Items where Author is "Pavlova, A"

Up a level
Export as [feed] Atom [feed] RSS
Group by: Item Type | No Grouping
Jump to: Article | Monograph
Number of items: 9.

Article

Bryzgalova, S, Pavlova, A and Sikorskaya, T (2023) Retail Trading in Options and the Rise of the Big Three Wholesalers. Journal of Finance, 78 (6). pp. 3465-3514. ISSN 0022-1082 OPEN ACCESS

Kashyap, A K, Kovrijnykh, N, Li, J and Pavlova, A (2023) Is there too much benchmarking in asset management? American Economic Review, 113 (4). pp. 1112-41. ISSN 0002-8282 OPEN ACCESS

Pavlova, A and Sikorskaya, T (2023) Benchmarking Intensity. Review of Financial Studies, 36 (3). pp. 859-903. ISSN 0893-9454 OPEN ACCESS

Kashyap, A K, Kovrijnykh, N, Li, Jian and Pavlova, A (2021) The benchmark inclusion subsidy. Journal of Financial Economics, 142 (2). pp. 756-774. ISSN 0304-405X OPEN ACCESS

Basak, S and Pavlova, A (2016) A model of financialization of commodities. Journal of Finance, 71 (4). pp. 1511-1556. ISSN 0022-1082 OPEN ACCESS

Basak, S and Pavlova, A (2013) Asset prices and institutional investors. American Economic Review, 103 (5). pp. 1728-1758. ISSN 0002-8282

Pavlova, A and Rigobon, R (2008) The role of portfolio constraints in the international propagation of shocks. Review of Economic Studies, 75 (4). pp. 1215-1256. ISSN 0034-6527

Monograph

Kashyap, A K, Kovrijnykh, N, Li, J and Pavlova, A (2018) The Benchmark Inclusion Subsidy. Working Paper. London Business School CEPR Discussion Paper.

Pavlova, A and Rigobon, R (2008) Role of portfolio constraints in the international propagation of shocks. Working Paper. London Business School Review of Economic Studies.

This list was generated on Thu Nov 21 01:18:36 2024 GMT.