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Bridge over ocean
9 May 2012 Multimedia

Allocating Risk Capital in a Low Interest Rate Environment

  1. Financial Analysts Journal J. Ailman

Christopher J. Ailman discusses evaluating possible return strategies for the “Japan decade” as well as adapting risk measurement and management in a global market.

Christopher J. Ailman discusses evaluating possible return strategies for the “Japan decade” as well as adapting risk measurement and management in a global market. He also explains how to understand the costs and challenges of retirement fund management, particularly for defined benefit plans.