Works by TRZCINKA, CHARLES
Results: 34
Financial markets in 2023: Aggregate demand and inflation.
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- Indiana Business Review, 2022, v. 97, n. 4, p. 1
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- Article
Financial markets in 2022: Aggregate demand and inflation.
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- Indiana Business Review, 2021, v. 96, n. 4, p. 1
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- Article
Financial markets 2019: Tariffs, earnings and interest rates.
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- Indiana Business Review, 2018, v. 93, n. 4, p. 1
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Financial markets 2018: P/E ratios are great again.
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- Indiana Business Review, 2017, v. 92, n. 4, p. 1
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Financial markets 2017: Make P/E ratios great again.
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- Indiana Business Review, 2016, v. 91, n. 4, p. 1
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- Article
Financial Markets 2016: The Groundhog Forecast.
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- Indiana Business Review, 2016, v. 90, n. 4, p. 6
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- Article
Financial Markets 2015: Earnings, Government and the World.
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- Indiana Business Review, 2014, v. 89, n. 4, p. 6
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Financial Outlook for 2014.
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- Indiana Business Review, 2014, v. 88, n. 4, p. 5
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Financial Outlook for 2013.
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- Indiana Business Review, 2012, v. 87, n. 4, p. 5
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Financial Outlook for 2012.
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- Indiana Business Review, 2011, v. 86, n. 4, p. 6
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Financial Outlook for 2011.
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- Indiana Business Review, 2010, v. 85, n. 4, p. 6
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- Article
Pricing under noisy signaling.
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- Review of Quantitative Finance & Accounting, 2015, v. 45, n. 2, p. 435, doi. 10.1007/s11156-014-0442-8
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Recap of the 22nd annual conference on financial economics and accounting, November 18, 2011 to November 19, 2011.
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- Review of Quantitative Finance & Accounting, 2012, v. 39, n. 3, p. 407, doi. 10.1007/s11156-012-0304-1
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Persistent Performance in the Mutual Fund Market: Tests with Funds and Investment Advisers.
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- Review of Quantitative Finance & Accounting, 1994, v. 4, n. 2, p. 115, doi. 10.1007/BF01074960
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A new estimate of transaction costs.
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- Review of Financial Studies, 1999, v. 12, n. 5
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MOMENTUM: DOES THE DATABASE MAKE A DIFFERENCE?
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- Journal of Financial Research, 2006, v. 29, n. 4, p. 441, doi. 10.1111/j.1475-6803.2006.00188.x
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- Article
ALL-EQUITY FIRMS AND THE BALANCING THEORY OF CAPITAL STRUCTURE.
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- Journal of Financial Research, 1992, v. 15, n. 1, p. 77, doi. 10.1111/j.1475-6803.1992.tb00788.x
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The Conflicting Views and Management Practices of Institutional Equity Investing.
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- Financial Markets, Institutions & Instruments, 1998, v. 7, n. 5, p. 20, doi. 10.1111/1468-0416.00024
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Discussion: "Individual-Firm Style Loadings, Unrecorded Economic Assets, and Systematic Risk"
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- Journal of Accounting, Auditing & Finance, 1998, v. 13, n. 3, p. 297, doi. 10.1177/0148558X9801300308
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A Tangled Tale of Training and Talent: PhDs in Institutional Asset Management.
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- Management Science, 2020, v. 66, n. 12, p. 5623, doi. 10.1287/mnsc.2019.3431
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What Are the Best Liquidity Proxies for Global Research?
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- Review of Finance, 2017, v. 21, n. 4, p. 1355, doi. 10.1093/rof/rfx003
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The Performance of Short-Term Institutional Trades.
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- Journal of Financial & Quantitative Analysis, 2017, v. 52, n. 4, p. 1403, doi. 10.1017/S0022109017000400
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The Value Added from Investment Managers: An Examination of Funds of REITS.
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- Journal of Financial & Quantitative Analysis, 2000, v. 35, n. 3, p. 387, doi. 10.2307/2676210
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The Impact of the New York City Fiscal Crisis on the Interest Cost of New Issue Municipal Bonds.
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- Journal of Financial & Quantitative Analysis, 1983, v. 18, n. 3, p. 381, doi. 10.2307/2330728
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Cross-Subsidization in Institutional Asset Management Firms.
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- Review of Financial Studies, 2018, v. 31, n. 2, p. 638, doi. 10.1093/rfs/hhx075
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`Equity Style Classifications': Comment.
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- Journal of Portfolio Management, 1995, v. 21, n. 3, p. 44, doi. 10.3905/jpm.1995.409519
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Research on risk and return: Can measures of risk explain anything?
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- Journal of Portfolio Management, 1991, v. 17, n. 3, p. 15, doi. 10.3905/jpm.1991.15
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The Economics of Mutual Fund Markets: Competition Versus Regulation.
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- 1992
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- Book Review
Sequential Tests of the Arbitrage Pricing Theory: A Comparison of Principal Components and Maximum Likelihood Factors.
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- Journal of Finance (Wiley-Blackwell), 1990, v. 45, n. 5, p. 1541, doi. 10.1111/j.1540-6261.1990.tb03727.x
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On the Number of Factors in the Arbitrage Pricing Model.
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- Journal of Finance (Wiley-Blackwell), 1986, v. 41, n. 2, p. 347, doi. 10.1111/j.1540-6261.1986.tb05041.x
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Municipal Bond Pricing and the New York City Fiscal Crisis.
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- Journal of Finance (Wiley-Blackwell), 1982, v. 37, n. 5, p. 1239, doi. 10.1111/j.1540-6261.1982.tb03615.x
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The Pricing of Tax-Exempt Bonds and the Miller Hypothesis.
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- Journal of Finance (Wiley-Blackwell), 1982, v. 37, n. 4, p. 907, doi. 10.1111/j.1540-6261.1982.tb03588.x
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The Risk Structure of Interest Rates and the Penn-Central Crisis.
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- Journal of Finance (Wiley-Blackwell), 1979, v. 34, n. 3, p. 751, doi. 10.1111/j.1540-6261.1979.tb02140.x
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On Revising Ex-Ante Estimates of Portfolio Risk.
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- Engineering Economist, 1980, v. 26, n. 4, p. 316, doi. 10.1080/00137918008902890
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- Article