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421.
Nonparametric tests of models of investor-behavior by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 1983
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422.
Capital market equilibrium with divergent investment horizon length assumptions by
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Publication details: 1983
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423.
Abnormal returns from merger profiles by
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Publication details: 1983
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424.
An empirical test of the redistribution effect in pure exchange mergers by
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Publication details: 1983
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425.
Geometric mean approximations by
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Publication details: 1983
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426.
The use of risk and return models for multiattribute by
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Publication details: 1983
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427.
A canonical correlation analysis of commercial bank asset/liability structures by
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Publication details: 1983
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428.
On the estimation risk in first-order stochastic dominance: a note by
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Publication details: 1983
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429.
Vol.18 index
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Publication details: 1983
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430.
Expectations of real interest rates and aggregate consumption: empirical tests by
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Publication details: 1983
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431.
A mechanism for the allocation of corporate investment by
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Publication details: 1983
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432.
A reexamination of the empirical relationship between investment and financing decisions by
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Publication details: 1983
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433.
Treasurer's report
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Publication details: 1983
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434.
The impact of the New York city fiscal crisis on the interest cost of new issue municipal bonds by
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Publication details: 1983
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435.
The modigliani-miller leverage equation considered in a product market context by
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Publication details: 1983
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436.
Information dissemination and portfolio choice by
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Publication details: 1983
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437.
On estimates of long-run rates of return: a note by
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Publication details: 1983
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438.
General factor models and the structure of security returns by
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Publication details: 1983
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439.
Bond price dynamics and options by
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Publication details: 1983
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440.
Fixed rate loan commitments, take-down risk, and the dynamics of hedging with futures by
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Publication details: 1983
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