1. Rollover Risk and Market Freezes;Acharya;Journal of Finance, forthcoming
2. Risks for the Long run: A Potential Resolution of Asset Pricing Puzzles;Ravi Bansal;Journal of Finance,2004
3. Rational Panics and Stock Market Crashes;Gadi Barlevy;Journal of Economic Theory,2003
4. Using Analysts' Forecasts to Measure Properties of Analysts' Information Environment;Orie Barron;The Accounting Review,1998
5. Asset Return Dynamics under Bad Environment Good Environment Fundamentals