Alberto Plazzi, Ph.D.

Affiliations: 
2010 University of California, Los Angeles, Los Angeles, CA 
Area:
Finance
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"Alberto Plazzi"

Parents

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Walter N. Torous grad student 2010 UCLA
 (Essays on Real Estate and International Asset Pricing.)
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Publications

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Gandhi P, Lustig HN, Plazzi A. (2020) Equity Is Cheap for Large Financial Institutions Review of Financial Studies. 33: 4231-4271
Cotelioglu E, Franzoni FA, Plazzi A. (2020) What Constrains Liquidity Provision? Evidence From Institutional Trades Review of Finance
Gandhi P, Golez B, Jackwerth JC, et al. (2019) Financial Market Misconduct and Public Enforcement: The Case of Libor Manipulation Management Science. 65: 5268-5289
Ghysels E, Plazzi A, Valkanov RI, et al. (2019) Direct Versus Iterated Multiperiod Volatility Forecasts Review of Financial Economics. 11: 173-195
Ghysels E, Plazzi A, Valkanov RI. (2016) Why Invest in Emerging Markets? The Role of Conditional Return Asymmetry Journal of Finance. 71: 2145-2192
Ghysels E, Plazzi A, Valkanov R. (2016) Why Invest in Emerging Markets? The Role of Conditional Return Asymmetry: Why Invest in Emerging Markets? Journal of Finance. 71: 2145-2192
Plazzi A, Torous WN, Valkanov RI. (2011) Exploiting Property Characteristics in Commercial Real Estate Portfolio Allocation The Journal of Portfolio Management. 37: 39-50
Plazzi A, Torous W, Valkanov R. (2010) Expected Returns and Expected Growth in Rents of Commercial Real Estate Review of Financial Studies. 23: 3469-3519
Plazzi A, Torous WN, Valkanov RI. (2008) The Cross‐Sectional Dispersion of Commercial Real Estate Returns and Rent Growth: Time Variation and Economic Fluctuations Real Estate Economics. 36: 403-439
Ghysels E, Plazzi A, Valkanov R. (2007) Valuation in US commercial real estate European Financial Management. 13: 472-497
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