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The 4% strategy revisited: a pre-commitment mean-variance optimal approach to wealth management - MaRDI portal

The 4% strategy revisited: a pre-commitment mean-variance optimal approach to wealth management (Q4555082)

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scientific article; zbMATH DE number 6981198
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The 4% strategy revisited: a pre-commitment mean-variance optimal approach to wealth management
scientific article; zbMATH DE number 6981198

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    The 4% strategy revisited: a pre-commitment mean-variance optimal approach to wealth management (English)
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    19 November 2018
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    multi-period mean-variance optimal
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    asset allocation strategy
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    sustainable withdrawal rate
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    endowment
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    pension de-accumulation
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