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)
Zichen Deng , Zichen Deng (VU Amsterdam)
Sonia Bhalotra (Essex University, United Kingdom)
Kees van Kooten (Univeristy of Victoria, Canada)
Dana Sisak (Erasmus University Rotterdam)
Sacha Kapoor (Erasmus University Rotterdam)
Simona Sanfelici (University of Parma, Italy)
Julien Sauvagnat (Bocconi University, Italy)
Paul Pelzl (VU Amsterdam)
Cancelled: David Yanigizawa-Drott (University of Zurich, Switzerland)
Geert Dhaene (KU Leuven, Belgium) and Frank Windmeijer (Bristol University, United Kingdom)
Diego Puga (CEMFI, Spain)
Robert Dur (Erasmus University Rotterdam)
Veronika Pool (Indiana University Bloomington, United States)
Hugo Hopenhayn (University of California-Los Angeles, United States)
Yuhao (Harry) Zhu (Erasmus University Rotterdam)
Arvind Magesan (University of Calgary, Canada)
David J. Cooper (Florida State University, United States and University of East Anglia, United Kingdom)
Arthur Schram, Jeroen van de Ven , Arthur Schram (UVA) and Jeroen van de Ven (UVA)
Niels Rietveld, Philipp Koellinger , Philipp Koellinger, Niels Rietveld. Guest lecturers Aysu Okbay (VU), Abdel Abdellaoui (VU), and Fleur Meddens (VU en EUR).