| dc.contributor.author |
Bansal, Ravi
|
en_US |
| dc.date.accessioned |
2011-04-15T16:46:17Z |
|
| dc.date.available |
2011-04-15T16:46:17Z |
|
| dc.date.issued |
2010 |
en_US |
| dc.identifier.citation |
Bansal,Ravi;Kiku,Dana;Yaron,Amir. 2010. Long Run Risks, the Macroeconomy, and Asset Prices. American Economic Review 100(2): 542-546. |
en_US |
| dc.identifier.issn |
0002-8282 |
en_US |
| dc.identifier.uri |
http://hdl.handle.net/10161/3374
|
|
| dc.description.abstract |
|
en_US |
| dc.language.iso |
en_US |
en_US |
| dc.publisher |
AMER ECONOMIC ASSOC |
en_US |
| dc.relation.isversionof |
doi:10.1257/aer.100.2.542
|
en_US |
| dc.subject |
pricing-models |
en_US |
| dc.subject |
consumption |
en_US |
| dc.subject |
returns |
en_US |
| dc.subject |
economics |
en_US |
| dc.title |
Long Run Risks, the Macroeconomy, and Asset Prices |
en_US |
| dc.type |
Proceedings Paper |
en_US |
| dc.description.version |
Version of Record |
en_US |
| duke.date.pubdate |
2010-5-0 |
en_US |
| duke.description.endpage |
546 |
en_US |
| duke.description.issue |
2 |
en_US |
| duke.description.startpage |
542 |
en_US |
| duke.description.volume |
100 |
en_US |
| dc.relation.journal |
American Economic Review |
en_US |