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- Title
RANDOM AND NONRANDOM RELATIONSHIPS AMONG FINANCIAL VARIABLES: A FINANCIAL MODEL.
- Authors
Murphy Jr., Joseph E.; Nelson, J. Russell
- Abstract
The article presents information on the random and nonrandom relationships among certain financial variables of dollar and ratio, and percentage change varieties. Distinctive behaviors and characteristics of each variable form are described. A financial model is presented through cross-sectional linear correlation, highlighting the distinctions between the growth variable and financial ratio within two sample periods.
- Subjects
INVESTMENT analysis; INSTRUMENTAL variables (Statistics); MATHEMATICAL models of finance; RANDOM data (Statistics)
- Publication
Journal of Financial & Quantitative Analysis, 1971, Vol 6, Issue 2, p875
- ISSN
0022-1090
- Publication type
Article
- DOI
10.2307/2329721