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The Relation between Risk and Optimal Debt Maturity and the Value of Leverage.
- Published in:
- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 377, doi. 10.2307/2330702
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- Article
A Nonparametric Distribution-Free Test for Serial Independence in Stock Returns: A Comment.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 417, doi. 10.2307/2330706
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- Article
Stock Returns, Money, and Fiscal Deficits.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 387, doi. 10.2307/2330703
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- Article
The Heterogeneous Investment Horizon and the Capital Asset Pricing Model: Theory and Implications.
- Published in:
- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 361, doi. 10.2307/2330701
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- Article
A Nonparametric Distribution-Free Test for Serial Independence in Stock Returns: A Correction.
- Published in:
- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 411, doi. 10.2307/2330705
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- Article
Stock Price Reactions to The Wall Street Journal's Securities Recommendations.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 399, doi. 10.2307/2330704
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- Article
Time-Varying Return and Risk in the Corporate Bond Market.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 323, doi. 10.2307/2330699
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- Article
Estimation of Stock Price Variances and Serial Covariances from Discrete Observations.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 291, doi. 10.2307/2330697
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- Article
Securityholder Taxes and Corporate Restructurings.
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- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 341, doi. 10.2307/2330700
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- Article
Monetary Regimes and the Relation between Stock Return and Inflationary Expectations.
- Published in:
- Journal of Financial & Quantitative Analysis, 1990, v. 25, n. 3, p. 307, doi. 10.2307/2330698
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- Article