The Journal of Finance


ISSN: 0022-1082        年代:1978
当前卷期:Volume 33  issue 2     [ 查看所有卷期 ]

年代:1978
 
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1. THE INSIGNIFICANCE OF BANKRUPTCY COSTS TO THE THEORY OF OPTIMAL CAPITAL STRUCTURE
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  383-393

Robert A. Haugen,   Lemma W. Senbet,  

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2. THE EQUIVALENCE OF ALTERNATIVE MEAN‐VARIANCE CAPITAL BUDGETING MODELS
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  395-401

Lemma W. Senbet,   Howard E. Thompson,  

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3. EVALUATING INVESTMENTS IN ACCOUNTS RECEIVABLE: A WEALTH MAXIMIZING FRAMEWORK
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  403-412

Yong H. Kim,   Joseph C. Atkins,  

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4. CAPITAL MARKETS AND THE SHORT RUN BEHAVIOR OF LIFE CYCLE SAVERS
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  413-428

Walter Dolde,  

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5. THE COMMON‐STOCK‐PORTFOLIO PERFORMANCE RECORD OF INDIVIDUAL INVESTORS: 1964–70
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  429-441

Gary G. Schlarbaum,   Wilbur G. Lewellen,   Ronald C. Lease,  

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6. THE PERFORMANCE OF THE BRITISH INVESTMENT TRUST INDUSTRY
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  443-455

James R. F. Guy,  

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7. ESTIMATION OF TIME‐VARYING SYSTEMATIC RISK AND PERFORMANCE FOR MUTUAL FUND PORTFOLIOS: AN APPLICATION OF SWITCHING REGRESSION
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  457-475

Stanley J. Kon,   Frank C. Jen,  

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8. COMMISSION COST STRUCTURE: SHIFTS AND SCALE ECONOMIES
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  477-486

Robert O. Edmister,  

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9. MARKETPLACE ORGANIZATION AND MARKETABILITY: NASDAQ, THE STOCK EXCHANGE, AND THE NATIONAL MARKET SYSTEM
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  487-503

James L. Hamilton,  

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10. VALUATION CONSEQUENCES OF CASH TENDER OFFERS
  The Journal of Finance,   Volume  33,   Issue  2,   1978,   Page  505-516

Donald R. Kummer,   J. Ronald Hoffmeister,  

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