The Journal of Finance


ISSN: 0022-1082        年代:1975
当前卷期:Volume 30  issue 1     [ 查看所有卷期 ]

年代:1975
 
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1. OPTIMAL INTERNATIONAL ACQUISITIONS
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  1-19

Michael Adler,   Bernard Dumas,  

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2. A MULTIVARIATE STATISTICAL ANALYSIS OF THE CHARACTERISTICS OF PROBLEM BANKS
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  21-36

Joseph F. Sinkey,  

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3. IMPROVING THE SELECTION OF CREDIT RISKS: AN ANALYSIS OF A COMMERCIAL BANK MINORITY LENDING PROGRAM
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  37-55

Robert H. Edelstein,  

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4. DETERMINANTS OF THE UNITED STATES CURRENCY‐DEMAND DEPOSIT RATIO
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  57-74

William E. Becker,  

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5. A MULTIPERIOD ADJUSTMENT MODEL FOR THE FIRM'S CAPITAL STRUCTURE
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  75-91

Baruch Lev,   Dov Pekelman,  

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6. CORPORATE BANKRUPTCY AND CONGLOMERATE MERGER
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  93-113

Robert C. Higgins,   Lawrence D. Schall,  

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7. MARKET‐MAKING AND THE ASSESSMENT OF MARKET EFFICIENCY
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  115-123

Dennis E. Logue,  

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8. PLAYING WITH PORTFOLIOS
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  125-134

R. A. Brealey,   S. D. Hodges,  

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9. SOME CONSEQUENCES OF THE VALUATION MODEL WHEN EXPECTATIONS ARE TAKEN TO BE OPTIMUM FORECASTS*
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  135-145

Clive W. J. Granger,  

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10. THE EFFECT OF MARKET RISK ON PORTFOLIO DIVERSIFICATION
  The Journal of Finance,   Volume  30,   Issue  1,   1975,   Page  147-154

Robert C. Klemkosky,   John D. Martin,  

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