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Modelling Pension Fund Investment Behaviour (Routledge Revivals).

Modelling Pension Fund Investment Behaviour (Routledge Revivals).

・ISBN 978-1-138-02073-3 paper GB£ 50.99

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お気に入り
電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 9781315778204
著者・編者Blake, David,
シリーズ (Routledge Revivals)
出版社 (Routledge, UK)
出版年月2015
ページ数282 pp.
言語ENG
ニュース番号<A01-3220>

解説

First published in 1992, this title conducts an in-depth examination of the investment behaviour of pension funds, presenting the first econometric model in this area. Using the well-established framework of modern portfolio theory, David Blake derives a model of optimal portfolio behaviour that explains pension fund asset holdings in terms of the most important macroeconomic and cyclical indicators. He shows how factors such as industry profitability, the balance of payments and the monetary and fiscal policies of the government influence pension fund investments. Broad in scope, this reissue will be of particular value to students and academics with an interest in econometrics, investment analysis and the pension fund industry.