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221.
An analytical model of bond risk differentials by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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222.
A note on the use of the two-stage least squares estimator in financial models by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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223.
The consideration of coupon levels, taxes, reinvestment rates, and maturity in the investment management of financial institutions by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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224.
Exchange-rate flexibility and the efficiency of the foreign-exchange markets by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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225.
An estimate of convertible bond premiums: comment by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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226.
Measures of risk aversion: some clarifying comments by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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227.
Announcements
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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228.
Optimal financial policy in imperfect markets by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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229.
A note of accounting-based and market-based estimates of systematic risk by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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230.
Intertemporal differences in systematic stock price movements by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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231.
The association between market-determined and accounting-determined measures of systematic risk: some further evidence by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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232.
Error-learning in the eurodollar market by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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233.
Abstract- the efficient market hypothesis and the value of traditional security analysis by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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234.
Corporate international diversification and market assigned measures of risk and diversification by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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235.
Efficient algorithms for conducting stochastic dominance tests on large numbers of portfolios: reply by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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236.
Abstract-the determinants of savings and loan profitability by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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237.
A managerial orientation in the first finance course by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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238.
Bank holding companies and financial stability by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1975
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239.
Abstract-a multivariate analysis of relationships between a company's liquidity position and common stock price by
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Publication details: 1975
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240.
Discussion: should large banks be allowed to fail? by
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Publication details: 1975
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