Social security
- The Life Cycle Model, Replacement Rates, and Retirement Income AdequacyAndrew George BiggsThe Journal of Retirement January 2017, 4 (3) 96-110; DOI: https://doi.org/10.3905/jor.2017.4.3.096
- Improving Pension Income and Reducing Poverty at
Advanced Older Ages: Longevity Insurance Benefits
in Ireland and Poland as Models for the United StatesJohn A. Turner, Gerard Hughes, Agnieszka Chłoń-Domińczak and David M. RajnesThe Journal of Retirement January 2017, 4 (3) 111-120; DOI: https://doi.org/10.3905/jor.2017.4.3.111 - Editor’s LetterGeorge A. (Sandy) MackenzieThe Journal of Retirement January 2017, 4 (3) 1-6; DOI: https://doi.org/10.3905/jor.2017.4.3.001
- Social Security Old-Age Benefits in Four OECD
Countries: Policy Lessons for the United StatesJohn A. Turner and David M. RajnesThe Journal of Retirement October 2016, 4 (2) 90-112; DOI: https://doi.org/10.3905/jor.2016.4.2.090 - Book Review: How America Supports Retirement:
Challenging the Conventional Wisdom on Who BenefitsGeorge A. (Sandy) MackenzieThe Journal of Retirement October 2016, 4 (2) 113-115; DOI: https://doi.org/10.3905/jor.2016.4.2.113 - A Portfolio Approach to Retirement Income SecurityWade Pfau, Joe Tomlinson and Steve VernonThe Journal of Retirement October 2016, 4 (2) 11-22; DOI: https://doi.org/10.3905/jor.2016.4.2.011
- Editor’s LetterGeorge A. (Sandy) MackenzieThe Journal of Retirement October 2016, 4 (2) 1-6; DOI: https://doi.org/10.3905/jor.2016.4.2.001
- Enhancing U.S. Retirement Security through Coordinated Reform of Social Security Disability and Retirement Insurance ProgramsJason J. Fichtner and Jason S SeligmanThe Journal of Retirement June 2016, 4 (1) 131-147; DOI: https://doi.org/10.3905/jor.2016.4.1.131
- Strategies for Managing Retirement RisksDavid Laster, Nevenka Vrdoljak and Anil SuriThe Journal of Retirement June 2016, 4 (1) 11-18; DOI: https://doi.org/10.3905/jor.2016.4.1.011
- Editor’s LetterGeorge A. (Sandy) MackenzieThe Journal of Retirement June 2016, 4 (1) 1-5; DOI: https://doi.org/10.3905/jor.2016.4.1.001
Pages
Explore our content to discover more relevant research
- Behavioral Finance
- Theory (36)
- In Markets (170)
- In Portfolio Management (140)
- In Wealth Management (99)
- Derivatives
- Options (548)
- Credit default swaps (126)
- Counterparty risk (24)
- Other (213)
- Factors, risk premia
- Factor-based models (464)
- Style investing (168)
- Other (52)
- Fixed income and structured finance
- Project finance (87)
- International Investing
- Legal/regulatory/public policy
- Long-term/retirement investing
- Wealth management (615)
- Retirement (484)
- Social security (101)
- Pension funds (175)
- Other (55)
- Mutual funds/passive investing/indexing
- Mutual fund performance (249)
- Passive strategies (143)
- Other (330)
- Performance measurement
- Volatility measures (368)
- Performance measurement (1825)
- Portfolio management/multi-asset allocation
- Portfolio theory (682)
- Portfolio construction (1821)
- ESG investing (330)
- Manager selection (295)
- Other (274)
- Quantitative methods
- Statistical methods (1364)
- Simulations (295)
- Quantitative methods (438)
- Real assets/alternative investments/private equity
- Real estate (221)
- Commodities (194)
- Other real assets (99)
- Currency (173)
- Private equity (741)
- Risk management
- Credit risk management (299)
- Tail risks (164)
- Risk management (856)
- Security analysis and valuation
- Technical analysis (113)