3849 results in Journal of Financial and Quantitative Analysis
The Price Elasticity of Discounted Bonds: Some Empirical Evidence
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 559-566
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- September 1978
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Effects of Uncertain and Nonstationary Parameters upon Capital Market Equilibrium Conditions
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 419-433
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- September 1978
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Optimal Equity and Financing Model of Krouse and Lee: Corrections and Extensions
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 487-505
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- September 1978
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A Note on the Leverage Effect on Portfolio Performance Measures
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 567-571
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- September 1978
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A Note on Modeling Simple Dynamic Cash Balance Problem: Errata
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 585-586
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- September 1978
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The Impact of Option Expirations on Stock Prices
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 3 / September 1978
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- 06 April 2009, pp. 507-518
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- September 1978
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Safety-First, Stochastic Dominance, and Optimal Portfolio Choice
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 255-271
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- June 1978
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An Analytical Model of Bond Risk Differentials: A Comment
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 371-377
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- June 1978
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Equivalent Mathematical Programming Models of Pure Capital Rationing
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 345-361
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- June 1978
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Financial Structure and Cost of Capital in the Multinational Corporation
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 211-226
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- June 1978
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The Unique, Real Internal Rate of Return: Caveat Emptor!
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 363-370
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- June 1978
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JFQ volume 13 issue 2 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. f1-f4
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- June 1978
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Optimal Foreign Borrowing Strategies with Operations in Forward Exchange Markets
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 245-254
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- June 1978
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On the Financing and Investment Decisions of Multinational Firms in the Presence of Exchange Risk
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 227-244
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- June 1978
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Effects of Measurement Errors on Systematic Risk and Performance Measure of a Portfolio
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 299-312
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- June 1978
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The Effect of Intervaling on Estimating Parameters of the Capital Asset Pricing Model
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 313-332
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- June 1978
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An Analytical Model of Bond Risk Differentials: A Reply
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 379-381
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- June 1978
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The Inference of Tastes and Beliefs from Bond and Stock Market Data
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 273-297
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- June 1978
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Announcement
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 382-383
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- June 1978
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Some Problems in Applying the Continuous Portfolio Selection Model to the Discrete Capital Budgeting Problem
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- Journal of Financial and Quantitative Analysis / Volume 13 / Issue 2 / June 1978
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- 06 April 2009, pp. 333-344
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- June 1978
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