The Journal of Finance


ISSN: 0022-1082        年代:1972
当前卷期:Volume 27  issue 5     [ 查看所有卷期 ]

年代:1972
 
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     Volume 27  issue 5
1. DIVIDEND ANNOUNCEMENTS, SECURITY PERFORMANCE, AND CAPITAL MARKET EFFICIENCY
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  993-1007

R. Richardson Pettit,  

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2. BASIC METHODS FOR DISTRIBUTING SPECIAL DRAWING RIGHTS AND THE PROBLEM OF INTERNATIONAL AID
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1009-1222

Herbert G. Grubel,  

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3. THE EFFECT OF DEPOSIT RATE CEILINGS ON AGGREGATE INCOME
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1023-1034

Gordon Pye,   Ian Young,  

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4. POLYNOMIAL DISTRIBUTED LAG STRUCTURES IN THE DEMAND FUNCTION FOR MONEY
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1035-1043

Harold D. Dickson,   Dennis R. Starleaf,  

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5. FINDING THE OPTIMAL MONETARY STRATEGY WITH INFORMATION CONSTRAINTS
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1045-1056

Thomas Havrilesky,  

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6. OPTIMAL FINANCING AND CAPITAL STRUCTURE PROGRAMS FOR THE FIRM
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1057-1071

Clement G. Krouse,  

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7. HOW TO INTEGRATE CORPORATE AND PERSONAL INCOME TAXATION
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1073-1080

Eli Schwartz,   J. Richard Aronson Aronson,  

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8. THE IMPACT OF UNANTICIPATED CHANGES IN INFLATION ON THE VALUE OF COMMON STOCKS
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1081-1092

James C. Van Horne,   William F. Glassmire,  

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9. A NOTE ON INVESTMENT EVALUATIONS IN LIGHT OF UNCERTAIN FUTURE OPPORTUNITIES
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1093-1100

Bernhard Schwab,   Peter Lusztig,  

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10. PROJECTING MARKET STRUCTURE BY MONTE CARLO SIMULATION: A STUDY OF BANK EXPANSION IN NEW JERSEY
  The Journal of Finance,   Volume  27,   Issue  5,   1972,   Page  1101-1126

George R. Juncker,   George S. Oldfield,  

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