Jacobs, Peter, Ursula Marchioni, Stefan Poechhacker, Nicholas Werbach, and Andrew Ang. 2025. “Comparisons of Asset Manager, Asset Owner, and Wealth and Retail Portfolios.” Journal of Investing. DOI: 10.3905/joi.2025.1.365
Ang, Andrew, and Debarshi Basu. 2025. “How Much Should Investors Pay for Active Management? Utility-Based Pricing for a Personalized Portfolio Future.” Journal of Portfolio Management 51 (10): 49-66.
Azimbayev, Nazym, Andrey Kim, Zhassulan Ospanov, and Andrew Ang. 2025. “Investing in AI for Investing: Lessons from Autonomous Driving for Investment Firms.” Altbridge Working Paper.
Dufour, Taylor, He Ren, Andrew Ang, Filip Mena-Berlin, Mateo Gomez, and Katharina Schwaiger. 2025. “Paris Aligned Commodities.” In Evolving Practices in Public Investment Management: Proceedings of the Ninth Public Investors Conference, Bank of International Settlements, pp. 27-42.
Zhang, Chi, Xinyang Li, Andrea Tamoni, and Misha van Beek. 2024. “ESG Risk and Returns Implied by Demand-Based Asset Pricing Models.” Journal of Asset Management 25: 203-221.
Ang, Andrew, Debarshi Basu, and Marco Corsi. 2024. “Attribution of Portfolios with Climate-Related Signals.” in Investment Innovations Toward Achieving Net Zero, CFA Institute, pp. 116-132.
Ang, Andrew, Gerald T. Garvey, and K. Schwaiger. 2024. “A Systematic Approach to Sustainable and ESG Investing.” Working Paper.