Results 171-180 of 487.
|2010 ||Tax incentives, bequest motives, and the demand for life insurance: Evidence from two natural experiments in Germany||Sauter, Nicolas / Walliser, Jan / Winter, Joachim
|2011 ||Retirement Flexibility and Portfolio Choice in General Equilibrium||Adema, Yvonne / Bonenkamp, Jan / Meijdam, Lex
|2010 ||Conditional volatility and correlations of weekly returns and the VaR analysis of 2008 stock market crash||Pesaran, Bahram / Pesaran, Mohammad Hashem
|2013 ||The correlation puzzle: The interaction of bond and risk correlation||Bethke, Sebastian / Kempf, Alexander / Trapp, Monika
|2003 ||The Wealth and Asset Holdings of U.S.- Born and Foreign-Born Households: Evidence from SIPP Data||Cobb-Clark, Deborah A. / Hildebrand, Vincent A.
|2005 ||Causes, consequences, and cures of myopic loss aversion - An experimental investigation||Fellner, Gerlinde / Sutter, Matthias
|2011 ||The amendment and empirical test of arbitrage pricing models||Wang, Shaojun / Yang, Xiaoping / Cheng, Juan / Zhang, Yafang / Zhao, Peibiao
|2014 ||Labor income risk and the reluctance of fouseholds to invest in risky financial assets: A panel data analysis||Becker, Gideon / Dimpfl, Thomas
|2011 ||The stock selection problem: Is the stock selection approach more important than the optimization method? Evidence from the Danish stock market||Grobys, Klaus
|2006 ||The Performance of Private Equity Funds: Does Diversification Matter?||Lossen, Ulrich