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Anna Pavlova
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Cited by
Year
A model of financialization of commodities
S Basak, A Pavlova
The Journal of Finance 71 (4), 1511-1556, 2016
4902016
Asset prices and exchange rates
A Pavlova, R Rigobon
Review of Financial Studies 20 (4), 1139-1180, 2007
4592007
Optimal asset allocation and risk shifting in money management
S Basak, A Pavlova, A Shapiro
Review of Financial Studies 20 (5), 1583-1621, 2007
387*2007
Asset prices and institutional investors
S Basak, A Pavlova
American Economic Review 103 (5), 1728-58, 2013
3292013
Asset prices and institutional investors
S Basak, A Pavlova
London Business School, 2010
3292010
The role of portfolio constraints in the international propagation of shocks
A Pavlova, R Rigobon
Review of Economic Studies 75 (4), 1215-1256, 2008
235*2008
An asset-pricing view of external adjustment
A Pavlova, R Rigobon
Journal of International Economics 80 (1), 144-156, 2010
792010
Offsetting the implicit incentives: benefits of benchmarking in money management
S Basak, A Pavlova, A Shapiro
Journal of Banking & Finance 32 (9), 1883-1893, 2008
652008
On trees and logs
D Cass, A Pavlova
Journal of Economic theory 116 (1), 41-83, 2004
602004
Equilibrium portfolios and external adjustment under incomplete markets
A Pavlova, R Rigobon
AFA 2009 San Francisco Meetings Paper, 2012
522012
International macro-finance
A Pavlova, R Rigobon
National Bureau of Economic Research, 2010
492010
The Benchmark Inclusion Subsidy
AK Kashyap, N Kovrijnykh, J Li, A Pavlova
Journal of Financial Economics, 2021
252021
Adjustment costs, learning-by-doing, and technology adoption under uncertainty
A Pavlova
Learning-by-Doing, and Technology Adoption Under Uncertainty (December 2001), 2001
192001
Benchmarking intensity
A Pavlova, T Sikorskaya
CEPR Discussion Paper No. DP16909, 2022
172022
Monopoly power and the firm’s valuation: a dynamic analysis of short versus long-term policies
S Basak, A Pavlova
Essays in Dynamic General Equilibrium Theory, 1-34, 2005
172005
Multiplicity in general financial equilibrium with portfolio constraints
S Basak, D Cass, JM Licari, A Pavlova
Journal of Economic Theory 142 (1), 100-127, 2008
162008
ESG confusion and stock returns: Tackling the problem of noise
F Berg, JF Kölbel, A Pavlova, R Rigobon
Available at SSRN 3941514, 2021
152021
Is there too much benchmarking in asset management?
AK Kashyap, N Kovrijnykh, J Li, A Pavlova
National Bureau of Economic Research, 2020
142020
A Model of Financialization of Commodities
SBA Pavlova, S Basak
Working paper, London Business School, 2012
62012
A Dynamic Model with Import Quota Constraints
A Pavlova, S Basak
4*2002
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Articles 1–20