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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 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 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 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 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 Sistema de pensiones y profundidad financiera: Evidencia empírica de cointegración para el caso Boliviano
    by Pamela Córdova Olivera
  • 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 Net flows to emerging markets’ funds and the U.S. monetary policy after the subprime crisis
    by Henri Audigé
  • 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 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 Intergenerational Risk-Sharing through Funded Pensions and Public Debt
    by Damiaan H.J. Chen & Roel Beetsma & Eduard Ponds & Ward E. Romp
  • 2014 The impact of the exchange rate on Luxembourg equity funds
    by Mustafa Kultur & Romuald Morhs
  • 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 The wider economic impacts of high-skilled migrants: a survey of the literature for receiving countries
    by Max Nathan
  • 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 Stability of funding models: an analytical framework
    by Eisenbach, Thomas M. & Keister, Todd & McAndrews, James J. & Yorulmazer, Tanju
  • 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 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 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 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 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 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 Cyber Risk and Insurance Coverage: An Actuarial Multistate Approach
    by Carla Barracchini & M. Elena Addessi
  • 2014 The new Alternative Investment Fund Managers Directive
    by Andrea Meiani & Luigi Rizzi & David Sabatini
  • 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 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 Mandatory portfolio disclosure, stock liquidity, and mutual fund performance
    by Agarwal, Vikas & Mullally, Kevin & Tang, Yuehua & Yang, Baozhong
  • 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 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 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 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 Liability Investment with Downside Risk
    by Andrew Ang & Bingxu Chen & Suresh Sundaresan
  • 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
  • 2013 Do Fund Investors Know that Risk is Sometimes not Priced?
    by Fabian Irek & Thorsten Lehnert
  • 2013 How Much Do Means-Tested Benefits Reduce the Demand for Annuities?
    by Monika Bütler & Kim Peijnenburg & Stefan Staubli
  • 2013 The Wider Economic Impacts of High-Skilled Migrants: A Survey of the Literature
    by Nathan, Max
  • 2013 Framing Effects in an Employee Savings Scheme: A Non-Parametric Analysis
    by Kooreman, Peter & Melenberg, Bertrand & Prast, Henriëtte M. & Vellekoop, Nathanaël
  • 2013 Distribution fees and mutual fund flows: Evidence from a natural experiment in the Indian mutual funds market
    by Santosh Anagol & Vijaya Marisetty & Renuka Sane & Buvaneshwaran Venugopal
  • 2013 Approaches to Shadow Banking Regulation - Monitoring and Policy Framework
    by Jenny Poschmann
  • 2013 Asset Allocation and Monetary Policy: Evidence from the Eurozone
    by Harald Hau & Sandy Lai
  • 2013 The impact of political uncertainty on institutional ownership
    by Francis, Bill B. & Hasan, Iftekhar & Zhu, Yun
  • 2013 What types of bondholders impede corporate innovative activities?
    by Hasan, Iftekhar & O’Brien, Jonathan & Ye , Pengfei
  • 2013 Gambling for Dollars: Strategic Hedge Fund Manager Investment
    by Bernhardt, Dan & Nosal, Ed
  • 2013 Towards a framework for understanding the recent evolution of pension systems in the European Union
    by Jennifer Churchill
  • 2013 The Shadow Banking System and the Financial Crisis:A securities production function view
    by Photis Lysandrou & Anastasia Nesvetailova
  • 2013 The Italian Financial System
    by Costanza Consolandi & Giampaolo Gabbi & Massimo Matthias & Pietro Vozzella
  • 2013 Institutional Investors Flows and the Geography of Contagion
    by Damien PUY
  • 2013 Convergence Of Financial Market Segments: Insurance And Capital Market
    by Dan Constantinescu & Antoniade Ciprian Alexandru
  • 2013 How can non-life insurance linked securities be sustainable? (Mexico Case Study)
    by Mondher bellalah & Shirley Mardonez & Omar Masood
  • 2013 Syariah Compliant Screening Practices
    by Mondher bellalah & Asma Abdul Rehman & Omar Masood
  • 2013 Nonlinear Phenomena in a Growing Economy with Convex Adjustment Costs
    by Pedro de Mendonça
  • 2013 Tick Size Regulation and Sub-Penny Trading
    by Buti, Sabrina & Rindi, Barbara & Wen, Yuanji & Werner, Ingrid M.
  • 2013 Indirect Incentives of Hedge Fund Managers
    by Lim, Jongha & Sensoy, Berk A. & Weisbach, Michael S.
  • 2013 Why Did Financial Institutions Sell RMBS at Fire Sale Prices during the Financial Crisis?
    by Merrill, Craig B. & Nadauld, Taylor & Sherlund, Shane M.
  • 2013 Limited Partner Performance and the Maturing of the Private Equity Industry
    by Sensoy, Berk A. & Wang, Yingdi & Weisbach, Michael S.
  • 2013 The Impact of Hedge Funds on Asset Markets
    by Matthias Kruttli & Andrew J. Patton & Tarun Ramadorai
  • 2013 Pension funds’allocations to hedge funds: an empirical analysis of US and Canadian defined benefit plans
    by Vincent Bouvatier & Sandra Rigot
  • 2013 Is there an optimal pension fund size? A scale-economy analysis of administrative and investment costs
    by Jacob Bikker
  • 2013 What drives pension indexation in turbulent times? An empirical examination of Dutch pension funds
    by Dirk Broeders & Paul Hilbers & David Rijsbergen
  • 2013 Measuring Alpha in the Fund Management Industry: Do Female Managers Perform Better?
    by Vassilios Babalos & Guglielmo Maria Caporale & Nikolaos Philippas
  • 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 Sukuk Defaults: On Distress Resolution in Islamic Finance
    by Sweder van Wijnbergen & Sajjad Zaheer
  • 2013 A crise financeira de 2008: os discursos e as estratégias do governo e dos fundos de pensão
    by Jardim, Maria A. Chaves
  • 2013 The Lure of the Brand: Evidence from the European Mutual Fund Industry
    by Fabian Irek, & Jan Jaap Hazenberg & Willem van der Scheer & Mariela Stefanova
  • 2013 Do Fund Investors Know that Risk is Sometimes not Priced?
    by Fabian Irek & Thorsten Lehnert
  • 2013 Asset Allocation and Monetary Policy: Evidence from the Eurozone
    by Hau, Harald & Lai, Sandy
  • 2013 Why is hedge fund activism procyclical?
    by Burkart, Mike & Dasgupta, Amil
  • 2013 Measuring Alpha in the Fund Management Industry: Do Female Managers Perform Better?
    by Vassilis Babalos & Guglielmo Maria Caporale & Nikolaos Philippas
  • 2013 Determinants of Short-term Lender Location and Interest Rates
    by Taylor J. Canann & Richard W. Evans
  • 2013 Jumping over a low hurdle: Personal pension fund performance
    by Anastasia Petraki & Anna Zalewska
  • 2013 With whom and in what is it better to save? Personal pensions in the UK
    by Anastasia Petraki & Anna Zalewska
  • 2013 Shadow banks and macroeconomic instability
    by Roland Meeks & Benjamin Nelson & Piergiorgio Alessandri
  • 2013 Financing innovation in Italy: an analysis of venture capital and private equity investments
    by Valerio Vacca
  • 2013 Insurance corporations and pension funds in OECD countries
    by Massimo Coletta & Belen Zinni
  • 2013 The Eurosystem’s monetary, banking and financial statistics: some reflections on results and future steps
    by Riccardo De Bonis
  • 2013 To Link or Not To Link? Netting and Exposures Between Central Counterparties
    by Stacey Anderson & Jean-Philippe Dion & Héctor Pérez Saiz
  • 2013 Financing retirement with real estate assets: an analysis of Mexico
    by Carmen Hoyo & David Tuesta
  • 2013 Financiando la jubilacion con activos inmobiliarios: un analisis de caso para Mexico
    by Carmen Hoyo & David Tuesta
  • 2013 Projections of dynamic generational tables and longevity risk in Chile
    by Javier Alonso & David Tuesta & Diego Torres & Begona Villamide
  • 2013 Proyecciones de tablas generacionales dinamicas y riesgo de longevidad en Chile
    by Javier Alonso & David Tuesta & Diego Torres & Begona Villamide
  • 2013 Potentiality of reverse mortgages to supplement pension: the case of Chile
    by Javier Alonso & Maria Lamuedra & David Tuesta
  • 2013 Potencialidad del desarrollo de hipotecas inversas como complemento pensionario. El caso de Chile
    by Javier Alonso & Maria Lamuedra & David Tuesta
  • 2013 Asset Management with TEV and VaR;Constraints: the Constrained Efficient;Frontiers
    by Giulio PALOMBA & Luca RICCETTI
  • 2013 Shadow Banking and New Lending Channels – Past and Future
    by Patricia Jackson
  • 2013 Public debt, child allowances and pension benefits with endogenous fertility
    by Yasuoka, Masaya & Miyake, Atsushi
  • 2013 Qualitative Risk Coverage In Agriculture Through Derivative Financial Instruments Based On Selyaninov Indices
    by KEVORCHIAN, Cristian & GAVRILESCU, Camelia & HURDUZEU, Gheorghe
  • 2013 The Insurance Market Of The Republic Of Moldova In Terms Of Investment Potential
    by TIMUS, Angela & UNGUR, Cristina
  • 2013 Management fees: Determinants and influence of legal limits. Evidence from Spanish pension funds
    by Mercedes Alda & Luis Ferruz
  • 2013 Unexploited Gains From International Diversification: Patterns Of Portfolio Holdings Around The World
    by Tatiana Didier & Roberto Rigobon & Sergio L. Schmukler
  • 2013 Pension Benefit Insurance and Pension Plan Portfolio Choice
    by Thomas Crossley & Mario Jametti
  • 2013 Does portfolio emulation outperform its target funds?
    by Zhe Chen & F Douglas Foster & David R Gallagher & Adrian D Lee
  • 2013 Modele de constructie a portofoliilor de instrumente financiare
    by Madalina Gabriela ANGHEL
  • 2013 Aspecte teoretice privind portofoliile de instrumente financiare – concept si tipologie
    by Madalina Gabriela ANGHEL & Adina Mihaela DINU
  • 2013 Some Accounting Issues and Statistics about Romania and EU Funds - Absorption through Projects and Eligible Expenses
    by Gheorghe SAVOIU & Mariana BANUTA & Mihaela GADOIU
  • 2013 Financialisation: Structure, Extent, Consequences
    by Iancu, Aurel
  • 2013 Market risk of real estate: Using indirect data to understand direct risks
    by Schlumpf, Felix & Tessera, Genene & Martínez, Catalina
  • 2013 Optimal investment paths during the life cycle of a multi-funds system
    by Arboleda, Alejandra & Soto, Carlos & Gutierrez, Juan
  • 2013 Efecto sobre la rentabilidad que tiene para el afiliado la comisión cobrada por las administradoras de fondos de pensiones
    by Medina, Alex & Gallegos, Cecilia & Vivallo, Celso & Cea, Yasna & Alarcón, Alexi
  • 2013 Returns and Persistence of Investment Fund Performance in the Czech Republic
    by Dariusz Filip
  • 2013 Imperfect Capitalized Pillar of Czech Pension System
    by Petr Musílek
  • 2013 IMF Loans to Hungary, 1996–2008
    by György Csáki
  • 2013 Asignación óptima de capital en base al perfil de riesgo de las instituciones de inversión colectiva: una aplicación de las medidas de riesgo distorsionadas || Optimal Capital Allocation Based on the Risk Profile of Collective Investment Schemes: An Application of Distortion Risk Measures
    by Belles-Sampera, Jaume & Santolino, Miguel
  • 2013 Current account deficit and financial instability in the emerging countries in the European Union
    by Ionescu Cristian
  • 2013 Investor’s Perceptions and Financial Instability in the Emerging Countries
    by Ionescu Cristian
  • 2013 Evolutions and Trends in the European Microfinance Market
    by Roman Angela & ?argu Alina Camelia
  • 2013 The Contracts for Difference – Elements of Financial Innovation on the Romanian Capital Market
    by Ghi?ã-Mitrescu Silvia & Duhnea Cristina
  • 2013 The Relation between Economic Growth and Capital Flows in the Context of Financial Liberalization
    by Duhnea Cristina & Ghita Mitrescu Silvia & Moraru Andreea-Daniela
  • 2013 Paradoxes Of Modern Stock Exchange Markets
    by CIOBANU Gheorghe & SECHEL Ioana Cristina & &
  • 2013 Technical And Fundamental Anomalies. Paradoxes Of Modern Stock Exchange Markets
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    by Babalos, Vassilios & Caporale, Guglielmo Maria & Philippas, Nikolaos
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    by Brown, Stephen & Goetzmann, William & Liang, Bing & Schwarz, Christopher
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    by Aglietta, Michel & Brière, Marie & Rigot, Sandra & Signori, Ombretta
  • 2012 Investor sophistication and risk taking
    by de Dreu, Jan & Bikker, Jacob A.
  • 2012 A decision-theoretic foundation for reward-to-risk performance measures
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  • 2012 The flow-performance relationship around the world
    by Ferreira, Miguel A. & Keswani, Aneel & Miguel, Antonio F. & Ramos, Sofia B.
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    by McQueen, Grant & Stenkrona, Anders
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    by Navone, Marco
  • 2012 Closing and cloning in open-end mutual funds
    by Chen, Hsiu-Lang & Gao, Sheldon & Hu, Xiaoqing
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    by Iannotta, Giuliano & Navone, Marco
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    by Cullen, Grant & Gasbarro, Dominic & Monroe, Gary S. & Zumwalt, J. Kenton
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    by Shi, Zhen & Werker, Bas J.M.
  • 2012 Reprint of Investors’ distraction and strategic repricing decisions
    by Navone, Marco
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    by Degl’Innocenti, Marta & Girardone, Claudia
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    by Watson, John & Wickramanayake, J.
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    by Su, Shu & Sherris, Michael
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    by O’Hare, Colin & Li, Youwei
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    by Gabay, Daniel & Grasselli, Martino
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    by Cumming, Douglas & Dai, Na & Haß, Lars Helge & Schweizer, Denis
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  • 2012 Riester-Renten müssen verbraucherfreundlicher sein
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    by Volker Meinhardt & Rudolf Zwiener
  • 2012 Riester-Rente und Niedrigeinkommen: was sagen die Daten?
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  • 2012 Le marché des fonds de pension au Portugal
    by Maria Teresa Medeiros Garcia
  • 2012 Market Correlation, Market Returns And Portfolio Implication
    by ALEXANDRU Ciprian Antoniade & CONSTANTINESCU Dan
  • 2012 La titrisation en France
    by BIROUK, O. & CASSAN, L.
  • 2012 Financing the Innovations in Bulgaria (Concept View on the Problems)
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  • 2012 Labor Force Mobility as a Factor for Developing Knowledge-Based Economy: Transition from Education to Employment
    by Iskra Beleva
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    by Carmen-Pilar Mart¨ª-Ballester
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    by Alberto Burchi & Maria Debora Braga
  • 2012 Asset-backed securitisation and financial stability: the downgrading delay effect
    by Mario La Torre & Fabiomassimo Mango
  • 2012 Consumer protection and investment services: towards a new regulatory approach
    by Vittorio Conti
  • 2012 Real estate investment funds’ taxation in Italy
    by Enzo Mignarri
  • 2012 Wealth management industry in search of new demand-driven models
    by Caterina Lucarelli & Simona Maggi
  • 2012 Asset management and Ucits IV Directive: the drive for internationalization
    by Andrea Dossi & Paola Musile Tanzi
  • 2012 Wealth and individual behaviors among financial need, bias and misbelief
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  • 2012 Kiid and investors’ information
    by Riccardo Ferretti & Enrico Rubaltelli
  • 2012 Closed-End Funds: A Survey
    by Martin Cherkes
  • 2012 Taxes and Investment Choice
    by Robert M. Dammon & Chester S. Spatt
  • 2012 Consumption-Based Asset Pricing Models
    by Rajnish Mehra
  • 2012 Efficient Markets and the Law: A Predictable Past and an Uncertain Future
    by Henry T.C. Hu
  • 2012 Forecasting Mutual Fund Net Asset Values Using Artificial Neural Networks
    by Veli Akel & Fikriye Karacameydan
  • 2012 Evolution Of Net Assets Of Private Pension Funds In Romania Under The Influence Of Certain Factors
    by Simona Mirela Cristea
  • 2012 The Use of Internal Rating Models in Managing the Risks Related to the Exposures of Non-banking Financial Institutions
    by Nicolae Dardac & Petronel Chiriac & Bogdan Moinescu
  • 2012-13 Securitisation in France
    by O. BIROUK. & L. CASSAN.
  • 2011 A Survey of Venture Capital Research
    by Da Rin, M. & Hellmann, T. & Puri, M.L.
  • 2011 Managing commodity price volatility
    by Brière, Marie
  • 2011 How can defined contribution pension plans benefit from momentum and mean reversion ?
    by Chetouane, Mabrouk
  • 2011 The Role of Corruption, Culture, and Law in Investment Fund Manager Fees
    by Najar, Dorra & Johan, Sofia
  • 2011 The Pension Risk Management Framework
    by Gardner, Robert & Konotey-Ahulu, Dawid & Soto-Wright, Ivan
  • 2011 Liability Index Fund: The Liability Beta Portfolio
    by Ryan, Ronald & Fabozzi , Frank
  • 2011 Indexation as Primary Target for Pension Funds: Implication for Portfolio Management
    by Gallo, Angela
  • 2011 Asset Allocation: Mass Production or Mass Customization?
    by Jacobsen, Brian
  • 2011 Wohn-Riester: Konstruktion, Effizienz und Reformbedarf
    by Dommermuth, Thomas
  • 2011 Lifecycle impacts of the financial and economic crisis on household optimal consumption, portfolio choice, and labor supply
    by Chai, Jingjing & Maurer, Raimond H. & Mitchell, Olivia S. & Rogalla, Ralph
  • 2011 Are there disadvantaged clienteles in mutual funds?
    by Jank, Stephan
  • 2011 The valuation of hedge funds' equity positions
    by Cici, Gjergji & Kempf, Alexander & Pütz, Alexander
  • 2011 I "vincitori in etica": valutazione multicriteriale di fondi socialmente responsabili
    by Stefania Funari
  • 2011 Pensions in a shrinking economy: a comment on Kuné
    by Sergio Cesaratto
  • 2011 How Much Do Means-Tested Benefits Reduce the Demand for Annuities?
    by Bütler, Monika & Peijnenburg, Kim & Staubli, Stefan
  • 2011 An Analysis of Risk-Taking Behavior for Public Defined Benefit Pension Plans
    by Nancy Mohan & Ting Zhang
  • 2011 Legal protection of investors, corporate governance, and investable premia in emerging markets
    by Stephen Kinsella & Thomas O'Connor & Vincent O'Sullivan
  • 2011 Performance and international investments in microfinance institutions
    by Roy Mersland & Ludovic Urgeghe
  • 2011 Pension Reforms in Poland and Elsewhere: the View from Paris
    by Peter Jarrett
  • 2011 Economies of Scale and Pension Fund Plans: Evidence from South Africa
    by Albert Touna Mama & Neryvia Pillay & Johannes W. Fedderke
  • 2011 The Hazard of Merger by Absorption – Why Some Knappschaften Merged and Others Did not: 1861–1920
    by Tobias Alexander Jopp
  • 2011 Fee Structure, Financing, and Investment Decisions: The Case of REITs
    by Pierpaolo Pattitoni & Barbara Petracci & Massimo Spisni
  • 2011 A Market for Environmentally Responsible Investment? Identifying Obstacles and Enablers of Commodification of Environmental Risks in the South African Investment Industry
    by Giamporcaro, Stephanie
  • 2011 The lease financing in Bangladesh: a satisfied progress in business and industrialization
    by Mohajan, Haradhan
  • 2011 Restructuring the Banking System to Improve Safety and Soundness
    by Morris, Charles & Hoenig, Thomas
  • 2011 Korea investment corporation: its origin and evolution
    by Kim, Woochan
  • 2011 Mutual funds performance appraisal using stochastic multicriteria acceptability analysis
    by Babalos, Vassilios & Philippas, Nikolaos & Doumpos, Michael & Zompounidis, Constantin
  • 2011 Longevity hedging 101: A framework for longevity basis risk analysis and hedge effectiveness
    by Coughlan, Guy & Khalaf-Allah, Marwa & Ye, Yijing & Kumar, Sumit & Cairns, Andrew & Blake, David & Dowd, Kevin
  • 2011 The cost of counterparty risk and collateralization in longevity swaps
    by Biffis, Enrico & Blake, David & Pitotti, Lorenzo & Sun, Ariel
  • 2011 Longevity risks and capital markets: The 2010-2011 update
    by Blake, David & Courbage, Christophe & MacMinn, Richard & Sherris, Michael
  • 2011 Target-driven investing: Optimal investment strategies in defined contribution pension plans under loss aversion
    by Blake, David & Wright, Douglas & Zhang, Yumeng
  • 2011 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
  • 2011 Longevity hedge effectiveness: a decomposition
    by Cairns, Andrew & Dowd, Kevin & Blake, David & Coughlan, Guy
  • 2011 “Better Safe than Sorry” - Individual Risk-free Pension Schemes in the European Union - Macroeconomic Benefits, the Mobile Working Citizen’s Perspective and Why Nots
    by Peeters, Marga
  • 2011 How accurate are commercial-real-estate appraisals? evidence from 25 years of NCREIF sales data
    by Cannon, Susanne & Col, Rebel A.
  • 2011 Would emerging market pension funds benefit from international diversification: investigating wealth accumulations for pension participants
    by Kumara, Ajantha Sisira & Pfau, Wade Donald
  • 2011 Lifecycle and fixed portfolio allocation strategies: a performance comparison for emerging market countries
    by Kumara, Ajantha Sisira & Pfau, Wade Donald
  • 2011 Optimal decisions on pension plans in the presence of financial literacy costs and income inequalities
    by Corsini, Lorenzo & Spataro, Luca
  • 2011 Demand Spillovers and Market Outcomes in the Mutual Fund Industry
    by Gavazza, Alessandro
  • 2011 Economic Rationality, Risk Presentation, and Retirement Portfolio Choice
    by Bateman, Hazel & Ebling, Christine & Geweke, John & Jordan, Louviere & Stephen, Satchell & Susan, Thorp
  • 2011 Longevity risk and capital markets: The 2009-2010 update
    by Blake, David & Brockett, Patrick & Cox, Samuel & MacMinn, Richard
  • 2011 L’asset allocation dei fondi hedge durante la crisi finanziaria: un’analisi empirica
    by Piluso, Fabio & Amerise, Ilaria Lucrezia
  • 2011 Risk Procyclicality and Dynamic Hedge Fund Strategies
    by Francois-Éric Racicot & Raymond Théoret
  • 2011 Severance Pay or Pension Funds?
    by Devis Geron
  • 2011 Issues in Private-Sector Finance in Israel
    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 La ville négociée : entre financiarisation et durabilité
    by Thierry Theurillat
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    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 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 & 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 & 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 & Miguel Angel Caballero & Li Hui & Maria Claudia Llanes & David Tuesta & Yuwei Hu & Yun Cao
  • 2011 Potential outcomes of private pension developments in China
    by Javier Alonso & Miguel Angel Caballero & Li Hui & Maria Claudia Llanes & 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
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  • 2009 Marginal tax rates and tax-favoured pension savings of the selfemployed Evidence from Sweden
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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 51 and Counting - Is It Time to Remodel RRSPs?
    by Elena Simonova & Rock Lefebvre
  • 2009 Tax-Free Savings Accounts - Shifting Opportunity
    by Mihaela Scarlat & Rock Lefebvre
  • 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 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 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 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 Managing Contribution and Capital Market Risk in a Funded Public Defined Benefit Plan: Impact of CVaR Cost Constraints
    by Raimond Maurer & Olivia S. Mitchell & Ralph Rogalla
  • 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 Technical Efficiency and Heterogeneity of Argentina Pension Funds
    by Carlos Pestana Barros & Gustavo Ferro & Carlos Romero
  • 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 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 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 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
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  • 2003 Liquidity Provision, Interest-Rate Risk, and the Choice between Banks and Mutual Funds
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  • 2003 Risk Measurement Of The Bond Mutual Funds Operating In Greece
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  • 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
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  • 2003 Pension Reforms and Taxation in Estonia
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  • 2002 The Benefits of Creating an Integrated EU Market for Investment Funds
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  • 2002 Strategische Asset-Allokation aus Sicht des privaten Kapitalanlegers
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  • 2002 Money-back guarantees in individual pension accounts: Evidence from the German pension reform
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  • 2002 Hedgefondsen: back to basics
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  • 2002 Microfinance and Poverty Reduction: The problematic experience of Communal Banking in Peru
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  • 2002 The Cointegration Alpha: Enchanced Index Tracking and Long-Short Equity Market Neutral Stragies
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  • 2002 Gouvernement d'entreprise et décisions d'emploi
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  • 2002 The Brazilian Pension System: Recent Reforms and Challenges Ahead
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  • 2002 Exchange Traded Funds: A New Investment Option for Taxable Investors
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  • 2002 Assessing Administration Charges For The Affiliate In Individual Account Systems
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  • 2002 The Role of Wealth in the Economy: the 2002 Annual Meeting Papers of the Royal Netherlands Economic Association
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  • 2002 Issues in the Regulation of Annuities Markets
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  • 2002 Annuity Risk: Volatility and Inflation Exposure in Payments from Immediate Life Annuities
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  • 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
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  • 2002 Credit Ratings as Coordination Mechanism
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  • 2002 Should Smart Investors Buy Funds with High Returns in the Past?
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  • 2002 Pensions and Savings in a Monetary Union: an Analysis of Capital Flows
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  • 2002 Annuity Prices, Money's Worth and Replacement Ratios: UK experience 1972 - 2002
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  • 2002 A variational inequality approach to financial valuation of retirement benefits based on salary
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  • 2002 In the insurance business risky investments are dangerous
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  • 2002 Pension Reform And Capital Markets: Are There Any (Hard) Links?
    by EDUARDO WALKER & FERNANDO LEFORT
  • 2002 Las pequeñas cooperativas rurales: surge un nuevo actor económico
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  • 2002 Las cooperativas en América Latina: visión histórica general y comentario de algunos países tipo
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  • 2002 La identidad cooperativa como garantía de futuro: Las cooperativas de crédito ante la trivialización de sus principios
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  • 2002 The capital market in Bulgaria
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  • 2001 Return-based Style Analysis with Time-varying Exposures
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  • 2001 Emerging Markets and Entry by Actively Managed Funds
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  • 2001 Longevite et activite
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  • 2001 Investment Behaviour of German Equity Fund Managers
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  • 2001 Testing The Incomplete Arbitrate Hypothesis: Evidence From Australian Wholesale Superannuation Funds
    by Michael E. Drew & Jon D. Stanford & Madhu Veeraraghavan
  • 2001 El financiamiento informal en el Perú: lecciones desde tres sectores
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  • 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
  • 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 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 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
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  • 1998 Offshore Hedge Funds: Survival and Performance, 1989-1995
    by Stephen J. Brown & William N. Goetzmann & Roger G. Ibbotson
  • 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 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 Did 401(k) Plans Replace Other Employer Provided Pensions?
    by Leslie E. Papke & Mitchell Petersen & James M. Poterba
  • 1996 Do 401(k) Contributions Crowd Out Other Persoanl Saving?
    by James M. Poterba & Steven F. Venti & David A. Wise
  • 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
  • 1994 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
  • 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
  • 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