Ang, Andrew, Dimitris Papanikolaou, and Mark M. Westerfield. 2014. “Portfolio Choice with Illiquid Assets.” Management Science 60 (11): 2737-2761.
Ang, Andrew, Amit Goyal, and Antti Ilmanen. 2014. “Asset Allocation and Bad Habits.” Rotman International Journal of Pension Management 7 (2): 16-26.
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.
An, Byeong-Je , Andrew Ang, Turan Bali, and Nusret Cakici. 2014. “The Joint Cross Section of Stock and Option Returns.” Journal of Finance 69 (5): 2279-2337.
Ang, Andrew, and Bruce Usher. 2015. “Stanford Dumps Coal.” Columbia CaseWorks 150307.
An, Byeong-Je, Andrew Ang, and Pierre Collin-Dufresne. 2015. “How Often Should You Take Tactical Asset Allocation Decisions?” Manuscript.