Ang, Andrew, Vineer Bhansali, and Yuhang Xing. 2010. “Taxes on Tax-Exempt Bonds.” Journal of Finance 65 (2): 565-601.
Ang, Andrew, Vineer Bhansali, and Yuhang Xing. 2010. “Build America Bonds.” Journal of Fixed Income 20 (1): 67-73.
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.
Ang, Andrew, and Joseph S. Chen. 2011. “Yield Curve Predictors of Foreign Exchange Returns.” Manuscript
Ang, Andrew, Jean Boivin, Sen Dong, and Rudy Loo-Kung. 2011. “Monetary Policy Shifts and the Term Structure.” Review of Economic Studies 78 (2): 429-457.
Ang, Andrew, and Maxim Ulrich. 2012. “Nominal Bonds, Real Bonds, and Equity.” Manuscript.
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.