Government Bond Risk and Return in the US and China
Published: 26 January 2026| Version 3 | DOI: 10.17632/h4t3bpbrvn.3
Contributors:
, , Robert WhitelawDescription
These are the data and code from our paper "Government Bond Risk and Return in the US and China," 2026, Journal of Financial Economics, Vol. 176, 104224. Please see that paper for details. There appear to be a couple of files missing from Version 2. Version 3 should be complete. Otherwise they are identical.
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Categories
Finance, International Finance, Investment, Fixed Income Market, International Investment, Empirical Finance