3849 results in Journal of Financial and Quantitative Analysis
The Stock-Bond Return Relation, the Term Structure’s Slope, and Asset-Class Risk Dynamics
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 3 / June 2014
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- 12 May 2014, pp. 699-724
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- June 2014
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Transparency and Financing Choices of Family Firms
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 27 May 2014, pp. 381-408
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- April 2014
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Managerial Incentives, Risk Aversion, and Debt
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 23 May 2014, pp. 453-481
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- April 2014
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How Does the Market Value Toxic Assets?
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 23 April 2014, pp. 297-319
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- April 2014
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Solvency Constraint, Underdiversification, and Idiosyncratic Risks
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 13 May 2014, pp. 409-430
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- April 2014
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JFQ volume 49 issue 2 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 10 October 2014, pp. f1-f5
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- April 2014
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JFQ volume 49 issue 2 Cover and Back matter
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 10 October 2014, pp. b1-b8
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- April 2014
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Individual Investors and Broker Types
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 09 June 2014, pp. 431-451
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- April 2014
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Financial Expertise of the Board, Risk Taking, and Performance: Evidence from Bank Holding Companies
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 13 May 2014, pp. 351-380
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- April 2014
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Leaders, Followers, and Risk Dynamics in Industry Equilibrium
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 04 June 2014, pp. 321-349
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- April 2014
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Who Gains from Buying Bad Bidders?
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 31 March 2014, pp. 513-540
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- April 2014
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Asset Specificity, Industry-Driven Recovery Risk, and Loan Pricing
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 3 / June 2014
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- 13 March 2014, pp. 599-631
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- June 2014
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Interest Rate Risk and the Cross Section of Stock Returns
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 2 / April 2014
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- 10 March 2014, pp. 483-511
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- April 2014
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The Role of Growth Options in Explaining Stock Returns
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 3 / June 2014
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- 26 February 2014, pp. 749-771
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- June 2014
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Does the Location of Directors Matter? Information Acquisition and Board Decisions
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 04 March 2014, pp. 131-164
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- February 2014
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Does the Disposition Effect Matter in Corporate Takeovers? Evidence from Institutional Investors of Target Companies
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 07 April 2014, pp. 221-248
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- February 2014
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Local Gambling Preferences and Corporate Innovative Success
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 29 April 2014, pp. 77-106
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- February 2014
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Investing in the “New Economy”: Mutual Fund Performance and the Nature of the Firm
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 04 April 2014, pp. 165-191
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- February 2014
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JFQ volume 49 issue 1 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 21 July 2014, pp. f1-f5
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- February 2014
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The Cross Section of Recovery Rates and Default Probabilities Implied by Credit Default Swap Spreads
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- Journal of Financial and Quantitative Analysis / Volume 49 / Issue 1 / February 2014
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- 11 February 2014, pp. 193-220
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- February 2014
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