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Business conditions and expected returns on stocks and bonds

, and . Journal of Financial Economics, 25 (1): 23--49 (November 1989)

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Market efficiency, long-term returns, and behavioral finance1. Journal of Financial Economics, 49 (3): 283 - 306 (1998)Transitory variation in investment and output. Journal of Monetary Economics, 30 (3): 467--480 (December 1992)A comparison of inflation forecasts, and . Journal of Monetary Economics, 13 (3): 327--348 (May 1984)What's different about banks?. Journal of Monetary Economics, 15 (1): 29--39 (January 1985)Term premiums and default premiums in money markets. Journal of Financial Economics, 17 (1): 175--196 (September 1986)Business conditions and expected returns on stocks and bonds, and . Journal of Financial Economics, 25 (1): 23--49 (November 1989)The Cross-Section of Expected Stock Returns, and . The Journal of Finance, 47 (2): 427-465 (1992)Common risk factors in the returns on stocks and bonds, and . Journal of Financial Economics, 33 (1): 3-56 (1993)The theory of finance, and . Dryden Press, Hinsdale, Ill., (1972)Forward rates as predictors of future spot rates. Journal of Financial Economics, 3 (4): 361--377 (October 1976)