As index fees decline, will funds draw big money away from bonds?
After a quarter century of sprawling study, it’s time to narrow the focus and settle on an explanation
A model examines the relationships between innovation, speculation and market values
Studying Chinese A and B shares reveals investor uncertainty
Known as collateralized loan obligations, their aim is actually to reduce risk
Entrepreneurs borrow between equity funding rounds with a strong record of repaying debts
Wage earners get larger (relative) share at smaller companies, not at giants like Apple, Alphabet and Amazon
Encouraging pre-commitment to a future behavior helps people do hard things — but it can backfire
It can also help management make capital expenditure decisions
A scan of a million brokerage accounts finds the wealthy trade ahead of market-moving news
Valentin Haddad’s research looks at the phenomenon of “information aversion,” when individual investors stop tracking their portfolios for fear of bad news
Well-known market anomalies are largely absent among the biggest stocks
VCs and other investors need a contract with their seeker that blunts conflicts of interest
New technology’s upending of the old creates demand for alternative assets to offset risk
Investors’ future expectations about QE policy lowered long-term yields, made investors feel safer holding the bonds
Public bonds compete against other investments; a model of that relationship