Aleksandar A. Andonov
Erasmus University Rotterdam
His Research Interests: Primary fields: investments, asset allocation, delegated portfolio management and pension funds. Secondary fields: empirical asset pricing, alternative assets and governance.
A. Andonov, P.M.A. Eichholtz & N. Kok (2015). Intermediated Investment Management in Private Markets: Evidence From Pension Fund Investments in Real Estate. Journal of Financial Markets, 22 (January), 73-103. doi: http://dx.doi.org/10.1016/j.finmar.2014.11.002
A. Andonov, Y.V. Hochberg & J.D. Rauh (2017). Political Representation and Governance: Evidence from the Investment Decisions of Public Pension Funds. The Journal of Finance, Accepted.
A. Andonov, R.M.M.J. Bauer & M. Cremers (2017). Pension Fund Asset Allocation and Liability Discount Rates. The Review of Financial Studies, 30 (8), 2555-2595. doi: http://dx.doi.org/http://dx.doi.org/10.1093/rfs/hhx020[go to publisher's site]