Discussion paper DP11056 Skewness Seeking in a Dynamic Portfolio Choice Experiment Isabelle Brocas 24 Jan 2016 Financial Economics C91 D03 D81 G11
Discussion paper DP10332 Risk Aversion in a Dynamic Asset Allocation Experiment Isabelle Brocas 11 Jan 2015 Financial Economics C91 D03 D81 G11
Discussion paper DP10188 The Elephant in the Ground: Managing Oil and Sovereign Wealth Frederick van der Ploeg Samuel Wills 5 Oct 2014 International Macroeconomics E21 F65 G11 G15 O13 Q32 Q33
Discussion paper DP8957 Euro Area Money Demand and International Portfolio Allocation: A Contribution to Assessing Risks to Price Stability Carlo A. Favero Barbara Roffia 23 May 2012 International Macroeconomics E4 E44
Discussion paper DP8198 Optimal portfolio allocation for corporate pension funds David Miles David McCarthy 17 Jan 2011 Financial Economics G11 G23 G32
Discussion paper DP8097 Who Invests in Home Equity to Exempt Wealth from Bankruptcy? Harry Huizinga Reint Gropp Luc Laeven Stefano Corradin 8 Nov 2010 Financial Economics G11 K35 R21
Discussion paper DP6705 International Capital Flows Eric van Wincoop Cédric Tille 15 Feb 2008 International Macroeconomics F32 F36 F41
Discussion paper DP6394 Optimal Portfolio Allocation for Corporate Pension Funds David Miles David McCarthy 20 Jul 2007 Financial Economics G10 G11 G23 G32 J11
Discussion paper DP5143 The Impact of Changing Demographics and Pensions on The Demand for Housing and Financial Assets David Miles Ales Cerny 23 Jul 2005 Financial Economics Public Economics C61 G11 H31 H55
Discussion paper DP2779 Risk Return and Portfolio Allocation under Alternative Pension Systems with Imperfect Financial Markets David Miles Ales Cerny 29 May 2001 Financial Economics International Macroeconomics Public Economics D91 G22 H55 J14
Discussion paper DP2088 Least Squares Predictions and Mean-Variance Analysis Enrique Sentana 28 Feb 1999 Financial Economics G11
Discussion paper DP619 Household Portfolios in Hungary, 1970-1990 István P. Székely István Abel 30 Jan 1992 Applied Macroeconomics