3849 results in Journal of Financial and Quantitative Analysis
Borrowing, Short-Sales, Consumer Default, and the Creation of New Assets
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 255-273
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- June 1979
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A Comparison of Relative Predictive Power for Financial Models of Rates of Return
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 293-315
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- June 1979
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The Effects of Changing Macroeconomic Conditions on the Parameters of the Single Index Market Model
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 351-360
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- June 1979
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A Reexamination of the Ex Post Risk-Return Tradeoff on Common Stocks
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 395-419
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- June 1979
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Composite Measures for the Evaluation of Investment Performance
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 361-384
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- June 1979
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On the Portfolio Effects of Nonmarketable Assets: Government Transfers and Human Capital Payments
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 167-177
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- June 1979
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Effects of Purchasing Power Risk on Portfolio Demand for Money
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 243-254
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- June 1979
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An Analytical Comparison of Variance and Semivariance Capital Market Theories
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 221-242
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- June 1979
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The Effect of Estimation Risk on Capital Market Equilibrium
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 215-220
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- June 1979
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A More General Sufficient Condition for A Unique Nonnegative Internal Rate of Return
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 337-341
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- June 1979
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Measuring Bond Price Volatility
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 343-349
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- June 1979
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Announcement
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 451-453
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- June 1979
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A Formal Dynamic Model of Market Making
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 275-291
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- June 1979
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A Note on the Suboptimality of Dollar-Cost Averaging as an Investment Policy
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 443-450
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- June 1979
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A General Test of a Filter Effect
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 2 / June 1979
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- 06 April 2009, pp. 385-394
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- June 1979
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The Empirical Relationship Between Investment and Financing: A New Look
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 1 / March 1979
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- 06 April 2009, pp. 119-135
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- March 1979
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Implementation of Large-Scale Financial Planning Models: Solution Efficient Transformations
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 1 / March 1979
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- 06 April 2009, pp. 137-152
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- March 1979
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Investment Performance and Investor Behavior
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 1 / March 1979
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- 06 April 2009, pp. 29-57
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- March 1979
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Equivalent Risk Classes: A Multidimensional Examination
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 1 / March 1979
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- 06 April 2009, pp. 101-118
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- March 1979
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The Implications of Recursiveness in Capital Markets–Theory and Empirical Tests
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- Journal of Financial and Quantitative Analysis / Volume 14 / Issue 1 / March 1979
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- 06 April 2009, pp. 59-76
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- March 1979
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