundo Piguillem & Edward C. Prescott
  • 2008 The Intergenerational Transfer of Public Pension Promises
    by Robert Novy-Marx & Joshua D. Rauh
  • 2008 The Investment Behavior of Buyout Funds: Theory and Evidence
    by Alexander Ljungqvist & Matthew Richardson & Daniel Wolfenzon
  • 2008 A New Method to Estimate Risk and Return of Non-Traded Assets from Cash Flows: The Case of Private Equity Funds
    by Joost Driessen & Tse-Chun Lin & Ludovic Phalippou
  • 2008 Managing Public Investment Funds: Best Practices and New Challenges
    by Olivia S. Mitchell & John Piggott & Cagri Kumru
  • 2008 Hedge Fund Contagion and Liquidity
    by Nicole M. Boyson & Christof W. Stahel & Rene M. Stulz
  • 2008 Asset Allocation and Location over the Life Cycle with Survival-Contingent Payouts
    by Wolfram J. Horneff & Raimond H. Maurer & Olivia S. Mitchell & Michael Z. Stamos
  • 2008 Optimal Life-Cycle Investing with Flexible Labor Supply: A Welfare Analysis of Life-Cycle Funds
    by Francisco J. Gomes & Laurence J. Kotlikoff & Luis M. Viceira
  • 2008 Taxes and Mutual Fund Inflows Around Distribution Dates
    by Woodrow T. Johnson & James M. Poterba
  • 2008 Footnotes Aren't Enough: The Impact of Pension Accounting on Stock Values
    by Julia Coronado & Olivia S. Mitchell & Steven A. Sharpe & S. Blake Nesbitt
  • 2008 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2008 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2008 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2008 The Demand for Enhanced Annuities
    by Schuhmacher, Petra
  • 2008 Diseño de la Subasta Optima para el Seguro de Invalidez y Sobreviviencia en Chile
    by Eduardo Saavedra & Manuel Willington
  • 2008 El exito de la autorregulacion de las instituciones microfinancieras en Bolivia: una prueba empirica
    by Cristian Ricardo Nogales Carvajal
  • 2008 El exito de la autorregulacion de las instituciones microfinancieras en Bolivia: una prueba empirica
    by Cristian Ricardo Nogales Carvajal
  • 2008 Lessons for Asian Countries from Pension Reforms in Chile
    by Asher, Mukul G. & Vasudevan, Deepa
  • 2008 Continuous Monitoring: Look before You Leap
    by Lindset, Snorre & Persson, Svein-Arne
  • 2008 Ownership, Dividends, R&D and Retained Earnings - are institutional owners short-term oriented?
    by Wiberg, Daniel
  • 2008 Bonus Payments and Fund Managers' Behavior: Trans-Atlantic Evidence
    by Gehrig, Thomas P. & Lütje, Torben & Menkhoff, Lukas
  • 2008 Will Women Be Women? Analyzing the Gender Difference among Financial Experts
    by Beckmann, Daniela & Menkhoff, Lukas
  • 2008 Investment behaviors of the key actors in capitalism: when geography matters
    by Claude DUPUY (GREThA) & Stéphanie LAVIGNE (LEREPS & Toulouse Business School)
  • 2008 Investment behaviors of the key actors in capitalism: when geography matters
    by Claude DUPUY (GREThA-GRES) & Stéphanie LAVIGNE (LEREPS-GRES & Toulouse Business School
  • 2008 Best ideas
    by Bernhard Silli & Randolph B Cohen & Christopher Polk
  • 2008 The European venture capital and private equity country attractiveness index(es)
    by Groh, Alexander P. & Liechtenstein, Heinrich & Lieser, Karsten
  • 2008 Limited partners' perceptions of the Central Eastern European venture capital and private equity market
    by Groh, Alexander P. & Liechtenstein, Heinrich & Canela, Miguel A.
  • 2008 International allocation determinants of institutional investments in venture capital and private equity limited partnerships
    by Groh, Alexander P. & Liechtenstein, Heinrich & Canela, Miguel A.
  • 2008 Time-Varying Incentives in the Mutual Fund Industry
    by Anthony Tay
  • 2008 The regulation of hedge funds under the prism of the financial crisis
    by Michel Aglietta & Sandra Rigot
  • 2008 Leveraged Buy Out and Tax saving advantage: a double-sided moral hazard model
    by Ouidad Yousfi
  • 2008 Pension regulation and the market value of pension liabilities - a contingent claims analysis using Parisian options
    by Dirk Broeders & An Chen
  • 2008 Fonds de retraite et performance:la famille compte-t-elle? - Pension Funds performance: does family matter?
    by Fabrice Hervé
  • 2008 Are Pension Savings sufficient? Perceptions and Expectations of American and Dutch Workers
    by Dalen, H.P. van & Henkens, K. & Hershey, D.A.
  • 2008 Le trust, fondement juridique du capitalisme patrimonial
    by Montagne, Sabine
  • 2008 Optimal asset allocation for aggregated defined benefit pension funds with stochastic interest rates
    by Ricardo Josa-Fombedilla & Juan Pablo Rincon-Zapatero
  • 2008 The value of coskewness in evaluating mutual funds
    by David Moreno & Rosa Rodriguez
  • 2008 Capital requirements: Are they the best solution?
    by Alejandro Balbas
  • 2008 The performance of socially responsible mutual funds: the role of fees and management companies
    by Javier Gil-Bazo & Pablo Ruiz-Verdu & Andre A. P. Santos
  • 2008 Funded Pensions and Intergenerational and International Risk Sharing in General Equilibrium
    by Beetsma, Roel & Bovenberg, A Lans & Romp, Ward E
  • 2008 Investment Banks as Insiders and the Market for Corporate Control
    by Bodnaruk, Andriy & Massa, Massimo & Simonov, Andrei
  • 2008 Time-Varying Incentives in the Mutual Fund Industry
    by Olivier, Jacques & Tay, Anthony
  • 2008 The Secondary Market for Hedge Funds and the Closed-Hedge Fund Premium
    by Ramadorai, Tarun
  • 2008 Home Bias at the Fund Level
    by Hau, Harald & Rey, Hélène
  • 2008 Los Fondos De Pensiones En México. Una Evaluación De Su Primer Década
    by ALFREDO SÁNCHEZ DAZA & GLORIA DE LA LUZ JUÁREZ
  • 2008 Asignación Estratégica de Activos para Fondos de Pensiones Obligatorias en Colombia: Un Enfoque Alternativo
    by Carlos León & Juan Mario Laserna
  • 2008 Efficient Portfolio Optimization in the Wealth Creation and Maximum Drawdown Space
    by Alejandro Reveiz & Carlos Eduardo León
  • 2008 Recomendaciones para la modificación del régimen de pensiones obligatorias de Colombia
    by Alejandro Reveiz & Carlos León & Juan Mario Laserna & Ivonne Martínez
  • 2008 Administración de fondos de pensiones y multifondos en Colombia
    by Alejandro Reveiz & Carlos León
  • 2008 Clustering Mutual Funds by Return and Risk Levels
    by F. Lisi & E. Otranto
  • 2008 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2008 The Design of Pension Pay Out Options when the Health Status during Retirement is Uncertain
    by Mathias Kifmann
  • 2008 Choosing the Optimal Annuitization Time Post Retirement
    by Russell Gerrard & Bjarne Højgaard & Elena Vigna
  • 2008 Analysis of the Performance of Mexican Pension Funds: Evidence from a Stationary Bootstrap Application
    by Arnulfo Rodríguez & Gerardo Zúñiga & Pedro N. Rodríguez
  • 2008 Moving from Pay as You Go to Privately Managed Individual Pension Accounts: What have we learned after 25 years of the Chilean Pension Reform?
    by Joaquin Vial & Angel Melguizo
  • 2008 Consumer Credit In Australia During The 20th Century
    by Pierre van der Eng
  • 2008 Asset Management in Volatile Markets
    by Peter R. Haiss & Bernhard Sammer & Martin Gartner & Otto Loistl & Stephan Zellner & Christine Zinner & Robert C. Merton & Krzysztof Rybinski & Urszula Sowa
  • 2008 Investment Performance of Swiss Pension Funds and Investment Foundations
    by Manuel Ammann & Andreas Zingg
  • 2008 Mutual Fund Investors: Sharp Enough?
    by Palmiter, Alan & Taha, Ahmed
  • 2008 Why a switch from payg to funded pension system has no link to demographic development?
    by Jan Kubíček
  • 2008 Pension reform in the Czech republic: a switch to mixed system with regard for limits of fiscal policy
    by David Marek
  • 2008 Assessing Alternative Institutional Designs For Investment Regulation In Defined Contribution Pension Funds
    by EDUARDO WALKER
  • 2008 Accumulation And Deccumulation Of Universal Pension Funds. The Case Of Romania
    by Seulean Victoria & Donath Liliana
  • 2008 ¿Utilizan los gestores españoles de fondos de inversión información privada en sus labores de gestión?
    by FERRUZ AGUDO, LUIS & VARGAS MAGALLÓN, MARÍA & NIEVAS LÓPEZ, J.
  • 2008 Fear of Financial Investors Unjustified
    by Dorothea Schäfer & Alexander Fisher
  • 2008 Angst vor Finanzinvestoren unbegründet
    by Dorothea Schäfer & Alexander Fisher
  • 2008 Fonds de retraite et performance:la famille compte-t-elle ?
    by Fabrice Hervé
  • 2008 Recomendaciones para la modificación del régimen de pensiones obligatorias de Colombia
    by Alejandro Reveiz & Carlos León & Juan Mario Laserna & Ivonne Martínez
  • 2008 A Pension in Every Pot: Better Pensions for More Canadians
    by James Pierlot
  • 2008 A Pension in Every Pot: Better Pensions for More Canadians
    by James Pierlot
  • 2008 The Case for Trills: Giving Canadians and their Pension Funds a Stake in the Wealth of the Nation
    by Mark Kamstra & Rpbert J. Shiller
  • 2008 The Case for Trills: Giving Canadians and their Pension Funds a Stake in the Wealth of the Nation
    by Mark Kamstra & Rpbert J. Shiller
  • 2008 Risky Assumptions: A closer Look at the Bearing of Investment Risk in Defined-Benefit Pension Plans
    by James E. Pesando
  • 2008 Risky Assumptions: A closer Look at the Bearing of Investment Risk in Defined-Benefit Pension Plans
    by James E. Pesando
  • 2008 The Canada Supplementary Pension Plan (CSPP): Towards an Adequate, Affordable Pension for All Canadians (also available in French)
    by Keith Ambachtsheer
  • 2008 The Canada Supplementary Pension Plan (CSPP): Towards an Adequate, Affordable Pension for All Canadians (also available in French)
    by Keith Ambachtsheer
  • 2008 The Risk-Based Managementperformance Evaluation Ofturkish Private Pension Funds: An Analysis For 2004-2006 Period
    by Kadir Murat Altintas
  • 2008 The European investment fund and the evidence of the undertakings for collective investment in transferable securities (UCITS) marker
    by Ioan TRENCA & Cristina CURUTIU
  • 2008 A Review of Tito Boeri, Lans Bovenberg, Beno�t Coeur�, and Andrew Roberts's Dealing with the New Giants and Peter J. Orszag, Mark Iwry, and William G. Gale's Aging Gracefully
    by Olivia S. Mitchell
  • 2008 Home Bias at the Fund Level
    by Harald Hau & Helene Rey
  • 2007 Ne faut-il pas rebâtir l'épargne retraite en entreprise ?
    by Rapp, Thomas
  • 2007 Yatırım ortaklıkları ve bedelsiz sermaye artırımları: İMKB’de ampirik bir analiz
    by Sadık ÇUKUR & Resul ERYİĞİT
  • 2007 Análisis de las capacidades de sincronización con el mercado y selección de valores de los gestores de fondos de inversión españoles en condiciones económicas variables
    by Ferruz Agudo, Luis & Vargas Magallón, María
  • 2007 Pensionsverpflichtungen: Ein unternehmerischer Risikofaktor?
    by Hubrich, Stefan & Tivig, Thusnelda & Stubben, Hans-Dieter
  • 2007 Determinants of occupational pension provision in Germany
    by Dummann, Kathrin
  • 2007 Money in motion: Dynamic portfolio choice in retirement
    by Horneff, Wolfram J. & Maurer, Raimond H. & Mitchell, Olivia S. & Stamos, Michael Z.
  • 2007 The impact of work group diversity on performance: Large sample evidence from the mutual fund industry
    by Bär, Michaela & Niessen, Alexandra & Ruenzi, Stefan
  • 2007 The effect of socially responsible investing on portfolio performance
    by Kempf, Alexander & Osthoff, Peer
  • 2007 Sex matters: Gender differences in a professional setting
    by Niessen, Alexandra & Ruenzi, Stefan
  • 2007 Family matters: Ranking within fund families and fund inflows
    by Kempf, Alexander & Ruenzi, Stefan
  • 2007 Open-end real estate funds in Germany: genesis and crisis
    by Bannier, Christina E. & Fecht, Falko & Tyrell, Marcel
  • 2007 Underfunding of Defined Benefit Pension Plans and Benefit Guarantee Insurance - An Overview of Theory and Empirics
    by Mario Jametti
  • 2007 Does the hedge fund industry deliver alpha?
    by Wagenvoort, Rien
  • 2007 Australia’s Retail Superannuation Fund Industry: Structure, Conduct and Performance
    by Adam Clements & Gemma Dale & Michael E. Drew
  • 2007 The Analisis Of The Bet-Fi Index’S Static Properties
    by Dima, Bogdan & Barna, Flavia & Pirtea, Marilen & Nachescu, Miruna
  • 2007 Systemy emerytalne w Europie - Cypr
    by Poteraj, Jarosław
  • 2007 Systemy emerytalne w Europie – Estonia
    by Poteraj, Jarosław
  • 2007 Análise do Desempenho Recente de Fundos de Investimento no Brasil
    by Fonseca, Nelson & Bressan, Aureliano & Iquiapaza, Robert & Guerra, João
  • 2007 Systemy emerytalne w Europie. Przypadek Grecji
    by Poteraj, Jarosław
  • 2007 System emerytalny w Bułgarii
    by Poteraj, Jarosław
  • 2007 Systemy Emerytalne w Europie - Belgia
    by Poteraj, Jarosław
  • 2007 Supplementary pension insurance in Slovenia: an analysis with an overlapping-generations general equilibrium model
    by Verbic, Miroslav
  • 2007 The public–private pension mix in OECD countries
    by Queisser, Monika & Whitehouse, Edward & Whiteford, Peter
  • 2007 Collective Pension Funds: International Evidence and Implications for China's Enterprise Annuities Reform
    by Yu-Wei Hu & Colin Pugh & Fiona Stewart & Juan Yermo
  • 2007 Pension Fund Regulation and Risk Management: Results from an ALM Optimisation Exercise
    by Sandra Blome & Kai Fachinger & Dorothee Franzen & Gerhard Scheuenstuhl & Juan Yermo
  • 2007 Survey of Investment Choice by Pension Fund Members
    by Edina Rozinka & Waldo Tapia
  • 2007 Benefit Protection: Priority Creditor Rights for Pension Funds
    by Fiona Stewart
  • 2007 Benefit Security Pension Fund Guarantee Schemes
    by Fiona Stewart
  • 2007 Governments and the Market for Longevity-Indexed Bonds
    by Pablo Antolín & Hans J. Blommestein
  • 2007 Longevity Risk and Private Pensions
    by Pablo Antolín
  • 2007 Reforming the Valuation and Funding of Pension Promises: Are Occupational Pension Plans Safer?
    by Juan Yermo
  • 2007 Pension Fund Investment in Hedge Funds
    by Fiona Stewart
  • 2007 Implications of Behavioural Economics for Mandatory Individual Account Pension Systems
    by Waldo Tapia & Juan Yermo
  • 2007 Portfolio Investment in an Intertemporal Setting: Assessment of the Literature and Policy Implications for Latin American Pension Systems
    by Guillermo Larrain Rios
  • 2007 Asset Allocation for the Pakistan Pension System: A Role for International Diversification?
    by Wade D. Pfau
  • 2007 Structural Pension Reform: The Chilean Experience
    by Mehdi Ben Braham
  • 2007 Mental Accounting in Portfolio Choice: Evidence from a Flypaper Effect
    by James J. Choi & David Laibson & Brigitte C. Madrian
  • 2007 When Does a Mutual Fund's Trade Reveal its Skill?
    by Zhi Da & Pengjie Gao & Ravi Jagannathan
  • 2007 Guaranteed Trouble: The Economic Effects of the Pension Benefit Guaranty Corporation
    by Jeffrey R. Brown
  • 2007 The Changing Landscape of Pensions in the United States
    by James Poterba & Steven Venti & David A. Wise
  • 2007 The Impact of Employer Matching on Savings Plan Participation under Automatic Enrollment
    by John Beshears & James J. Choi & David Laibson & Brigitte C. Madrian
  • 2007 Pension Plan Characteristics and Framing Effects in Employee Savings Behavior
    by David Card & Michael Ransom
  • 2007 Risk Shifting versus Risk Management: Investment Policy in Corporate Pension Plans
    by Joshua Rauh
  • 2007 Rise of 401(k) Plans, Lifetime Earnings, and Wealth at Retirement
    by James Poterba & Steven F. Venti & David A. Wise
  • 2007 New Estimates of the Future Path of 401(k) Assets
    by James Poterba & Steven Venti & David A. Wise
  • 2007 Return Persistence and Fund Flows in the Worst Performing Mutual Funds
    by Jonathan B. Berk & Ian Tonks
  • 2007 Optimal Asset Allocation in Asset Liability Management
    by Jules H. van Binsbergen & Michael W. Brandt
  • 2007 Money in Motion: Dynamic Portfolio Choice in Retirement
    by Wolfram J. Horneff & Raimond H. Maurer & Olivia S. Mitchell & Michael Z. Stamos
  • 2007 The Decline of Defined Benefit Retirement Plans and Asset Flows
    by James Poterba & Steven Venti & David A. Wise
  • 2007 Environmental valuation: a brief overview of options
    by Giles ATKINSON & Susana MOURATO
  • 2007 Underfunding of Defined Benefit Pension Plans and Benefit Guarantee Insurance - An Overview of Theory and Empirics
    by Mario Jametti
  • 2007 The Integration of Occupational Pension Regulations: Lessons for Canada
    by Martin Hering & Michael Kpessa
  • 2007 Private Pensions and Income Security in Old Age: An Uncertain Future -- Conference Report
    by Martin Hering & Michael Kpessa
  • 2007 Pension Plan Characteristics and Framing Effects in Employee Savings Behavior
    by David Card & Michael R. Ransom
  • 2007 Pension Plan Characteristics and Framing Effects in Employee Savings Behavior
    by Card, David & Ransom, Michael R.
  • 2007 Media Coverage and Macroeconomic Information Processing
    by Alexandra Niessen
  • 2007 Why are Buyouts Levered? The Financial Structure of Private Equity Funds
    by Axelson, Ulf & Strömberg, Per & Weisbach, Michael S.
  • 2007 Does Culture Influence Asset Managers? Views and Behavior?
    by Beckmann, Daniela & Menkhoff, Lukas & Suto, Megumi
  • 2007 Italian Asset Managers’ Behavior: Evidence on Overconfidence, Risk Taking and Gender
    by Beckmann, Daniela & Lütje, Torben & Rebeggiani, Luca
  • 2007 The Adjustment of Credit Ratings in Advance of Defaults
    by André Güttler & Mark Wahrenburg
  • 2007 The Influence of Pension Funds on Corporate Governance
    by Urs von Arx & Andreas Schäfer
  • 2007 When Do Managers Seek Private Equity Backing in Public-to-Private Transactions?
    by Fidrmuc, J.P. & Roosenboom, P.G.J. & van Dijk, D.J.C.
  • 2007 Allocation determinants of institutional investments in venture capital and private equity limited partnerships in Central Eastern Europe
    by Groh, Alexander P. & Liechtenstein, Heinrich & Canela, Miguel A.
  • 2007 The attractiveness of central eastern European countries for venture capital and private equity investors
    by Groh, Alexander P. & Liechtenstein, Heinrich & Lieser, Karsten
  • 2007 Market Valuation, Pension Fund Policy and Contribution Volatility
    by Maarten van Rooij & Arjen Siegmann & Peter Vlaar
  • 2007 Pension fund finance and sponsoring companies: empirical evidence on theoretical hypotheses
    by E. Philip Davis & Sybille Grob & Leo de Haan
  • 2007 Preference heterogeneity in monetary policy committees
    by Alessandro Riboni & Francisco Ruge-Murcia
  • 2007 Stock market performance and pension fund investment policy: rebalancing, free float, or market timing?
    by Jacob A. Bikker & Dirk W.G.A. Broeders & Jan de Dreu
  • 2007 The Role of Credibility and Fundamentals in a Funded Pension System: A Markov Switching Analysis for Australia and Iceland
    by Mariangela Bonasia & Oreste Napolitano
  • 2007 What Determines the Demand for Occupational Pensions in Germany?
    by Kathrin Dummann
  • 2007 The Political Origin of Pension Funding
    by Enrico Perotti & Armin Schwienbacher
  • 2007 In Trusts We Trust: Pension Funds Between Social Protection and Financial Speculation
    by Montagne, Sabine
  • 2007 Pension Reform, Ownership Structure, and Corporate Governance: Evidence from Sweden
    by Giannetti, Mariassunta & Laeven, Luc
  • 2007 Bonds and Brands: Lessons from the 1820s
    by Flandreau, Marc & Flores Zendejas, Juan Huitzilihuitl
  • 2007 Optimal Portfolio Allocation for Corporate Pension Funds
    by McCarthy, David & Miles, David K
  • 2007 Institutional Trade Persistence and Long-Term Equity Returns
    by Dasgupta, Amil & Prat, Andrea & Verardo, Michela
  • 2007 Measuring lifetime redistribution in Dutch occupational pensions
    by Jan Bonenkamp
  • 2007 Collective annuities and redistribution
    by CREMER, Helmuth & LOZACHMEUR, Jean-Marie & PESTIAU, Pierre
  • 2007 An Alternative Methodology for Estimating Credit Quality Transition Matrices
    by Jose Eduardo Gómez & Paola Morales Acevedo & Fernando Pineda & Nancy Zamudio
  • 2007 Evidence of non-Markovian behavior in the process of bank rating migrations
    by José E. Gómez González & Nicholas M. Kiefer
  • 2007 Evidence of non-Markovian behavior in the process of bank rating migrations
    by José E. Gómez-Gonzalez & Nicholas M. Kiefer
  • 2007 Varieties of Capitalism and the Learning Firm: Corporate Governance and Labour in the Context of Contemporary Developments in European and German Company Law
    by Peer Zumbansen
  • 2007 Supplementary pension schemes in Italy: features, development and opportunities for workers
    by Riccardo Cesari & Giuseppe Grande & Fabio Panetta
  • 2007 Vulnerabilities in Defined-Benefit Pension Plans
    by Jack Selody
  • 2007 The determinants of savings in the third pension pillar
    by P. Stinglhamber & M.-D. Zachary & G. Wuyts & Ch. Valenduc
  • 2007 Capital Accumulation, Welfare, and the Emergence of Pension-Fund Activism
    by Pascal Belan & Philippe Michel & Bertrand Wigniolle
  • 2007 Determinantes de la elección de administradora de pensiones en Colombia: primeras estimaciones a partir de agregados
    by Luis Eduardo Arango Thomas & Luis Fernando Melo Velandia
  • 2007 Joined-Up Pensions Policy in the UK: An Asset-Liability Model for Simultaneously Determining the Asset Allocation and Contribution Rate
    by John Board & Charles Sutcliffe
  • 2007 Índices de performance, gestión activa y eficiencia. Un análisis de sensitividad y del fenómeno de la persistencia
    by Fernando Gómez-Bezares Pascual & José Antonio Madariaga Ibarra & Javier Santibáñez Grúber & Amaia Apraiz Larragán
  • 2007 El sistema bancario europeo: un análisis estructural y algunas cuestiones de interés
    by Francisco J. Valero López & Mª Sara Baliña Vieites
  • 2007 Valoración de los Planes de Pensiones del Sistema Individual en España a Través del Modelo CAPM y del Modelo Ampliado con la Variable Tamaño
    by Yaiza García Padrón & Juan García Boza
  • 2007 ¿Serán necesarios los fondos de cesantías?
    by Vicente Cuartas Mejía
  • 2007 Determinantes de la elección de administradora de pensiones en Colombia:
    by Arango, Luis Eduardo & Melo, Luis Fernando
  • 2007 Pension Fund Managers And The Structure Of The Foreign Exchange Market
    by HERNANDO VARGAS & YANNETH ROCÍO BETANCOURT
  • 2007 Developing the Bond Market in China: the Next Step Forward in Financial Reform
    by Michel Aglietta & Pierre Maarek
  • 2007 El movimiento cooperativo en el Ecuador. Visión histórica, situación actual y perspectivas
    by Giuseppina Da Ros
  • 2007 El mutualismo de previsión social en España
    by Mª Teresa Sánchez Martínez
  • 2007 Ill-Defined Benefits: The Uncertain Present and Brighter Future of Employee Pensions in Canada
    by David Laidler & William B.P. Robson
  • 2007 Ill-Defined Benefits: The Uncertain Present and Brighter Future of Employee Pensions in Canada
    by David Laidler & William B.P. Robson
  • 2007 Do Fundamentals and Credibility Matter in a Funded Pension System ?A Markov Switching Analysis for Australia and Iceland
    by Mariangela Bonasia & Oreste Napolitano
  • 2007 Recent episodes of credit card distress in Asia
    by Tae Soo Kang & Guonan Ma
  • 2007 Is Romania Ready For The Introducing The Pension System Reform? Comparative Results With The European Countries
    by Dracea Raluca & Cristea Mirela
  • 2006 no publicado
    by no publicado, no publicado
  • 2006 IPO pricing and allocation: a survey of the views of institutional investers
    by Tim Jenkinson & Howard Jones
  • 2006 Les fonds de pension, entre protection sociale et spéculation financière
    by Montagne, Sabine
  • 2006 Réforme des retraites, marchés financiers et investissement socialement responsable : les affinités électives
    by Gonand, Frédéric
  • 2006 Portföy büyüklüğünün portföy getirisi üzerindeki etkisi
    by Hakan SARITAŞ
  • 2006 Correlation and the Pension Protection Fund
    by Paul Sweeting
  • 2006 Quantifying the costs of investment limits for Chilean pension funds
    by Solange M. Berstein & Rómulo A. Chumacero
  • 2006 Riesgos de inversión y empleo en el sistema de pensiones chileno
    by Ortiz H., Roberto & Zurita L., Salvador & Genoni, Gustavo
  • 2006 Institutional investors and stock market efficiency: The case of the January anomaly
    by Bohl, Martin T. & Gottschalk, Katrin & Henke, Harald & Pál, Rozália
  • 2006 Investment performance and market share: A study of the German mutual fund industry
    by Krahnen, Jan Pieter & Schmid, Frank A. & Theissen, Erik
  • 2006 How do self-fulfilling prophecies affect financial ratings? An experimental study
    by Celjo-Hörhager, Sanela & Niessen, Alexandra
  • 2006 Investment performance and market share: A study of the German mutual fund industry
    by Krahnen, Jan P. & Schmid, Frank A. & Theissen, Erik
  • 2006 On the usability of synthetic measures of mutual fund net-flows
    by Ber, Silke & Ruenzi, Stefan
  • 2006 Empirical risk analysis of pension insurance: the case of Germany
    by Schmieder, Christian & Reinschmidt, Timo & Mager, Ferdinand & Gerke, Wolfgang
  • 2006 Managing a 401(k) Account: An Experiment on Asset Allocation
    by James Sundali & Federico Guerrero
  • 2006 IPO pricing and allocation: a survey of the views of institutional investors
    by Tim Jenkinson & Howard Jones
  • 2006 A Cost Frontier For Pension Funds in Argentina
    by Ferro, Gustavo & Romero, Carlos A.
  • 2006 Estimación de una función de costos para los fondos privados de pensión en Argentina
    by Ferro, Gustavo
  • 2006 The Impact of Privatisation of Pension System on National Saving: The Case of Australia and Iceland
    by Mariangela Bonasia & Oreste Napolitano
  • 2006 Kerangka Kerja Ekonofisika dalam Basel II
    by Situngkir, Hokky & Surya, Yohanes
  • 2006 Institutional investors and stock market efficiency: The case of the January anomaly
    by Bohl, Martin T. & Gottschalk, Katrin & Pál, Rozália
  • 2006 A Theory of Linkage between Monetary Policy and Banking Failure in Developing Countries
    by Cadet, Raulin Lincifort
  • 2006 Old-Age Pension Reform and Modernization Pathways: Lessons for China from Latin America
    by Calvo, Esteban & Williamson, John B.
  • 2006 Financial Risks and the Pension Protection Fund: Can it Survive Them?
    by Cotter, John & Blake, David & Dowd, Kevin
  • 2006 Appropriateness of Default Investment Options in Defined Contribution Plans: The Australian Evidence
    by Basu, Anup & Drew, Michael
  • 2006 Financial markets trend: ageing and pension system reform
    by Panetta, Ida Claudia
  • 2006 lmplicit Pension Debt in the Middle-East and North Africa Magnitude and Fiscal lmplications
    by Robalino, David & Tatyana, Bogomolova
  • 2006 lmplicit Pension Debt in the Middle-East and North Africa: Magnitude and Fiscal lmplications
    by Robalino, David & Bogomolova, Tatyana
  • 2006 Incentive Contracts and Hedge Fund Management
    by Jackwerth, Jens Carsten & Hodder, James E.
  • 2006 Mutual fund flows’ performance reaction: does convexity apply to small markets?
    by Carlos F. Alves & Victor Mendes
  • 2006 Are mutual fund investors in jail?
    by Carlos F. Alves & Victor Mendes
  • 2006 Funding Rules and Actuarial Methods
    by Colin Pugh
  • 2006 Coarse Thinking and Persuasion
    by Sendhil Mullainathan & Joshua Schwartzstein & Andrei Shleifer
  • 2006 The Performance of Reverse Leveraged Buyouts
    by Jerry Cao & Josh Lerner
  • 2006 Benchmarking Money Manager Performance: Issues and Evidence
    by Josef Lakonishok & Louis Chan & Stephen G. Dimmock
  • 2006 Financial Innovation for an Aging World
    by Olivia S. Mitchell & John Piggott & Michael Sherris & Shaun Yow
  • 2006 The Chilean Pension Reform Turns 25: Lessons From the Social Protection Survey
    by Alberto Arenas de Mesa & David Bravo & Jere R. Behrman & Olivia S. Mitchell & Petra E. Todd
  • 2006 The Importance of Default Options for Retirement Savings Outcomes: Evidence from the United States
    by John Beshears & James J. Choi & David Laibson & Brigitte C. Madrian
  • 2006 Life is Cheap: Using Mortality Bonds to Hedge Aggregate Mortality Risk
    by Leora Friedberg & Anthony Webb
  • 2006 Reducing the Complexity Costs of 401(k) Participation Through Quick Enrollment(TM)
    by James Choi & David Laibson & Brigitte Madrian
  • 2006 Lifecycle Asset Allocation Strategies and the Distribution of 401(k) Retirement Wealth
    by James Poterba & Joshua Rauh & Steven Venti & David Wise
  • 2006 Empirical Evaluation of Investor Rationality in the Asset Allocation Puzzle
    by Oussama Chakroun & Georges Dionne & Amélie Dugas-Sampara
  • 2006 A Competing Risk Analysis of Executions and Cancellations in a Limit Order Market
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  • 2004 Shifting Perspectives in Pensions
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  • 2004 Herd Behavior in the Japanese Loan Market: Evidence from Bank Panel Data
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  • 2004 Pension Reform in Slovakia: Fiscal Debt and Pension Levels
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  • 2004 Fully-Funded Pension System in a Converging Economy
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  • 2003 Alterssicherungssysteme im internationalen Vergleich : Finanzierung, Leistungen, Besteuerung
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  • 2003 German banks – - a declining industry?
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  • 2003 Institutional investors in Germany: Insurance companies and investment funds
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  • 2003 Polish Pension Funds, Does The System Work? Cost, Efficiency and Performance MeasurementIssues
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  • 2003 Retail Superannuation Management in Australia: Risk, Cost and Alpha
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  • 2003 La réforme du système de pensions de retraite en Roumanie et les implications sociales
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  • 2003 Trust – An Essential Element & Pillar of Micro Finance
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  • 2003 Individual Choice in Social Protection: The Case of Swiss Pensions
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  • 2003 Generational Accounting, Solidarity and Pension Losses
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  • 2003 Generational Accounting, Solidarity and Pension Losses
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  • 2003 Medidas De Riesgo En La Gestión De Carteras De Vida Del Mercado Español
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  • 2003 Pensions and public opinion: a survey among dutch households
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  • 2003 Optimal Investment Policies for Defined Benefit Pension Funds
    by A.H. Siegmann
  • 2003 Optimal Investment Policies for Defined Benefit Pension Funds
    by Arjen Siegmann
  • 2003 Pensions and public opinion: a survey among Dutch households
    by P.J.A. van Els & W.A. van den End & M.C.J. van Rooij
  • 2003 A Reality Check on Hedge Funds Returns
    by Posthuma, Nolke & Sluis, Pieter Jelle van der
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    by Coen N. Teulings & Casper G. de Vries
  • 2003 Market Timing: A Decomposition of Mutual Fund Returns
    by Swinkels, L.A.P. & Sluis, P.J. van der & Verbeek, M.J.C.M.
  • 2003 Strategic and Tactical Allocation to Commodities for Retirement Savings Schemes
    by Nijman, T.E. & Swinkels, L.A.P.
  • 2003 Optimal asset allocation for pension funds under mortality risk during the accumulation and decumulation phases
    by Paolo, BATTOCCHIO & Francesco, MENONCIN & Olivier, SCAILLET
  • 2003 Relative Performance Evaluation Contracts and Asset Market Equilibrium
    by Kapur, Sandeep & Timmermann, Allan G
  • 2003 The Macroeconomics of Shareholder Pressure
    by Thesmar, David
  • 2003 Pension Fund Governance and the Choice Between Defined Benefit and Defined Contribution Plans
    by Besley, Timothy J. & Prat, Andrea
  • 2003 A Loss Aversion Performance Measure
    by Farah, N. & Satchell, S.E.
  • 2003 Evaluación de fondos de inversión garantizados por medio de portfolio insurance
    by Silvia Bou
  • 2003 Kann der Sozialstaat gerettet werden?
    by Heinz Lampert
  • 2003 Instituciones de inversión colectiva en españa desde una perspectiva histórica
    by Fernando Carnero Lorenzo
  • 2003 Pension Time Bomb: Boon or Bane for Asset Managers?
    by Shojai, Shahin & Feiger, George & Matthynssens, Pedro
  • 2003 Liquidity Provision, Interest-Rate Risk, and the Choice between Banks and Mutual Funds
    by Jianping Qi
  • 2003 Risk Measurement Of The Bond Mutual Funds Operating In Greece
    by Dr John N. Sorros
  • 2003 Importance of the market portfolio description in the assessment of a sample of Spanish investment funds through the Jensen’s Alpha
    by Belén Vallejo Alonso
  • 2003 La persistance de la performance des fonds de pension individuels britanniques:une étude empirique sur des fonds investis en actions et des fonds obligataires
    by Fabrice Hervé
  • 2003 Les investisseurs institutionnels et l'epargne retraite
    by Aurelie Boubel & Fabrice Pansard
  • 2003 Solving the Premium Risk Problem, Insurer Switches, and Transfers of Aging Provisions
    by Volker Meier
  • 2003 Pension Reforms and Taxation in Estonia
    by Ringa Raudla & Karsten Staehr
  • 2002 Portfolio allocation with hedge funds: Case study of a Swiss institutional investor
    by Favre, Laurent & Galeano, José-Antonio
  • 2002 The Benefits of Creating an Integrated EU Market for Investment Funds
    by Heinemann, Friedrich
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    by Walther, Ursula
  • 2002 Sovereign credit ratings
    by Eliasson, Ann-Charlotte
  • 2002 Money-back guarantees in individual pension accounts: Evidence from the German pension reform
    by Maurer, Raimond H. & Schlag, Christian
  • 2002 Hedgefondsen: back to basics
    by Ralph de Haas
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  • 2002 Credit Ratings as Coordination Mechanisms
    by Arnoud W. A. Boot & Todd T. Milbourn
  • 2002 Microfinance and Poverty Reduction: The problematic experience of Communal Banking in Peru
    by Ana Marr
  • 2002 Studying Group Dynamics : An Alternative Analytical Framework for the Study of Microfinance Impacts on Poverty Reduction
    by Ana Marr
  • 2002 The Cointegration Alpha: Enchanced Index Tracking and Long-Short Equity Market Neutral Stragies
    by Carol Alexandra & Anca Dimitriu
  • 2002 Market Timing and Selectivity: Evidence from Australian Equity Superannuation Funds
    by Michael E. Drew & Madhu Veeraraghavan & Vanessa Wilson
  • 2002 Gouvernement d'entreprise et décisions d'emploi
    by Boyer, Tristan
  • 2002 The Brazilian Pension System: Recent Reforms and Challenges Ahead
    by Marcos Bonturi
  • 2002 Exchange Traded Funds: A New Investment Option for Taxable Investors
    by James M. Poterba & John B. Shoven
  • 2002 Assessing Administration Charges For The Affiliate In Individual Account Systems
    by Carlos Vidal- Meliá & José E. Devesa- Carpio & Rosa Rodríguez- Barrera
  • 2002 The impact of wealth on consumption and retirement behaviour in the UK
    by David Blake
  • 2002 Performance persistence of pension fund managers
    by Ian Tonks
  • 2002 The Role of Wealth in the Economy: the 2002 Annual Meeting Papers of the Royal Netherlands Economic Association
    by R.J.M. Alessie & P.J.A. van Els & L.H. Hoogduin
  • 2002 Explaining Hedge Fund Investment Styles by Loss Aversion
    by Arjen Siegmann & Andr� Lucas
  • 2002 Survival, Look-Ahead Bias and the Persistence in Hedge Fund Performance
    by Baquero, G. & Horst, J.R. ter & Verbeek, M.J.C.M.
  • 2002 Do private pension funds increase household consumption ? An empirical study
    by El Mekkaoui de Freitas, Najat & Mourougane, Annabelle & Ralle, Pierre
  • 2002 Optimal Pension Management under Stochastic Interest Rates, Wages, and Inflation
    by Paolo BATTOCCHIO & Francesco MENONCIN
  • 2002 Optimal Portfolio Strategies with Stochastic Wage Income : The Case of A defined Contribution Pension Plan
    by Paolo BATTOCCHIO
  • 2002 Issues in the Regulation of Annuities Markets
    by E. Philip Davis
  • 2002 Annuity Risk: Volatility and Inflation Exposure in Payments from Immediate Life Annuities
    by Laura Ballotta & Steven Haberman
  • 2002 Optimal Portfolio Strategies with Stochastic Wage Income and Inflation: The Case of a Defined Contribution Pension Plan
    by Paolo Battocchio & Francesco Menoncin
  • 2002 International Evidence on Ethical Mutual Fund Performance and Investment Style
    by Bauer, Bob & Koedijk, Kees & Otten, Roger
  • 2002 Credit Ratings as Coordination Mechanism
    by Boot, Arnoud W A & Milbourn, Todd
  • 2002 Should Smart Investors Buy Funds with High Returns in the Past?
    by Palomino, Frédéric & Uhlig, Harald
  • 2002 Monto del "Impuesto Puro" en la Seguridad Social Colombiana
    by Sergio Clavijo
  • 2002 Pensions and Savings in a Monetary Union: an Analysis of Capital Flows
    by Alain Jousten & Florence Legros
  • 2002 Annuity Prices, Money's Worth and Replacement Ratios: UK experience 1972 - 2002
    by Edmund Cannon & Ian Tonks
  • 2002 A variational inequality approach to financial valuation of retirement benefits based on salary
    by Avner Friedman & Weixi Shen
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    by Anna Frolova & Serguei Pergamenshchikov & Yuri Kabanov
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    by EDUARDO WALKER & FERNANDO LEFORT
  • 2002 A magyar nyugdíjrendszer az 1998-as reform előtt és után
    by Simonovits, András & Gál, Róbert Iván & Augusztinovics, Mária & Matits, Ágnes & Máté, Levente & Stahl, János
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    by Réti, János
  • 2002 Las pequeñas cooperativas rurales: surge un nuevo actor económico
    by Milton Maya Díaz
  • 2002 Las cooperativas en América Latina: visión histórica general y comentario de algunos países tipo
    by Jorge Coque Martínez
  • 2002 La identidad cooperativa como garantía de futuro: Las cooperativas de crédito ante la trivialización de sus principios
    by Francisco V. Soler Tormo
  • 2002 The capital market in Bulgaria
    by Stefan Petranov
  • 2001 Return-based Style Analysis with Time-varying Exposures
    by Laurens Swinkels, Pieter Jelle VanDerSluis
  • 2001 Emerging Markets and Entry by Actively Managed Funds
    by Alexander Guembel
  • 2001 Longevite et activite
    by Pestieau, P.
  • 2001 Investment Behaviour of German Equity Fund Managers
    by Arnswald, Torsten
  • 2001 Testing The Incomplete Arbitrate Hypothesis: Evidence From Australian Wholesale Superannuation Funds
    by Michael E. Drew & Jon D. Stanford & Madhu Veeraraghavan
  • 2001 Credit Derivatives in Managing Off Balance Sheet Risks by Banks
    by Cakir, Murat
  • 2001 El financiamiento informal en el Perú: lecciones desde tres sectores
    by Alvarado, Javier & Portocarrero M., Felipe & Trivelli, Carolina & Gonzales de Olarte, Efraín & Galarza, Francisco & Venero, Hildegardi
  • 2001 Copycat Funds: Information Disclosure Regulation and the Returns to Active Management in the Mutual Fund Industry
    by Mary Margaret Myers & James M. Poterba & Douglas A. Shackelford
  • 2001 Annuity Values in Defined Contribution Retirement Systems: The Case of Singapore and Australia
    by Suzanne Doyle & Olivia S. Mitchell & John Piggott
  • 2001 How Does Dipping into Your Pension Affect Your Retirement Wealth?
    by Gary V. Engelhardt
  • 2001 Optimum and Risk-Class Pricing of Annuities
    by Eytan Sheshinski
  • 2001 CEO Turnovers and Corporate Governance: Evidence from the Copenhagen Stock Exchange
    by Neumann, Robert & Voetmann, Torben
  • 2001 Return-Based Style Analysis with Time-Varying Exposures
    by Swinkels, L.A.P. & Sluis, P.J. van der
  • 2001 De la "Pension Governance" à la "Corporate Governance": la transmission d'un mode de gouvernement
    by Montagne, Sabine
  • 2001 L'influence des marchés financiers sur les politiques sociales des entreprises: le cas français
    by Sauviat, Catherine & Montagne, Sabine
  • 2001 The purchase of individual life-annuities: a description of the french institutional setting
    by J. Ph. & GAUDEMET
  • 2001 Equilibrium and Welfare in Markets with Financially Constrained Arbitrageurs
    by Gromb, Denis & Vayanos, Dimitri
  • 2001 Pension funds and capital accumulation
    by BELAN, P. & MICHEL, Ph. & WIGNIOLLE, B.
  • 2001 Pension Reforms between Economic and Political Problems
    by Forum Franco Allemand
  • 2001 FJP: Entre los aportantes y la inversión real
    by Ricardo Schefer
  • 2001 Financial Rating Agencies: Are They Credible? – Insights Into The Reporting Incentives Of Rating Agencies In Times Of Enhanced Systemic Risk
    by Christoph Kuhner
  • 2001 Gestione del risparmio e della ricchezza finanziaria, previdenza aggiuntiva e azionariato dei lavoratori
    by Alberto Niccoli
  • 2001 A Cross-country Study of Corporate Financial Structure and the Flexibility Issue
    by Dorothée Rivaud-Danset
  • 2001 Annuity markets and retirement security
    by James M. Poterba
  • 2001 Does Active Management Pay in Italy? A Study of Mutual Fund Performance in the Period 1989-1999
    by Giovanni Radicella
  • 2001 The Impact of Fund Attrition on Superannuation Returns
    by Drew, Michael E. & Stanford, Jon D.
  • 2001 Organisation et performance:le lien entre l'organisation des sociétés de gestion de portefeuille et la performance financière des fonds gérés
    by Jean Moussavou & Philippe Gillet
  • 2001 Has Bismarck Been Sunk
    by Florence Legros
  • 2001 Our Future Pensions and Globalisation: an Exploration of the Issue Using the INGENUE Model
    by INGENUE
  • 2001 Future Prospects for Notional Defined Contribution Schemes
    by John B. Williamson
  • 2001 Naive Diversification Strategies in Defined Contribution Saving Plans
    by Richard H. Thaler & Shlomo Benartzi
  • 2000 Costly Information, Diversification, and International Mutual Fund Performance
    by Engström, Stefan
  • 2000 Regulating private pension funds’ structure, performance and investments: cross-country evidence
    by Srinivas, P.S. & Whitehouse, Edward & Yermo, Juan
  • 2000 Administrative charges for funded pensions: An international comparison and assessment
    by Whitehouse, Edward
  • 2000 Paying for pensions: An international comparison of administrative charges in funded retirement-income systems
    by Whitehouse, Edward
  • 2000 Revealed and Concealed Preferences in the Chilean Pension System: An Experimental Investigation
    by Abigail Barr & Truman Packard
  • 2000 Tax Externalities of Equity Mutual Funds
    by John B. Shoven & Joel Dickson & Clemens Sialm
  • 2000 Incitamentet til pensionsopsparing set i lyset af de nye regler for beskatning af pensionsafkast
    by Guldager, Peter
  • 2000 Kommunsektorns pensionsskuld och pensionsförvaltning efter införandet av balanskrav och blandad redovisningsmodell
    by Jennergren, Peter
  • 2000 Analytic Decision Rules for Financial Stochastic Programs
    by Arjen H. Siegmann & André Lucas
  • 2000 Evaluating Style Analysis
    by Roon, F.A. de & Nijman, T.E. & Horst, J.R. ter
  • 2000 Conflits d'agence au sein des fonds de pension privés. L'exemple américain
    by Lavigne, Anne & El Mekkaoui de Freitas, Najat
  • 2000 Retraite complémentaire et marchés financiers aux Etats-Unis
    by Montagne, Sabine
  • 2000 Les fonds de pension dans l'économie américaine
    by Montagne, Sabine
  • 2000 Conflict of Interest in Universal Banking: Bank Lending, Stock Underwriting, and Fund Management
    by Ber, Hedva & Yafeh, Yishay & Yosha, Oved
  • 2000 articles: Firm characteristics and location: The case of the institutional investment advisory industry in the United States, 1983-1996
    by John E. Bodenman
  • 2000 Ownership And Control Structure Of Brazilian Companies
    by SÍLVIA MOURTHÉ VALADARES & RICARDO PEREIRA CÂMARA LEAL
  • 2000 Pension Reform And Corporate Governance: Impact In Chile
    by AUGUSTO IGLESIAS-PALAU
  • 2000 Corporate Governance: Challenges For Latin America
    by FERNANDO LEFORT & EDUARDO WALKER
  • 2000 Újabb eredmények a nyugdíjrendszerek modellezésében
    by Simonovits, András
  • 1999 Trading on Short-Term Information
    by Alexander Guembel
  • 1999 Pension Systems in Open Economy
    by Casarico, A.
  • 1999 Performance and Characteristics of Swedish Mutual Funds
    by Dahlquist, Magnus & Engström, Stefan & Söderlind, Paul
  • 1999 Econometric Models of Limit-Order Executions
    by Lo, A.W. & MacKinlay, A.C. & Zhang, J.
  • 1999 The Scandinavian Model: Trends and Perspectives
    by Eitrheim, P. & Kuhnle, S.
  • 1999 Pension Reform in Spain (1975-1997): the Role of Organized Labour
    by Guillen, A.M.
  • 1999 Asset Prices and Default-Free Term Structure in an Equilibrium Model of Default
    by Chang, G. & Sundaresan, S.M.
  • 1999 Asset Prices and Default-Free Term Structure in an Equilibrium Model of Default
    by Chang, G. & Sundaresan, S.M.
  • 1999 Sixteenths: Direct Evidence on Institutional Execution Costs
    by Jones, C.M. & Lipson, M.L.
  • 1999 Sixteenths: Direct Evidence on Institutional Execution Costs
    by Jones, C.M. & Lipson, M.L.
  • 1999 Execution Costs of Institutional Equity Orders
    by Jones, C.M. & Lipson, M.L.
  • 1999 Execution Costs of Institutional Equity Orders
    by Jones, C.M. & Lipson, M.L.
  • 1999 Cycle demographique, possibilite d'investissement dans un ctif speculatif et concurrence entre fronds de pension
    by Artus, P.
  • 1999 Pourquoi le rendement moyen des actifs risques est-il trop faible? Le role de la concurrence entre les fonds d'investissement
    by Artus, P.
  • 1999 Institutional investment in Central and Eastern Europe: investment criteria of Western portfolio managers
    by Köke, Jens
  • 1999 Expense Shifting: An Empirical Study of Agency Costs in the Mutual Fund Industry
    by Nicolaj Siggelkow
  • 1999 Contingent claims analysis and the valuation of pension liabilities
    by Steenkamp, Tom B.M. van
  • 1999 The tax treatment of funded pensions
    by Whitehouse, Edward
  • 1999 On Mutual Fund Investment Styles
    by Louis K.C. Chan & Hsiu-Lang Chen & Josef Lakonishok
  • 1999 Asset Location in Tax-Deferred and Conventional Savings Accounts
    by John B. Shoven & Clemens Sialm
  • 1999 Individual choice of pension arrangement as a pension reform strategy
    by Richard Disney & Robert Palacios & Edward Whitehouse
  • 1999 Social Security Funds, Payroll Tax Adjustment and Real Exchange Rate: The Finnish Model
    by Jaakko Kiander & Pasi Holm & Pekka Tossavainen
  • 1999 Contingent claims analysis and the valuation of pension liabilities
    by Steenkamp, Tom B.M. van
  • 1999 Performance and Characteristics of Swedish Mutual Funds 1993-97
    by Dahlquist, Magnus & Engström, Stefan & Söderlind, Paul
  • 1999 Can Domestic Liabilities Explain the Home Bias in UK Investment Portfolios?
    by David Chaundy
  • 1999 A theory of bonus in life insurance
    by Ragnar Norberg
  • 1999 Nyugdíjrendszerek és reformok az átmeneti gazdaságokban
    by Augusztinovics, Mária
  • 1999 Contraste de un indicador de eficiencia agregado y la estimación paramétrica. Aplicación al sector de crédito cooperativo español
    by Mª Amparo Marco Gual & Ismael Moya Clemente
  • 1999 Cooperativas de crédito, desarrollo y creación de empleo
    by Inmaculada Carrasco Monteagudo
  • 1999 Verificación de la aplicación del criterio de territorialidad en las cajas rurales españolas
    by Ricardo Javier Palomo Zurdo & José Luis Mateu Gordon
  • 1999 Trying to Explain Home Bias in Equities and Consumption
    by Karen K. Lewis
  • 1998 Institutional Investors, StockMarkets and Firms' Information Disclosure
    by Impavido, G.
  • 1998 Migration and Pension
    by Razin, A. & Sadka, E.
  • 1998 An Analysis of Mutual Fund Design: The Case of Investing in Small-Cap Stocks
    by Keim, D.B.
  • 1998 Can and SHould a Pay-as-You-Go Pension System Mimic a Funded System?
    by Lindbeck, A. & Hassler, J.
  • 1998 Retraite par répartition ou par capitalisation: quelques enjeux économiques
    by Demange, G. & Laroque, G.
  • 1998 Endogenous money and shareholders' funds in the classical theory of banking
    by de Boyer des Roches, Jérôme
  • 1998 Offshore Hedge Funds: Survival and Performance, 1989-1995
    by Stephen J. Brown & William N. Goetzmann & Roger G. Ibbotson
  • 1998 Defined benefit / defined contribution : een risico - rendement perspectief
    by Boender, Guus & Hoogdalem, Sacha van
  • 1998 Supervising mandatory funded pension systems: issues and challenges
    by Demarco, Gustavo & Rofman, Rafael & Whitehouse, Edward
  • 1998 The Role of Choice in the Transition to a Funded Pension System
    by Palacios, Robert & Whitehouse, Edward
  • 1998 Valuing the Futures Market Clearinghouse's Default Exposure During the 1987 Crash
    by David Bates & Roger Craine
  • 1998 Career Concerns of Mutual Fund Managers
    by Judith Chevalier & Glenn Ellison
  • 1998 Bank Lending Policy, Credit Scoring and Value at Risk
    by Jacobson, Tor & Roszbach, Kasper
  • 1998 Defined benefit / defined contribution : een risico - rendement perspectief
    by Boender, Guus & Hoogdalem, Sacha van
  • 1998 Eliminating biases in evaluating mutual fund performance from a survivorship free sample
    by Horst, J.R. ter & Nijman, T.E. & Verbeek, M.J.C.M.
  • 1998 Performance analysis of international mutual funds incorporating market frictions
    by Horst, J.R. ter & Nijman, T.E. & Roon, F.A. de
  • 1998 Style Analysis and Performance Evaluation of Dutch Mutual Funds
    by Horst, J.R. ter & Nijman, T.E. & Roon, F.A. de
  • 1998 Retraites et épargne
    by Morin, François & Davanne, Olivier & Lorenzi, Jean-Hervé
  • 1998 Performance Measures for Dynamic Portfolio Management
    by Nielsen, Lars Tyge & Vassalou, Maria
  • 1998 Style, Fees and Performance of Italian Equity Funds
    by Riccardo Cesari & Fabio Panetta
  • 1998 Tamaño de los Fondos de Pensiones en Chile y su Desempeño Financiero
    by Patricio Arrau & Rómulo Chumacero
  • 1997 Retirement Incomes : Private Savings versus Social Transfers
    by Creedy, J & Van de Ven, J
  • 1997 Evaluating Portfolio Performance with Stochastic Discount Factors
    by Dahlquist, Magnus & Söderlind, Paul
  • 1997 Conflict of Interest in Universal Banking: Evidence from the Post-Issue performance of IPO Firms
    by Ber, Y. & Yafeh, Y. & Yosha, O.
  • 1997 Accounting Recognition of Additional Minimum Liability Affects Pension Asset Allocation: Empirical Evidence
    by Amir, E. & Benartzi, S.
  • 1997 Regimes de pension d'employeur - Qui en beneficie?
    by Lipsett, B. & Reesor, M.
  • 1997 Comportements financiers des fonds de pension dans les pays de l'OCDE
    by El Mekkaoui de Freitas, Najat
  • 1997 Performance and market share: Evidence from the German mutual fund industry
    by Krahnen, Jan Pieter & Schmid, Frank A. & Theissen, Erik
  • 1997 The performance of Dutch investment institutions over the period 1992 through 1996: a detailed research on international equity investment institutions
    by Eijgenhuijsen, Hans & Boerendonk, Kjeld
  • 1997 Optimal guaranteed return portfolios and the casino effect
    by Dert, Cees & Oldenkamp, Bart
  • 1997 Econometric Models of Limit-Order Executions
    by Andrew W. Lo & A. Craig MacKinlay & June Zhang
  • 1997 Projected Retirement Wealth and Savings Adequacy in the Health and Retirement Study
    by James F. Moore & Olivia S. Mitchell
  • 1997 Offshore Hedge Funds: Survival and Performance 1989-1995
    by Stephen J. Brown & William N. Goetzmann & Roger G. Ibbotson
  • 1997 Aufwand und Ertrag in der deutschen gesetzlichen Alterssicherung (GRV)
    by Glismann, Hans H. & Horn, Ernst-Jürgen
  • 1997 The performance of Dutch investment institutions over the period 1992 through 1996: a detailed research on international equity investment institutions
    by Eijgenhuijsen, Hans & Boerendonk, Kjeld
  • 1997 Optimal guaranteed return portfolios and the casino effect
    by Dert, Cees & Oldenkamp, Bart
  • 1997 Estimating short-run persistence in mutual fund performance
    by Horst, J.R. ter & Verbeek, M.J.C.M.
  • 1997 Evaluating Portfolio Performance with Stochastic Discount Factors
    by Dahlquist, Magnus & Söderlind, Paul
  • 1997 Pension Reform, Financial Market Development, and Economic Growth: Preliminary Evidence from Chile
    by Robert Holzmann
  • 1996 Front-Running by Mutual Fund Managers : It Ain't That Bad
    by Jean-Pierre DANTHINE & Serge MORESI
  • 1996 Analyse de la rentabilite de l'investissement immobilier, comment tirer parti d'une evaluation periodique des biens
    by Bender, A.R. & Hoesli, M.
  • 1996 Front-Running by Mutual Fund Managers : It Ain't That bad
    by Danthine, J-P & Moresi, S
  • 1996 Australia’s Retirement Income System: Implications for Saving and Capital Markets
    by Malcolm Edey & John Simon
  • 1996 The Rate of Return on Savings and Loan Assets
    by Cebula, Richard
  • 1996 Are Some Mutual Funds Managers Better Than Others? Cross-Sectional Patterns in Behavior and Performance
    by Judith Chevalier & Glenn Ellison
  • 1996 Australia's Retirement Income System: Implications for Saving and Capital Markets
    by Malcolm Edey & John Simon
  • 1996 Front-running by Mutual Fund Managers: It ain't that Bad
    by Danthine, Jean-Pierre & Moresi, Serge X
  • 1996 Greek Closed-End Fund Premia: Differences and Similarities with US Premia and Their Implications
    by Hardouvelis, Gikas A & Tsiritakis, Emmanuel D
  • 1996 Developments in trusteed pension funds
    by Jacobo De Leon
  • 1995 Old Age Security and the Roles of Children, Education, Savings and Pensions: Some Findings from Rural Cost-Rica
    by Gomez, V.M.A. & Nugent, J.B.
  • 1995 The Economics of Canada Pension Plan Reforms
    by James, S. & matier, C. & Sakhnini, H. & Sheikh, M.
  • 1995 On the impact of leverage constraints on asset prices and trading volume
    by José M. Marín & Jacques P. Olivier
  • 1995 Risk Management in Venture Capital Investor-Investee Relations
    by Gavin C Reid & Nicholas G Terry & Julia A Smith
  • 1994 Fast Growing Small Entrepreneurial Firms and their Venture Capital Backers: an Applied Principal-Agent Analysis
    by Gavin C Reid
  • 1994 Noise Trading, Delegated Portfolio Management, and Economic Welfare
    by James Dow & Gary Gorton
  • 1994 The Consequences of Population Aging on Private Pension Fund Saving and Asset Markets
    by Sylvester J. Schieber & John B. Shoven
  • 1993 Did 401(k) Plans Replace Other Employer Provided Pensions?
    by Leslie E. Papke & Mitchell Petersen & James M. Poterba
  • 1993 Do 401(k) Contributions Crowd Out Other Persoanl Saving?
    by James M. Poterba & Steven F. Venti & David A. Wise
  • 1993 Internationally Diversified Bond Portfolios: The Merits of Active Currency Risk Management
    by Richard M. Levich & Lee R. Thomas
  • 1992 Implications Of Economic Transition And Demographics For Financing Pensions In The Former Socialist Economies
    by Glenn Jenkins
  • 1992 Building Private Pension Systems
    by YVES GUERARD & Glenn Jenkins
  • 1992 The Impact of Federal Deposit Insurance on Savings and Loan Failures
    by Cebula, Richard
  • 1992 The personal pensions stampede
    by Disney, Richard & Whitehouse, Edward
  • 1989 Lifetime Earnings and the Vietnam Era Draft Lottery: Evidence from Social Security Administrative Records
    by Joshua Angrist
  • Individual Investor Activity and Performance
    by Dahlquist, Magnus & Martinez, Jose Vincente & Soderlind, Paul
  • Do Highly Compensated Participants Influence The Management Of Qualified Pension Plans?
    by Sharad Asthana
  • 2012-08 Regimes in Australian Pension Fund Returns: A Hidden Semi-Markov Approach
    by Robert J. Bianchi & Michael E. Drew & Adam N. Walk
  • 2012-07 The Retirement Risk Zone: A Baseline Study
    by Brett Doran & Michael E. Drew & Adam N. Walk
  • 2012-03 Why are financial advisor participation rates so low?
    by Jason West
  • 2012-01 Financial Literacy Education and Behaviour Unhinged: Combating Bias and Poor Product Design
    by Jason West
  • Do Hedge Funds Manipulate Stock Prices?
    by Itzhak Ben-David & Francesco A. Franzoni & Augustin Landier & Rabih Moussawi
  • The Role of Equity Funds in the Financial Crisis Propagation
    by Harald HAU & Sandy LAI
  • Institutional Investors and Mutual Fund Governance: Evidence from Retail – Institutional Fund Twins
    by Richard B. EVANS & Rüdiger FAHLENBRACH
  • The Interest Rate Sensitivity of Real Estate
    by Alain CHANEY & Martin HOESLI
  • Investors’ Misperception: A Hidden Source of High Markups in the Mutual Fund Industry
    by Shengsui HU & Yannick MALEVERGNE & Didier SORNETTE
  • Hedge fund alphas: do they reflect managerial skills or mere compensation for liquidity risk bearing?
    by Rajna GIBSON & Songtao WANG
  • Jumping over a low hurdle: Personal pension fund performance Abstract: This study analyses a sample of 8,255 UK personal pension funds operated by 60 providers over a 30 years’ period (1980 – 2009) in order to assess their short- and long-term performance and argues that it is inappropriate to evaluate pension funds using methods applied to evaluate mutual funds. We find strong evidence that pension funds outperform their Primary Prospectus Benchmarks (PPBs). However, we argue that this is because the PPBs are not challenging, and pension funds invest outside the PPBs, giving the funds the opportunity to better diversify risk. We also find that pension funds outperform T-bills in the long run, but not in the short run. We argue that this is a ‘statistical’ consequence of pension funds short-term tracking of the PPBs, which are more risky than T-bills. We discuss policy implications of our findings. Length: 48 pages
    by Anastasia Petraki & Anna Zalewska
  • With whom and in what is it better to save? Personal pensions in the UK Abstract: This paper studies the relationship between fund and provider characteristics, and fund performance using a sample of 4,197 U.K personal pension funds operated by 35 providers over a 30 years’ period (1980 – 2009). The fund performance is measured on an annual basis (short-term) and over the whole period of fund operation (long-term). We find substantial differences in which factors explain performance in the short- and long-run and whether the performance is measured against T-bills or against fund chosen prospectus benchmarks. Although big providers tend to perform better than their prospectus benchmarks on an annual basis, they underperform T-bills over the period of fund life. The provider’s extent of specialisation positively covaries with benchmark outperformance measured on an annual basis, but does not result in superior performance over funds’ operational life. In the long-run, fund performance is positively associated with market concentration and negatively with fund age. We also find that the timing of opening funds matters for their long-term returns, and, on average, funds lose more money during bear markets than they make during bull markets. Policy implications are discussed. Length: 41 pages
    by Anastasia Petraki & Anna Zalewska
  • Explaining time to bank failure in Colombia during the financial crisis of the late 1990s
    by Jose E. Gomez-Gonzalez & Nicholas M. Kiefer
  • Pension Fund Managers Behavior In The Foreign Exchange Market
    by Hernando Vargas & Rocío Betnacourt
  • Determinantes de la elección de administradora de pensiones: primeras estimaciones a partir de agregados
    by Luis Eduardo Arango & Luis Fernando Melo
  • Monto del "Impuesto Puro" en la Seguridad Social Colombiana
    by Sergio Clavijo
  • Geroa E.P.S.V. o la previsión social en el sector del metal de Guipúzcoa
    by Segalés Fidalgo, Jaime