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301.
On multiperiod stochastic dominance by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1978
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302.
On the boness and black-scholes models for valuation of call options by
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Publication details: 1978
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303.
Announcement
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Publication details: 1978
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304.
Bond portfolio strategy simulations: a critique by
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Publication details: 1978
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305.
Capital asset pricing in a general equilibrium framework by
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Publication details: 1978
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306.
The inference of tastes and beliefs from bond and stock market data by
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Publication details: 1978
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307.
Minority savings and loan associations: hypotheses and tests by
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Publication details: 1978
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308.
Abstract: optimal financial policies under threat of bankruptcy by
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Publication details: 1978
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309.
On the financial application of discriminant analysis: comment by
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Publication details: 1978
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310.
Opec surpluses and world financial stability by
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Publication details: 1978
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311.
Some problems in applying the continuous portfolio selection model to the discrete capital budgeting problem by
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Publication details: 1978
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312.
Discussion: duration and portfolio strategy by
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Publication details: 1978
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313.
Multivariate time series analysis of bank financial behavior by
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Publication details: 1978
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314.
A reevaluation of alternative portfolio selection models applied to common stocks by
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Publication details: 1978
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315.
Further evidence on the stationarity of beta coefficients by
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Publication details: 1978
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316.
A note on bond risk differential by
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Publication details: 1978
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317.
Risk premia on municipal bonds by
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Publication details: 1978
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318.
The impact of option expirations on stock prices by
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Publication details: 1978
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319.
Comment: duration and bond portfolio analysis by
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Publication details: 1978
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320.
General proof of modigliani-miller propositions I and II using parameter-preference theory by
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Publication details: 1978
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