Browsen in EconStor gesamt nach Autor:innen Rogalla, Ralph
Zeige Ergebnisse 1 bis 8 von 8
Erscheinungsjahr | Titel | Autor:innen |
2003 | Return and Risk of German Open-End Real Estate Funds | Maurer, Raimond; Reiner, Frank; Rogalla, Ralph |
2007 | The Victory of Hope over Angst? Funding, Asset Allocation, and Risk-Taking in German Public Sector Pension Reform | Maurer, Raimond H.; Mitchell, Olivia S.; Rogalla, Ralph |
2011 | Lifecycle impacts of the financial and economic crisis on household optimal consumption, portfolio choice, and labor supply | Chai, Jingjing; Maurer, Raimond H.; Mitchell, Olivia S.; Rogalla, Ralph |
2015 | Will they take the money and work? An empirical analysis of people's willingness to delay claiming social security benefits for a lump sum | Maurer, Raimond; Mitchell, Olivia S.; Rogalla, Ralph; Schimetschek, Tatjana |
2015 | Accounting-based asset return smoothing in participating life annuities: Implications for annuitants, insurers, and policymakers | Maurer, Raimond; Mitchell, Olivia S.; Rogalla, Ralph; Siegelin, Ivonne |
2015 | The potential effect of offering lump sums as retirement payments | Maurer, Raimond; Mitchell, Olivia S.; Rogalla, Ralph; Schimetschek, Tatjana |
2017 | Optimal social security claiming behavior under lump sum incentives: Theory and evidence | Maurer, Raimond; Mitchell, Olivia S.; Rogalla, Ralph; Schimetschek, Tatjana |
2019 | Optimal social security claiming behavior under lump sum incentives: Theory and evidence | Maurer, Raimond; Mitchell, Olivia S.; Rogalla, Ralph; Schimetschek, Tatjana |