Retirement As A Risky Project: Monitoring, Evaluating, and Managing a Retirement Income Portfolio

Author:   Josh Stampfli ,  Patrick J Collins
Publisher:   Investments & Wealth Institute
ISBN:  

9780578346014


Pages:   266
Publication Date:   11 March 2022
Format:   Paperback
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

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Retirement As A Risky Project: Monitoring, Evaluating, and Managing a Retirement Income Portfolio


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Overview

Investors, investment advisors, and trustees of irrevocable family trusts face the challenge of providing sustainable periodic cash flows from financial asset portfolios. As the title suggests, this study gives primary emphasis to retirement-income planning for private investors. Initially, the retirement-planning process focuses on designing a portfolio (usually in terms of strategic or tactical asset allocation approaches), deciding on spending (withdrawal) elections, memorializing decisions in a written investment policy statement, and implementing the portfolio through the acquisition of investments. Following the first-stage activities, retirement planning becomes a measuring and managing problem. Although this book does not ignore first-stage activities, it focuses primarily on retirement-income portfolio management where the term management encompasses an assessment of investment resources and goals, elucidation of options, and implementation of a process to decide which options are appropriate and prudent. Retirement is a risky project. We use the term project in a real-options sense where the investor has the option to accept the project (start retirement immediately), delay the project (postpone the retirement start date), or, health permitting, reject the project (work for the remainder of life). This book demonstrates that real options are rarely binary. Rather, they exist along a decision path where the advisor invites the investor to consider which asset management options are available currently. Real options, evaluated intelligently, offer the investor both risk and opportunity. This book examines retirement risk and opportunity by considering three metrics: feasibility, sustainability, and flexibility.

Full Product Details

Author:   Josh Stampfli ,  Patrick J Collins
Publisher:   Investments & Wealth Institute
Imprint:   Investments & Wealth Institute
Dimensions:   Width: 21.60cm , Height: 1.40cm , Length: 27.90cm
Weight:   0.621kg
ISBN:  

9780578346014


ISBN 10:   057834601
Pages:   266
Publication Date:   11 March 2022
Audience:   General/trade ,  General
Format:   Paperback
Publisher's Status:   Active
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

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