David Martimort, and Wilfried Sand-Zantman, “Media Mergers in Nested Markets”, Journal of Economics and Management Strategy, vol. 34, n. 3, October 2025, pp. 696–713.
Manon Costa, Sébastien Gadat, and Lorick Huang, “CV@R penalized portfolio optimization with biased stochastic mirror descent”, Finance and Stochastics, vol. 29, July 2025, p. 609–664.
Marianne Andries, Milo Bianchi, Karen Huynh, and Sébastien Pouget, “Return Predictability, Expectations, and Investment: Experimental Evidence”, The Review of Financial Studies, vol. 38, n. 6, June 2025, p. 1687–1729.
David Bardey, and Philippe De Donder, “A Welfare Analysis of Genetic Testing in Health Insurance Markets with Adverse Selection and Prevention”, Canadian Journal of Economics, Toronto, vol. 58, n. 2, May 2025, pp. 443–483.
Jean-Paul Décamps, Fabien Gensbittel, and Thomas Mariotti, “Investment Timing and Technological Breakthroughs”, Mathematics of Operations Research, vol. 50, n. 2, May 2025, pp. 1478–1513.
Milo Bianchi, and Marie Brière, “Human-Robot Interactions in Investment Decisions”, Management Science, 2025, forthcoming.
Marc Bourreau, Bruno Jullien, and Yassine Lefouili, “Horizontal Mergers and Incremental Innovation”, The RAND Journal of Economics, 2025, forthcoming.
Caio Almeida, Kim Ardison, Gustavo Freire, René Garcia, and Piotr Orlowski, “High-Frequency Tail Risk Premium and Stock Return Predictability”, Journal of Financial and Quantitative Analysis, vol. 59, n. 8, December 2024, pp. 3633–3670.
Sylvain Chabé-Ferret, Philippe Le Coent, Caroline Lefebvre, Raphaele Préget, François Salanié, Julie Subervie, and Sophie Thoyer, “When Nudges Backfire: Evidence from a Randomized Field Experiment to Boost Biological Pest Control”, Annals of Economics and Statistics, vol. 156, December 2024, pp. 9–30.