Publications

Browse or search publications from Stanford GSB faculty.

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The Returns on Human Wealth: Good News on Wall Street is Bad News on Main Street

Hanno Lustig, Stijn Van Nieuwerburgh
The Review of Financial Studies September2008 Vol. 21 Issue 5 Pages 2097–2137.

How Are Preferences Revealed?

John Beshears, James Choi, David Laibson, Brigitte Madrian
Journal of Public Economics August312008 Vol. 92 Issue 8 Pages 1787-1794.

Fiscal Hedging With Nominal Assets

Hanno Lustig, Christopher Sleet, Sevin Yeltekin
Journal of Monetary Economics May2008 Vol. 55 Issue 4 Pages 710-727.

Planning and Financial Literacy: How Do Women Fare?

Annamaria Lusardi, Olivia S. Mitchell
American Economic Review May2008 Vol. 98 Issue 2 Pages 413–417.

Evaluating Asset Pricing Models with Limited Commitment Using Household Consumption Data

Dirk Krueger, Hanno Lustig, Fabrizio Perri
Journal of the European Economic Association April2008 Vol. 6 Issue 2/3 Pages 715–726.

Choosing Outcomes Versus Choosing Products: Consumer-Focused Retirement Investment Advice

Daniel G. Goldstein , Eric J. Johnson, William F. Sharpe
Journal of Consumer Research 2008 Vol. 35 Pages 440-456.

Relative Wealth Concerns and Financial Bubbles

Peter M. DeMarzo, Ron Kaniel, Ilan Kremer
Review of Financial Studies 2008 Vol. 21 Issue 1 Pages 19-50.

Affiliated Firms and Financial Support: Evidence From Indian Business Groups

Radhakrishnan Gopalan, Vikram Nanda, Amit Seru
Journal of Financial Economics December2007 Vol. 86 Issue 3 Pages 759–795.

Expected Utility Asset Allocation

William F. Sharpe
Financial Analysts Journal September2007 Vol. 63 Issue 5 Pages 18-30.

Defined Contribution Plans, Defined Benefit Plans, and the Accumulation of Retirement Wealth

James Poterba, Joshua D. Rauh, Steven Venti, David Wise
Journal of Public Economics August242007 Vol. 91 Issue 10 Pages 2062–2086.

Fund Manager Use of Public Information: New Evidence on Managerial Skills

Marcin Kacperczyk, Amit Seru
The Journal of Finance April2007 Vol. 62 Issue 2 Pages 485–528.

Investment Under Uncertainty and Time-Inconsistent Preferences

Steven Grenadier, Neng Wang
Journal of Financial Economics April2007 Vol. 84 Issue 1 Pages 2-39.

Limits of Arbitrage: Theory and Evidence from the Mortgage-Backed Securities Market

Xavier Gabaix, Arvind Krishnamurthy, Oliver Vigneron
Journal of Finance April2007 Vol. 62 Issue 2 Pages 557-595.

The Cross Section of Foreign Currency Risk Premia and Consumption Growth Risk

Hanno Lustig, Adrien Verdelhan
American Economic Review March2007 Vol. 97 Issue 1 Pages 89-117.

Common Failings: How Corporate Defaults Are Correlated

Darrell Duffie, Sanjiv R. Das, Nikunj Kapadia, Leandro Saita
Journal of Finance February2007 Vol. LXII Issue 1 Pages 93-117.

Regime Shifts in a Dynamic Term Structure Model of U.S. Treasury Bond Yields

Kenneth J. Singleton, Qiang Dai, Wei Yang
Review of Financial Studies February2007 Vol. 20 Issue 5 Pages 1669.

Baby Boomer Retirement Security: The Role of Planning, Financial Literacy, and Housing Wealth

Annamaria Lusardi, Olivia S. Mitchell
Journal of Monetary Economics January2007 Vol. 54 Issue 1 Pages 205–224.

Agency and Optimal Investment Dynamics

Peter M. DeMarzo
Review of Financial Studies 2007 Vol. 20 Pages 151-188.

Existence of Independent Random Matching

Darrell Duffie, Yeneng Sun
The Annals of Applied Probability 2007 Vol. 17 Issue 1 Pages 386-419.