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Book
Forecast combinations.
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Year: 2005 Publisher: London Centre For Economic Policy Research, Financial Economics. Discussion Paper Nr.5361. November 2005

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Country and industry factors in stock returns: a regime switching approach.
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Year: 2004 Publisher: London Centre For Economic Policy Research, Financial Economics. Discussion Paper Nr. 4368 April 2004

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Relative performance evaluation contracts and asset market equilibrium.
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Year: 2003 Publisher: London Centre For Economic Policy Research, Financial Economics

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Term structure of risk under alternative econometric specifications.
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Year: 2004 Publisher: London Centre For Economic Policy Research, Financial Economics. Discussion Paper Nr. 4645. September 2004

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Risky arbitrage strategies: optimal portfolio choice and economic implications.
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Year: 2009 Publisher: London Centre For Economic Policy Research

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Duration dependence in stock prices: an analysis of bull and bear markets.
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Year: 2003 Publisher: London Centre For Economic Policy Research, Financial Economics

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Forecasts of us short-term interest rates: a flexible forecast combination approach.
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Year: 2007 Publisher: London Centre For Economic Policy Research, Financial Economics. Discussion Paper Nr.6188. March 2007

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Understanding analysts' earnings expectations: biases, nonlinearities and predictability.
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Year: 2010 Publisher: London Centre For Economic Policy Research

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Forecast rationality tests based on multi-horizon bounds.
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Year: 2011 Publisher: London Centre For Economic Policy Research

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Forecasting stock returns under economic constraints.
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Year: 2013 Publisher: London Centre For Economic Policy Research

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