Expected Stock Returns and the Correlation Risk Premium
Grigory Vilkov (Frankfurt School of Finance and Management, Germany)
- Erasmus Finance Seminars
Grigory Vilkov (Frankfurt School of Finance and Management, Germany)
Julien Sauvagnat (Bocconi University, Italy)
Veronika Pool (Indiana University Bloomington, United States)
David Mauer (University of North Carolina, United States)
Andrew Ellul (Indiana University, United States)
Davisd Yermack (Stern School of Business, New York University)
Alexander Guembel (Toulouse School of Economics, France)
Ernst-Ludwig von Thadden (Mannheim University, Germany)
Joshua D. Rauh (Stanford University, United States)
Uday Rajan (Michigan University, USA)
Christian Gollier (Toulouse School of Economics, France)
Julien Hugonnier (EPFL, Switzerland)
David Solomon (USC Marshall, United States)
Scott Yonker (Cornell University, United States)
Haorjat Bhamra (Imperial College London, United Kingdom)
Tim Jenkinson (University of Oxford, United Kingdom)
Tim Jenkinson (provisory)
Florian Heider (ECB, Germany)
Zacharias Sautner (Frankfurt School of Finance and Management, Germany)
Sophie Moinas (Toulouse School of Economics, France)