Works matching DE "STANDARD %26 Poor's Ratings Services Inc."
Results: 117
CO-MOVEMENTS OF THE PRIME RATE, CD RATE AND THE S&P FINANCIAL STOCK INDEX.
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- Journal of Financial Research, 1998, v. 21, n. 4, p. 469, doi. 10.1111/j.1475-6803.1998.tb00698.x
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- Article
PRICE AND VOLUME EFFECTS ASSOCIATED WITH THE CREATION OF STANDARD AND POOR'S MIDCAP INDEX.
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- Journal of Financial Research, 1995, v. 18, n. 3, p. 329, doi. 10.1111/j.1475-6803.1995.tb00570.x
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- Article
THE ANNOUNCEMENT EFFECTS OF PREFERRED STOCK RE-RATING.
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- Journal of Financial Research, 1985, v. 8, n. 4, p. 317, doi. 10.1111/j.1475-6803.1985.tb00416.x
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- Article
THE IMPACT OF CREDITWATCH PLACEMENT ON EQUITY RETURNS AND BOND PRICES.
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- Journal of Financial Research, 1985, v. 8, n. 1, p. 31, doi. 10.1111/j.1475-6803.1985.tb00423.x
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- Article
Value at Risk with time varying variance, skewness and kurtosis—the NIG-ACD model.
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- Econometrics Journal, 2009, v. 12, n. 1, p. 82, doi. 10.1111/j.1368-423X.2008.00277.x
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- Article
Long-range Dependence in Daily Stock Volatilities.
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- Journal of Business & Economic Statistics, 2000, v. 18, n. 2, p. 254, doi. 10.2307/1392562
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Infrastructure and an S&P Credit Rating: Questions, Trends, and Considerations.
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- Public Budgeting & Finance, 1984, v. 4, n. 3, p. 41, doi. 10.1111/1540-5850.00649
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- Article
2: Explaining Credit Ratings of Australian Companies-An Application of the Merton Model.
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- Australian Journal of Management (University of New South Wales), 2008, v. 33, n. 2, p. 261, doi. 10.1177/031289620803300203
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- Article
Research Notes. CAN ENVIRONMENTAL VOLATILITY BE MEASURED OBJECTIVELY?
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- Academy of Management Journal, 1982, v. 25, n. 1, p. 185, doi. 10.2307/256033
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- Article
Opaqueness in the Insurance Industry: Why Are Some Insurers Harder to Evaluate than Others?
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- Risk Management & Insurance Review, 2006, v. 9, n. 2, p. 149, doi. 10.1111/j.1540-6296.2006.00091.x
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- Article
The Problem with the "65 Percent Solution.".
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- American Educator, 2006, v. 30, n. 2, p. 3
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- Article
Board Oversight of Corporate Ethics Programs and Disclosure Transparency.
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- Accounting & the Public Interest, 2007, v. 7, p. 1, doi. 10.2308/api.2007.7.1.1
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- Article
Standard & Poor's Hedge Fund Index: Structure, Methodology, Definitions, and Practices.
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- Journal of Alternative Investments, 2003, v. 6, n. 2, p. 59, doi. 10.3905/jai.2003.319092
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- Article
The "Run on the Bank" Exposure: Evidence and Implications for Life Insurer Insolvency.
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- Journal of Insurance Issues, 1996, v. 19, n. 1, p. 39
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- Article
Which factors determine sovereign credit ratings?
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- European Journal of Finance, 2006, v. 12, n. 4, p. 361, doi. 10.1080/13518470500377406
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- Article
Rating Actions: Standard & Poor's.
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- International Power Generation, 2001, v. 24, n. 4, p. 60
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- Article
RATING the NATION.
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- International Power Generation, 2000, v. 23, n. 3, p. 23
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- Article
When Interpretations Collide The Case of Asia's Financial Crisis.
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- Journal of Management Inquiry, 1998, v. 7, n. 4, p. 321, doi. 10.1177/105649269874008
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- Article
The Accuracy and Adequacy of Tax Data in COMPUSTAT.
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- Journal of the American Taxation Association, 1993, v. 15, n. 1, p. 121
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- Article
A Comparison of Bond Ratings from Moody's S&P and Fitch IBCA.
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- Financial Markets, Institutions & Instruments, 1999, v. 8, n. 4, p. 1, doi. 10.1111/1468-0416.00029
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- Article
On comparing the accuracy of default predictions in the rating industry.
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- Empirical Economics, 2008, v. 34, n. 2, p. 343, doi. 10.1007/s00181-007-0125-6
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- Article
Growing More Market-oriented in Raising Funds.
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- Economy, Culture & History Japan Spotlight Bimonthly, 2008, v. 27, n. 2, p. 52
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Financial Health and Earning Power.
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- Economy, Culture & History Japan Spotlight Bimonthly, 2004, v. 23, n. 5, p. 47
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- Article
T time Continuing with initialisms.
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- Public Relations Tactics, 2006, v. 13, n. 9, p. 7
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A Scorecard from the S&P Game.
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- Journal of Portfolio Management, 1997, v. 23, n. 2, p. 16, doi. 10.3905/jpm.23.2.16
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- Article
S&P quality group rankings: Risk and return.
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- Journal of Portfolio Management, 1983, v. 9, n. 4, p. 39, doi. 10.3905/jpm.1983.39
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- Article
Is Standard and Poor's Master List Worthless?
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- Journal of Portfolio Management, 1977, v. 4, n. 1, p. 34, doi. 10.3905/jpm.1977.34
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- Article
THE INFORMATION CONTENT OF SECURITY ANALYSES: EVIDENCE FROM STANDARD & POOR'S COMMON STOCK QUALITY RANKING CHANGES.
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- Journal of Business Finance & Accounting, 1995, v. 22, n. 7, p. 975, doi. 10.1111/j.1468-5957.1995.tb00889.x
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- Article
AN EXPANDED COMMERCIAL PAPER RATING SCALE: CLASSIFICATION OF INDUSTRIAL ISSUERS.
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- Journal of Business Finance & Accounting, 1984, v. 11, n. 3, p. 397, doi. 10.1111/j.1468-5957.1984.tb00758.x
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- Article
Boom and Bust and Sovereign Ratings.
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- International Finance, 1999, v. 2, n. 2, p. 273, doi. 10.1111/1468-2362.00028
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Minimizing the Human Costs of Restructuring.
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- Nursing Economic$, 1988, v. 6, n. 2, p. 58
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- Article
Structured Finance Hedge Criteria Compared.
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- Journal of Structured Finance, 2008, v. 14, n. 1, p. 39, doi. 10.3905/jsf.2008.706232
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Highlights From securitization news.
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- Journal of Structured Finance, 2006, v. 12, n. 1, p. 123, doi. 10.3905/jsf.2006.628552
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- Article
Default Behavior of Global Structured Finance Securities.
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- Journal of Structured Finance, 2004, v. 10, n. 3, p. 48, doi. 10.3905/jsf.2004.443360
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S&P Releases Aerospace&Defense Industry Survey.
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- Microwave Journal, 2002, v. 45, n. 6, p. 35
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- Article
Personalize It, Please.
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- Journal of Financial Planning, 2003, v. 16, n. 10, p. 19
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Small Results for Small-Cap Managers...
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- Journal of Financial Planning, 2003, v. 16, n. 6, p. 20
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- Article
Continuing to Remain in the Dark...
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- Journal of Financial Planning, 1999, v. 12, n. 9, p. 21
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- Article
PRICING EFFICIENCY OF THE S&P 500 INDEX MARKET: EVIDENCE FROM THE STANDARD & POOR'S DEPOSITARY RECEIPTS.
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- Journal of Futures Markets, 2002, v. 22, n. 9, p. 877, doi. 10.1002/fut.10037
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STANDARD AND POOR'S DEPOSITORY RECEIPTS AND THE PERFORMANCE OF THE S&P 500 INDEX FUTURES MARKET.
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- Journal of Futures Markets, 2000, v. 20, n. 8, p. 705, doi. 10.1002/1096-9934(200009)20:8<705::AID-FUT1>3.0.CO;2-K
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CONTEMPORARY AND LONG-RUN CORRELATIONS: A COVARIANCE COMPONENT MODEL AND STUDIES ON THE S&P 500 CASH AND FUTURES MARKET.
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- Journal of Futures Markets, 1999, v. 19, n. 8, p. 877, doi. 10.1002/(SICI)1096-9934(199912)19:8<877::AID-FUT2>3.0.CO;2-B
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- Article
S&P 500 INDEX OPTION TESTS OF JARROW AND RUDD'S APPROXIMATE OPTION VALUATION FORMULA.
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- Journal of Futures Markets, 1996, v. 16, n. 6, p. 611, doi. 10.1002/(SICI)1096-9934(199609)16:6<611::AID-FUT1>3.0.CO;2-I
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- Article
DOES OPTIONS TRADING LEAD TO GREATER CASH MARKET VOLATILITY?
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- Journal of Futures Markets, 1995, v. 15, n. 7, p. 785, doi. 10.1002/fut.3990150704
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- Article
A transactions data analysis of arbitrage between index options and index futures.
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- Journal of Futures Markets, 1993, v. 13, n. 8, p. 889, doi. 10.1002/fut.3990130806
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- Article
Arbitrage and Valuation in the Market for Standard and Poor's Depositary Receipts.
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- Financial Management (Wiley-Blackwell), 2000, v. 29, n. 3, p. 71, doi. 10.2307/3666230
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- Article
Four Benchmarks To Indicate Credit Crisis End.
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- Financial Executive, 2008, v. 24, n. 9, p. 9
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- Article
FEI Offers Caution On S&P Framework.
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- Financial Executive, 2002, v. 18, n. 5, p. 63
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- Article
credit analysis.
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- 2001
- Publication type:
- Product Review
Defaults on the Rise.
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- Financial Executive, 2001, v. 17, n. 2, p. 10
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Recent FEI Teleconferences Examine Timely finance Topics.
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- Financial Executive, 2000, v. 16, n. 1, p. 54
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- Article