Ang, Andrew, and Allan Timmermann. 2012. “Regime Changes and Financial Markets.” Annual Review of Financial Economics 4: 313-337.
Ang, Andrew, and Francis A. Longstaff. 2013. “Systemic Sovereign Default Risk: Lessons from the U.S. and Europe.” Journal of Monetary Economics, 60 (5): 493-510.
Ang, Andrew, and Richard C. Green. 2013. “Lowering Borrowing Costs for States and Municipalities Through CommonMuni.” Municipal Finance Journal 34 (3): 43-94. Also published as Discussion Paper 2011-01, The Hamilton Project, Brookings Institution. Funded by The Hamilton Project.
Ang, Andrew, Michael W. Brandt, and David F. Denison. 2014. “Review of the Active Management of the Norwegian Government Pension Fund Global.” Commissioned by the Norwegian Ministry of Finance.
Ang, Andrew, Vineer Bhansali, and Yuhang Xing. 2014. “The Muni Bond Spread: Credit, Illiquidity, and Tax.” Manuscript.
Ang, Andrew. 2014. “Risk and Information in the Municipal Bond Market.” NBER Reporter, 3, 9-11.
Ang, Andrew. 2014. Asset Management: A Systematic Approach to Factor Investing. Oxford University Press.
Ang, Andrew, Richard C. Green, Francis A. Longstaff, and Yuhang Xing. 2017. “Advance Refundings of Municipal Bonds.” Journal of Finance 72 (4): 1645-1682.
Pauksta, Eugene, Karishma Kaul, Tom Parker, Scott Radell. and Andrew Ang. 2022. “Investing in US Core Fixed Income with Macro and Style Factors.” Journal of Portfolio Management 48 (2): 45-65.
Kaul, Karishma, Katharina Schwaiger, Muling Si, and Andrew Ang. 2022. “Sustainable Alpha in Sovereign and Corporate Bonds.” Journal of Investment Management 20 (2): 30-50.