Aleksandar Andonov
Title
Cited by
Cited by
Year
Pension fund asset allocation and liability discount rates
A Andonov, RMMJ Bauer, KJ Cremers
The Review of Financial Studies 30 (8), 2555-2595, 2017
205*2017
Can large pension funds beat the market? Asset allocation, market timing, security selection, and the limits of liquidity
A Andonov, R Bauer, M Cremers
Netspar Discussion Paper, 2012
109*2012
Political representation and governance: Evidence from the investment decisions of public pension funds
A Andonov, YV Hochberg, JD Rauh
The Journal of Finance 73 (5), 2041-2086, 2018
962018
Intermediated investment management in private markets: Evidence from pension fund investments in real estate
A Andonov, P Eichholtz, N Kok
Journal of Financial Markets 22, 73-103, 2015
85*2015
A Global Perspective on Pension Fund Investmentsin Real Estate
A Andonov, N Kok, P Eichholtz
The Journal of Portfolio Management 39 (5), 32-42, 2013
562013
The return expectations of public pension funds
A Andonov, JD Rauh
Stanford University Graduate School of Business Research Paper, 2020
33*2020
TIPS, inflation expectations, and the financial crisis
A Andonov, F Bardong, T Lehnert
Financial Analysts Journal 66 (6), 27-39, 2010
24*2010
Delegated investment management in alternative assets
A Andonov
Netspar Discussion Paper, 2014
202014
Institutional investors and infrastructure investing
A Andonov, R Kräussl, JD Rauh
The Review of Financial Studies 34 (8), 3880–3934, 2021
12*2021
Financial Sophistication and Conflicts of Interest: Evidence from 401 (k) Investment Menus
A Andonov, MQ Mao
Available at SSRN 3485462, 2019
12019
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Articles 1–10