FINANCIAL MATHEMATICS ACTIVITIES

November 24, 2024

The Individual Finance and Insurance Decisions (IFID) Centre at The Fields Institute

Second Annual Conference on Personal Risk Management
November 21, 2002

Sponsored by The Investor e.ducation Fund

Conference Materials

Joao Cocco, London Business School
Household Risk Management and Optimal Mortgage Choice (with John Campbell)

Terrance Odean, University of California, Berkeley
Recent Developments in Behavioral Finance

Svein-Arne Persson, Norwegian School of Economics
Debt Allocation: To Fix or Float?

James Poterba, Economics, M.I.T
After-tax Benchmarks for Individual Investors
Audio and Slides of Presentation

Chester Spatt, Carnegie Mellon University
Optimal Asset Location and Allocation with Taxable and Tax-Deferred Investing (with Robert M. Dammon and Harold H. Zhang)
Table 1
Table 2

Michael Stutzer, University of Colorado
The Ratings Game: What is the Risk in Risk-Adjusted Fund Returns?

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