The Journal of Finance


ISSN: 0022-1082        年代:1978
当前卷期:Volume 33  issue 5     [ 查看所有卷期 ]

年代:1978
 
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     Volume 33  issue 5
1. DEFAULT RISK UNDER ALTERNATIVE MORTGAGE INSTRUMENTS
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1279-1296

Kerry D. Vandell,  

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2. CORPORATE DEBT DECISIONS: A NEW ANALYTICAL FRAMEWORK
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1297-1315

John Caks,  

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3. PROJECT VALUATION WITH MEAN‐REVERTING CASH FLOW STREAMS
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1317-1331

Sudipto Bhattacharya,  

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4. PRICING OF WARRANTS AND THE VALUE OF THE FIRM
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1333-1342

Dan Galai,   Meir I. Schneller,  

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5. THE SEASONING PROCESS OF NEW CORPORATE BOND ISSUES
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1343-1354

Mark I. Weinstein,  

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6. TEMPORARY TRADING SUSPENSIONS IN INDIVIDUAL NYSE SECURITIES
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1355-1373

Michael H. Hopewell,   Arthur L. Schwartz,  

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7. “ARE BETAS BEST?”†
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1375-1384

Edwin J. Elton,   Martin J. Gruber,   Thomas J. Urich,  

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8. SOME DIRECT EVIDENCE ON THE DIVIDEND CLIENTELE PHENOMENON
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1385-1399

Wilbur G. Lewellen,   Kenneth L. Stanley,   Ronald C. Lease,   Gary G. Schlarbaum,  

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9. PERCEIVED RISK AND CAPITAL ASSET PRICING
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1401-1424

Arthur E. Gooding,  

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10. AN EXAMINATION OF THE EFFECTS OF INTERNATIONAL DIVERSIFICATION FROM THE BRITISH VIEWPOINT ON BOTH HYPOTHETICAL AND REAL PORTFOLIOS
  The Journal of Finance,   Volume  33,   Issue  5,   1978,   Page  1425-1438

James R. F. Guy,  

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