共 50 条
- [1] Risk, return and portfolio allocation under alternative pension systems with incomplete and imperfect financial markets (vol 116, pg 529, 2006) [J]. ECONOMIC JOURNAL, 2010, 120 (546): : F355 - F356
- [3] Return guarantees and portfolio allocation of pension funds [J]. Financial Markets and Portfolio Management, 2003, 17 (3): : 277 - 283
- [4] Return and risk characteristics of tactical asset allocation under imperfect information [J]. JOURNAL OF PORTFOLIO MANAGEMENT, 1998, 25 (01): : 61 - +
- [5] Can asset allocation limits determine portfolio risk-return profiles in DC pension schemes? [J]. INSURANCE MATHEMATICS & ECONOMICS, 2019, 86 : 134 - 144
- [7] Financial Markets with Trade on Risk and Return [J]. REVIEW OF FINANCIAL STUDIES, 2019, 32 (10): : 4041 - 4078
- [8] Pension reform and economic performance under imperfect capital markets [J]. ECONOMIC JOURNAL, 1998, 108 (447): : 344 - 362