Modelling Pension Fund Investment Behaviour (Routledge Revivals)

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First published in 1992, this title conducts an in-depth examination of the investment behaviour of pension funds, presenting the first econometric model in this area. Using the well-established framework of modern portfolio theory, David Blake derives a model of optimal portfolio behaviour that explains pension fund asset holdings in terms of the most important macroeconomic and cyclical indicato...

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First published in 1992, this title conducts an in-depth examination of the investment behaviour of pension funds, presenting the first econometric model in this area. Using the well-established framework of modern portfolio theory, David Blake derives a model of optimal portfolio behaviour that explains pension fund asset holdings in terms of the most important macroeconomic and cyclical indicato...

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  • Formats: pdf
  • ISBN: 9781317695776
  • Publication Date: 1 Aug 2014
  • Publisher: Taylor & Francis
  • Product language: English
  • Drm Setting: DRM