目錄
Consumers as Financiers: Consumer Surplus, Crowdfunding, and Initial Coin Offerings
消費者作為金融家:消費者盈餘、衆籌和首次代币發行
Contractual Restrictions and Debt Traps
合同限制和債務陷阱
Persistent Blessings of Luck: Theory and an Application to Venture Capital
持續的好運:理論和在風險投資中的應用
Lest We Forget: Learn from Out-of-Sample Forecast Errors When Optimizing Portfolios
不要忘記:在優化投資組合時,從樣本外預測錯誤中學習
Efficiency of Dynamic Portfolio Choices: An Experiment
動态投資組合選擇的效率:一個實驗
Conditional Dynamics and the Multihorizon Risk-Return Trade-Off
條件動力學與多水平風險-回報權衡
Stock Return Extrapolation, Option Prices, and Variance Risk Premium
股票收益外推,期權價格和方差風險溢價
Option Return Predictability
選擇回報可預見性
Disagreement in the Equity Options Market and Stock Returns
股票期權市場和股票回報的分歧
Short-term Momentum
短期動能
Fiscal Cyclicality and Currency Risk Premia
财政周期與貨币風險溢價
Inflating Away the Public Debt? An Empirical Assessment
通貨膨脹消除公共債務?實證評估
原文鍊接:https://academic.oup.com/rfs/issue
翻譯:有道翻譯
整理者:任兆月