MISCELLANEA

Published date01 December 2013
Date01 December 2013
DOIhttp://doi.org/10.1111/jofi.12112
THE JOURNAL OF FINANCE VOL. LXVIII, NO. 6 DECEMBER 2013
MISCELLANEA
The following articles have been accepted for publication in The Journal of
Finance and are scheduled to appear in the February 2014 issue. You can
read the full text of all upcoming articles on the AFA website at the following
address:
http://www.afajof.org
ARTICLES
John H. Cochrane, “A Mean-Variance Benchmark for Intertemporal Portfolio
Theory,” University of Chicago.
David Backus, Mikhail Chernov,and Stanley Zin, “Sources of Entropy in Repre-
sentative Agent Models,” New YorkUniversity, London School of Economics,
and New York University.
Andrea Buraschi, Fabio Trojani, and Andrea Vedolin, “When Uncertainty
Blows in the Orchard: Comovement and Equilibrium Volatility Risk Pre-
mia,” University of Chicago, University of Lugano, and London School of
Economics.
Mark T. Leary and Michael R. Robert, “Do Peer Firms Affect Corporate Finan-
cial Policy?” Washington University in St. Louis and University of Pennsyl-
vania.
Suleyman Basak and Dmitry Makarov, “Strategic Asset Allocation in Money
Management,” London Business School and New Economic School, Moscow.
Claudia Custodio, “Mergers and Acquisitions Accounting and the Diversifica-
tion Discount,” Arizona State University.
Kenneth R. Ahern and Denis Sosyura, “Who Writes the News? Corporate Press
Releases During Merger Negotiations,” University of Southern California
and University of Michigan.
Gerard Hoberg, Gordon Phillips, and Nagpurnanand Prabhala, “Product Mar-
ket Threats, Payouts, and Financial Flexibility,” University of Maryland,
University of Southern California, and University of Maryland.
DOI: 10.1111/jofi.12112
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