3849 results in Journal of Financial and Quantitative Analysis
Estimation Risk in the Portfolio Selection Model: A Comment
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1423-1424
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- January 1972
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Control, Size, Growth, and Financial Performance in the Firm
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1309-1320
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- January 1972
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A Note on the Flow of Capital in Outstanding Common and Preferred Shares between Canada and the United States
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1425-1427
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- January 1972
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Decentralization on the Basis of Price Schedules in Linear Decomposable Resource-Allocation Problems
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1407-1417
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- January 1972
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Rates of Return to Stockholders of Acquired Companies
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1387-1398
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- January 1972
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An Investment Paradox
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1421-1422
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- January 1972
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Dimensional Analysis and the Interpretation of Regression Coefficients
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1399-1406
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- January 1972
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Odd-Lot Trading in the Stock Market and Its Market Impact
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- Journal of Financial and Quantitative Analysis / Volume 7 / Issue 1 / January 1972
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- 19 October 2009, pp. 1321-1341
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- January 1972
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JFQ volume 6 issue 5 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. f1-f5
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- December 1971
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Rate Regulation and the Cost of Capital in the Insurance Industry
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1283-1305
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- December 1971
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Portfolio Selection: The Effects of Uncertain Means, Variances, and Covariances
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1251-1262
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- December 1971
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Two Problems in Portfolio Analysis: Conditional and Multiplicative Random Variables*
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1235-1250
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- December 1971
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Capital Market Equilibrium with Divergent Borrowing and Lending Rates
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1197-1205
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- December 1971
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A Linear Programming Approximation for the General Portfolio Analysis Problem
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1263-1275
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- December 1971
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The Effect of Short Selling and Margin Requirements in Perfect Capital Markets
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1173-1195
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- December 1971
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Efficient Portfolio Selections beyond the Markowitz Frontier
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1207-1234
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- December 1971
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A Note on Geometric Mean Portfolio Selection and the Market Prices of Equities
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1277-1282
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- December 1971
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Announcement
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, p. 1307
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- December 1971
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Index
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 5 / December 1971
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- 19 October 2009, pp. 1308-1312
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- December 1971
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A Note on Evaluating Liquidity under Conditions of Uncertainty in Mutual Savings Banks
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- Journal of Financial and Quantitative Analysis / Volume 6 / Issue 4 / September 1971
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- 19 October 2009, pp. 1165-1169
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- September 1971
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