Keyphrases
Aggregate Consumption
34%
Asset Allocation
46%
Asset Prices
76%
Asset Returns
46%
Assets in Place
57%
Assortative Matching
46%
Book-to-market
46%
Cash Flow
34%
CEO Compensation
23%
Cointegration
92%
Conditional Asset Pricing Model
23%
Consumption Risk
46%
Correction Vector
34%
Cross-section of Equity Returns
46%
Cross-sectional Returns
34%
Dynamic Model
46%
Dynamic Moral Hazard
46%
Dynamic Time Series
23%
Enforcement Proceedings
23%
Error Correction
46%
Expected Returns
34%
Firm Dynamics
46%
Firm Exposure
23%
Firm Size
38%
Growth Options
69%
Growth Risk
30%
Idiosyncratic Volatility
46%
Insecurity
46%
Investment Horizon
53%
Limited Commitment
46%
Long-run Consumption Risk
46%
Long-run Risks Model
30%
Macroeconomics
46%
Managerial Compensation
30%
Moral Hazard
46%
Optimal Portfolio
34%
Option Exercise
46%
Plaintiff
46%
Private Action
46%
Procyclicality
23%
Quantitative Model
46%
Risk Premia
26%
SEC Enforcement
46%
SEC Enforcement Action
46%
Securities Class Actions
46%
Time Aggregation
46%
Unified Model
46%
Vector Autoregression
34%
Volatility
57%
Volatility Risk
100%
Economics, Econometrics and Finance
Aggregate Consumption
38%
Autoregression
46%
Capital Market Returns
92%
CAPM
46%
Cash Flow
37%
Discount Rate
13%
Dividend Payouts
46%
Equilibrium Model
32%
Executive Compensation
55%
Financial Market
23%
Firm Size
55%
General Equilibrium
23%
Human Capital
6%
Idiosyncratic Volatility
46%
Institutional Investor
46%
Investors
69%
Law Firm
11%
Macroeconomics
13%
Moral Hazard
46%
Option Value
46%
Performance Pay
9%
Portfolio Selection
46%
Price
92%
Risk Premium
6%
Securities Fraud
57%
Time Series
46%
Volatility
92%