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Academic journals

Asset pricing with heterogeneous preferences, beliefs, and portfolio constraints

Journal of Monetary Economics, Vol 75, pp. 21-34.

October 2015
Georgy Chabakauri

Academic journals

Rewarding Trading Skills without Inducing Gambling

The Journal of Finance, 70 (3): 925–962. 

May 2015
Igor Makarov
Guillaume Plantin

Academic journals

Dynamics of Innovation and Risk

Review of Financial Studies, 28 (5): 1353-1380. 

May 2015
Bruno Biais
Jean-Charles Rochet
Paul Woolley

Academic journals

Signalling to Dispersed Shareholders and Corporate Control

The Review of Economic Studies, 82 (3), 922–962.

January 2015
Mike Burkart
Samuel Lee

Academic journals

Performance Pay, CEO Dismissal, and the Dual Role of Takeovers

Review of Finance, 19 (4), 1383–1414.

September 2014
Mike Burkart
Konrad Raff

Academic journals

Long-Term Debt and Hidden Borrowing

The Review of Corporate Finance Studies, Volume 3, Issue 1-2, Pages 87–122

September 2014
Heski Bar-Isaac
Vicente Cuñat

Academic journals

Risk models-at-risk

Journal of Banking & Finance, Volume 44, Pages 72-92.

July 2014
Christophe M. Boucher
Jón Danielsson
Patrick S. Kouontchou
Bertrand B. Maillet

Academic journals

Attracting investor attention through advertising

Review of Financial Studies, 27 (6). pp. 1797-1829. 

June 2014
Dong Lou

Academic journals

Connected stocks

The Journal of Finance, 69 (3). pp. 1099-1127. 

May 2014
Christopher Polk
Miguel Anton

Academic journals

Bond supply and excess bond returns

Review of Financial Studies, 27 (3). pp. 663-713. 

March 2014
Robin Greenwood
Dimitri Vayanos

Academic journals

Walrasian foundations for equilibria in segmented markets

Mathematics and Financial Economics, Volume 8, pages 249–264.

February 2014
Rohit Rahi
Jean-Pierre Zigrand

Academic journals

Value of information in competitive economies with incomplete markets

International Economic Review, 55(1), 57-81.

February 2014
Piero Gottardi
Rohit Rahi

Academic journals

Dynamic equilibrium with two stocks, heterogeneous investors, and portfolio constraints

Review of Financial Studies, 26 (12). pp. 3104-3141. 

December 2013
Georgy Chabakauri

Academic journals

Trading frenzies and their impact on real investment

Journal of Financial Economics, 109 (2). pp. 566-582. 

August 2013
Itay Goldstein
Emre Ozdenoren
Kathy Yuan

Academic journals

Bond market clienteles, the yield curve, and the optimal maturity structure of government debt

Review of Financial Studies, 26 (8). pp. 1914-1961. 

August 2013
Stéphane Guibaud
Yves Nosbusch
Dimitri Vayanos

Academic journals

Anticipated and repeated shocks in liquid markets

Review of Financial Studies, 26 (8). pp. 1891-1912.

August 2013
Dong Lou
Hongjun Yan
Jinfan Zhang

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