Raimond Maurer
Faculty of Economics and Business Administration
Frankfurt University
Germany
Biography
Prof. Raimond Maurer, Academic / Professional Positions Since 2000: Professor, Goethe University Frankfurt, Germany. Education: 1999: Habilitation, Mannheim University. 1995: Dr. rer. pol., Mannheim University . 1991: Dipl. Kfm., Mannheim University. 1986: Bankkaufmann, Sparkasse Heppenheim / IHK Darmstadt.
Research Interest
Investment & Portfolio Management . Pension Finance . Real Estate Finance . Regulation of investment funds.
Publications
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Horneff, V., Maurer, R., Mitchell, O. S., & Rogalla, R. (2015). Optimal life cycle portfolio choice with variable annuities offering liquidity and investment downside protection. Insurance: Mathematics and Economics, 63, 91-107.
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Maurer, R. (2015). Integrated risk management for defined benefit pensions: models and metrics. Journal of Pension Economics & Finance, 14(2), 151-160.
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Albrecht, P., & Maurer, R. (2005). Investment und Risikomanagement: Modelle, Methoden, Anwendungen, 2. überarb. & erw. Aufl., Stuttgart: Schäffer-Poeschel.
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Hubener, A., Maurer, R., & Mitchell, O. S. (2015). How family status and social security claiming options shape optimal life cycle portfolios. The Review of Financial Studies, 29(4), 937-978.
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Huffman, D., Maurer, R., & Mitchell, O. S. (2017). Time Discounting and Economic Decision-making in the Older Population. The Journal of the Economics of Ageing.