Works matching IS 00221090 AND DT 2015 AND VI 50 AND IP 6
Results: 13
JFQ volume 50 issue 6 Cover and Back matter.
- Published in:
- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. b1, doi. 10.1017/S0022109016000119
- Publication type:
- Article
JFQ volume 50 issue 6 Cover and Front matter.
- Published in:
- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. f1, doi. 10.1017/S0022109016000107
- Publication type:
- Article
Heterogeneity in Beliefs and Volatility Tail Behavior.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1389, doi. 10.1017/S0022109015000642
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- Article
Did TARP Banks Get Competitive Advantages?
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1199, doi. 10.1017/S0022109015000630
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- Publication type:
- Article
Liquidity Biases and the Pricing of Cross-Sectional Idiosyncratic Volatility around the World.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1269, doi. 10.1017/S0022109015000605
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- Article
Skin in the Game versus Skimming the Game: Governance, Share Restrictions, and Insider Flows.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1293, doi. 10.1017/S0022109015000587
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- Article
Is Momentum an Echo?
- Published in:
- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1237, doi. 10.1017/S0022109015000575
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- Article
Trading Patterns and Market Integration in Overlapping Experimental Asset Markets.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1473, doi. 10.1017/S0022109015000563
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- Article
Lending Relationships and the Effect of Bank Distress: Evidence from the 2007–2009 Financial Crisis.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1165, doi. 10.1017/S0022109015000551
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- Publication type:
- Article
Parameter Uncertainty in Multiperiod Portfolio Optimization with Transaction Costs.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1443, doi. 10.1017/S002210901500054X
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- Article
Conflicts in Bankruptcy and the Sequence of Debt Issues.
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- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1353, doi. 10.1017/S0022109015000538
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- Publication type:
- Article
Improving Mean Variance Optimization through Sparse Hedging Restrictions.
- Published in:
- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1415, doi. 10.1017/S0022109015000526
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- Publication type:
- Article
The Role of Activist Hedge Funds in Financially Distressed Firms.
- Published in:
- Journal of Financial & Quantitative Analysis, 2015, v. 50, n. 6, p. 1321, doi. 10.1017/S0022109015000435
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- Publication type:
- Article