Almufti, Ali, Linus Franngard, Scott Gladstone, and Andrew Ang. 2025. “Exit Predictions for Venture Capital Over Different Economic Regimes.” Journal of Alternative Investments, 27 (4), DOI 10.3905/jai.2025.1.235
Ang, Andrew, and Jun Liu. 2001. “A General Affine Earnings Valuation Model.” Review of Accounting Studies 6: 397-425.
Ang, Andrew, and Jun Liu. 2004. “How to Discount Cashflows with Time-Varying Expected Returns.” Journal of Finance 59 (6): 2745-2783.
Ang, Andrew, Geert Bekaert, and Jun Liu. 2005. “Why Stocks May Disappoint.” Journal of Financial Economics 76 (3): 471-508.
Ang, Andrew, and Jun Liu. 2007. “Risk, Return and Dividends.” Journal of Financial Economics 85 (1): 1-38.
Ang, Andrew, William N. Goetzmann, and Stephen M. Schaefer, 2009. “Report on the Active Management of the Norwegian Government Pension Fund – Global.” Commissioned by the Norwegian Ministry of Finance.
Ang, Andrew, and Nicolas P. B. Bollen. 2010. “When Hedge Funds Block the Exits.”
Ang, Andrew, and Nicolas P. B. Bollen. 2010. “Locked Up by a Lockup: Valuing Liquidity as a Real Option,” Financial Management 39 (3): 1069-1095.
Ang, Andrew, Jaan Elias, William N. Goetzmann, Jean Rosenthal, and Olav Sorenson. 2010. “Norway Pension Fund – Global: A Nation Reconsiders How to Manage Its Nest Egg.” Yale Case 2010-106.
Ang, Andrew, William N. Goetzmann, and Stephen M. Schaefer. 2011. “The Efficient Market Theory and Evidence: Implications for Active Investment Management.” Foundations and Trends in Finance 5 (3): 157-242.