Items where Author is "Koijen, R"
Up a levelCorsetti, G, Feld, L, Koijen, R, Reichlin, L, Reis, R, Rey, H and di Mauro, B W (2016) Reinforcing the Eurozone and Protecting an Open Society: Monitoring the Eurozone 2. Centre for Economic Policy Research, London. ISBN 9781907142994
Koijen, R and Yogo, M (2016) Shadow insurance. Econometrica, 84 (3). pp. 1265-1287. ISSN 1468-0262
Koijen, R, Philipson, T J and Uhlig, H (2016) Financial health economics. Econometrica, 84 (1). pp. 195-242. ISSN 1468-0262
Koijen, R, van Nieuwerburgh, S and Yogo, M (2015) Health and mortality delta: Assessing the welfare costs of household insurance choice. Journal of Finance, 71 (2). pp. 957-1010. ISSN 0022-1082
Koijen, R and Yogo, M (2015) The cost of financial frictions for life insurers. American Economic Review, 105 (1). pp. 445-475. ISSN 0002-8282
Koijen, R (2014) The cross-section of managerial ability, incentives, and risk preferences. Journal of Finance, 69 (3). pp. 1051-1098. ISSN 0022-1082
Koijen, R, van Binsbergen, J H and Brandt, M W (2012) On the timing and pricing of dividends. American Economic Review, 102 (4). pp. 1596-1618. ISSN 0002-8282
van Binsbergen, J H, Brandt, M W and Koijen, R (2011) Decentralized asset and liability management. In: The Oxford Handbook of Quantitative Asset Management. Oxford Handbooks . Oxford University Press, Oxford. ISBN 9780199553433
Koijen, R and van Binsbergen, J H (2010) Predictive regressions: a present-value approach. Journal of Finance, 65 (4). pp. 1439-1471. ISSN 0022-1082
Koijen, R, van Hemert, O and van Nieuwerburgh, S (2009) Mortgage timing. Journal of Financial Economics, 93 (2). pp. 292-324. ISSN 0304-405X
Koijen, R, van Binsbergen, J H and Brandt, M W (2008) Optimal decentralized investment management. Journal of Finance, 63 (4). pp. 1849-1895. ISSN 0022-1082