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Retirement

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  • Practical Applications of Glide Path Indexes
    Ronald Surz
    Practical Applications January 2021, 8 (2) 1-5; DOI: https://doi.org/10.3905/pa.8.2.424
  • Practical Applications of Investment Implications of the Rising and Falling Pattern of Marginal Tax Rates for Retirees
    William Reichenstein and William Meyer
    Practical Applications October 2020, 8 (2) 1-6; DOI: https://doi.org/10.3905/pa.8.2.415
  • Practical Applications of The Value of Allocating to Annuities
    David Blanchett
    Practical Applications October 2020, 8 (2) 1-5; DOI: https://doi.org/10.3905/pa.8.2.414
  • Using a Life Cycle Model to Design a Target Date Glidepath
    Ilia Lanski, Raj Paramaguru, Wesley Phoa, Yung Wang and P. Brett Hammond
    The Journal of Portfolio Management February 2022, 48 (4) 228-240; DOI: https://doi.org/10.3905/jpm.2022.1.337
  • Fixing a Dysfunctional Market: The Case of HECM Reverse Mortgages
    Jack Guttentag
    The Journal of Structured Finance October 2017, 23 (3) 83-90; DOI: https://doi.org/10.3905/jsf.2017.23.3.083
  • The Effect of Probabilistic and Stochastic Valuations
    versus a Deterministic Valuation of Securitized Senior
    Life Settlements on the Level of Liquidity Facility
    Charles A. Stone and Anne Zissu
    The Journal of Structured Finance April 2012, 18 (1) 137-143; DOI: https://doi.org/10.3905/jsf.2012.18.1.137
  • The Impact of Life Expectancies on the Life Settlement Industry
    Kiri Parankirinathan, Barry Reed and Tom Bakos
    The Journal of Structured Finance April 2012, 18 (1) 131-136; DOI: https://doi.org/10.3905/jsf.2012.18.1.131
  • A Case Study in Sequence Risk: A 20-Year Retrospective on the Impact of the 2000–2002 and 2007–2009 Bear Markets on Retirement Nest Egg Sustainability
    Jack C. DeJong and John H. Robinson
    The Journal of Wealth Management January 2022, 24 (4) 37-68; DOI: https://doi.org/10.3905/jwm.2021.1.160
  • The Financial and Tax Considerations of Social Security and Early Retirement
    Stephen Kuselias, Stephen J. Perreault and Michael Shafer
    The Journal of Wealth Management October 2021, 24 (3) 90-98; DOI: https://doi.org/10.3905/jwm.2021.1.154
  • Does a Change in the TED Spread Impact Bank Stock Returns?
    Srinivas Nippani, Augustine C. Arize and D. K. Malhotra
    The Journal of Wealth Management October 2021, 24 (3) 99-112; DOI: https://doi.org/10.3905/jwm.2021.1.151

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