Works matching DE "STOCK ratings"
Results: 43
Trading profitability from learning and adaptation on the Tokyo Stock Exchange.
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- Quantitative Finance, 2016, v. 16, n. 6, p. 969, doi. 10.1080/14697688.2015.1091941
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Effects of preferred stock re-rating on common stock prices: Further evidence.
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- Financial Review, 1993, v. 28, n. 4, p. 449, doi. 10.1111/j.1540-6288.1993.tb01358.x
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Selection of Socially Responsible Portfolios Using Hedonic Prices.
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- Journal of Business Ethics, 2013, v. 115, n. 3, p. 515, doi. 10.1007/s10551-012-1411-6
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ԿԱՆԱՉ ՏՆԿԱՐԿՆԵՐԻ ԲԱՇԽՎԱԾՈՒԹՅՈՒՆԸ ԵՐԵՎԱՆԻ ՏԱՐԲԵՐ ՎԱՐՉԱԿԱՆ ՇՐՋԱՆՆԵՐՈՒՄ և ՄԻԿՐՈԿԼԻՄԱՅԱԿԱՆ ԳՈՏԻՆԵՐՈՒՄ
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- Ajastan Kensabanakan Handes, 2019, v. 71, n. 1, p. 79
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AN EMPIRICAL BAYES ESTIMATE OF MARKET RISK.
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- Management Science, 1982, v. 28, n. 7, p. 728, doi. 10.1287/mnsc.28.7.728
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Investor Demand for Sell-Side Research.
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- Accounting Review, 2017, v. 92, n. 2, p. 123, doi. 10.2308/accr-51525
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Do Top 10 Lists of Daily Stock Returns Attract Investor Attention? Evidence from a Natural Experiment.
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- International Review of Finance, 2016, v. 16, n. 4, p. 565, doi. 10.1111/irfi.12091
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Which Beta Is Best? On the Information Content of Option-implied Betas.
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- European Financial Management, 2016, v. 22, n. 3, p. 450, doi. 10.1111/eufm.12065
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- Article
Do Investors Trade around Social Rating Announcements?
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- European Financial Management, 2016, v. 22, n. 3, p. 484, doi. 10.1111/eufm.12066
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Rating Competition and Structured Finance.
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- Journal of Structured Finance, 2008, v. 14, n. 3, p. 7, doi. 10.3905/JSF.2008.14.3.007
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TALF AIMS TO REPAIR CREDIT CRISIS.
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- Journal of Property Management, 2009, v. 74, n. 6, p. 19
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- Article
Security Price Reactions to Initial Reviews of Common Stock by the Value Line Investment Survey.
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- Journal of Financial & Quantitative Analysis, 1987, v. 22, n. 4, p. 483, doi. 10.2307/2330796
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A generalized performance attribution technique for mutual funds.
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- Central European Journal of Operations Research, 2005, v. 13, n. 1, p. 65
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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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The Benefits of Socially Responsible Investing: An Active Manager's Perspective.
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- Journal of Investing, 2015, v. 24, n. 4, p. 49, doi. 10.3905/joi.2015.24.4.049
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Value line quarterly EPS forecast error: Analyst credibility or management appeasement?
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- Financial Services Review, 2017, v. 26, n. 1, p. 37
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Star Power: The Effect of Morningstar Ratings on Mutual Fund Flow.
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- Journal of Financial & Quantitative Analysis, 2008, v. 43, n. 4, p. 907, doi. 10.1017/S0022109000014393
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Analysts, Industries, and Price Momentum.
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- Journal of Financial & Quantitative Analysis, 2006, v. 41, n. 1, p. 85, doi. 10.1017/S002210900000243X
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Analysts’ stock recommendations, earnings growth and risk.
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- Accounting & Finance, 2018, v. 58, n. 1, p. 217, doi. 10.1111/acfi.12202
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An Empirical Analysis of Model Misspecification in Studies of Valuation of Financial Statement Disclosures.
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- Journal of Accounting, Auditing & Finance, 1995, v. 10, n. 4, p. 719, doi. 10.1177/0148558X9501000403
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The Informational Role of Bond Analysts.
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- Journal of Accounting Research (Wiley-Blackwell), 2009, v. 47, n. 5, p. 1201, doi. 10.1111/j.1475-679X.2009.00348.x
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Stock recommendations - an analysis of usefulness.
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- Finanse, 2017, v. 10, n. 1, p. 355
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Rating Drift in Property-Liability Insurer Rating Transitions.
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- Journal of Insurance Issues, 2014, v. 37, n. 1, p. 59
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Applying Joel Greenblatt's value investment strategy to the Johannesburg Stock Exchange.
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- Management Dynamics / Bestuursdinamika, 2017, v. 26, n. 1, p. 2
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Relative Comparison and Category Membership: The Case of Equity Analysts.
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- Organization Science, 2015, v. 26, n. 2, p. 571, doi. 10.1287/orsc.2014.0908
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INVESTORS ADJUST EXPECTATIONS AROUND SELL-SIDE ANALYST REVISIONS IN IPO RECOMMENDATIONS.
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- Journal of Financial Research, 2009, v. 32, n. 1, p. 53, doi. 10.1111/j.1475-6803.2008.01242.x
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The Effect of Solicitation and Independence on Corporate Bond Ratings.
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- Journal of Business Finance & Accounting, 2004, v. 31, n. 9/10, p. 1327, doi. 10.1111/j.0306-686X.2004.00576.x
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Are Stocks Riskier over the Long Run? Taking Cues from Economic Theory.
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- Review of Financial Studies, 2018, v. 31, n. 2, p. 556, doi. 10.1093/rfs/hhx079
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Design of Financial Securities: Empirical Evidence from Private-Label RMBS Deals.
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- Review of Financial Studies, 2017, v. 30, n. 1, p. 120, doi. 10.1093/rfs/hhw056
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Does the Market Understand Rating Shopping? Predicting MBS Losses with Initial Yields.
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- Review of Financial Studies, 2016, v. 29, n. 2, p. 457, doi. 10.1093/rfs/hhv067
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The Worst, the Best, Ignoring All the Rest: The Rank Effect and Trading Behavior.
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- Review of Financial Studies, 2015, v. 28, n. 4, p. 1024, doi. 10.1093/rfs/hhu079
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Discussion of The Determination of Long-Term Credit Standing with Financial Ratios.
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- Journal of Accounting Research (Wiley-Blackwell), 1966, v. 4, n. 3, p. 63, doi. 10.2307/2490169
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Competition and Coalition among Underwriters: The Decision to Join a Syndicate.
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- Journal of Finance (Wiley-Blackwell), 2004, v. 59, n. 5, p. 2421, doi. 10.1111/j.1540-6261.2004.00704.x
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Analyzing the Analysts: When Do Recommendations Add Value?
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- Journal of Finance (Wiley-Blackwell), 2004, v. 59, n. 3, p. 1083, doi. 10.1111/j.1540-6261.2004.00657.x
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Return, Risk, and Yield: Evidence from Ex Ante Data.
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- Journal of Finance (Wiley-Blackwell), 1985, v. 40, n. 2, p. 537, doi. 10.1111/j.1540-6261.1985.tb04971.x
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Portfolio Analysis Using Single Index, Multi-Index, and Constant Correlation Models: A Unified Treatment.
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- Journal of Finance (Wiley-Blackwell), 1984, v. 39, n. 5, p. 1469, doi. 10.1111/j.1540-6261.1984.tb04918.x
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A New Approach to Testing Asset Pricing Models: The Bilinear Paradigm.
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- Journal of Finance (Wiley-Blackwell), 1983, v. 38, n. 3, p. 711, doi. 10.1111/j.1540-6261.1983.tb02498.x
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- Article
Simple Rules for Optimal Portfolio Selection In Stable Paretian Markets.
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- Journal of Finance (Wiley-Blackwell), 1979, v. 34, n. 4, p. 1041, doi. 10.1111/j.1540-6261.1979.tb03457.x
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ON THE ASSESSMENT OF RISK: SOME FURTHER CONSIDERATIONS.
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- Journal of Finance (Wiley-Blackwell), 1974, v. 29, n. 5, p. 1491, doi. 10.1111/j.1540-6261.1974.tb03130.x
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- Article
TOWARD A MORE PERFECT SUBSTITUTE: HOW PRESSURE ON THE ISSUERS OF PRIVATE-LABEL MORTGAGE-BACKED SECURITIES CAN IMPROVE THE ACCURACY OF RATINGS.
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- Boston University Law Review, 2013, v. 93, n. 6, p. 1905
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- Article
On the information content of ratings: an analysis of the origin of Moody's stock and bond ratings.
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- Financial History Review, 2011, v. 18, n. 2, p. 155, doi. 10.1017/S0968565011000072
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- Article
Structured Finance in Colombia: Experience and Lessons.
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- Journal of Structured Finance, 2013, v. 19, n. 1, p. 77, doi. 10.3905/jsf.2013.19.1.077
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- Article
Untitled.
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- Journal of Structured Finance, 2013, v. 19, n. 1, p. 2
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