3849 results in Journal of Financial and Quantitative Analysis
Can Mutual Fund Managers Pick Stocks? Evidence from Their Trades Prior to Earnings Announcements
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 5 / October 2010
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- 02 August 2010, pp. 1111-1131
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- October 2010
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JFQ volume 45 issue 4 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 21 October 2010, pp. f1-f5
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- August 2010
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JFQ volume 45 issue 4 Cover and Back matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 21 October 2010, pp. b1-b9
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- August 2010
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Arbitrage Risk and Stock Mispricing
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 17 September 2010, pp. 907-934
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- August 2010
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Longer-Term Time-Series Volatility Forecasts
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 02 July 2010, pp. 1055-1076
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- August 2010
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Multiple Risky Assets, Transaction Costs, and Return Predictability: Allocation Rules and Implications for U.S. Investors
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 02 July 2010, pp. 1015-1053
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- August 2010
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Cross-Sectional Return Dispersion and Time Variation in Value and Momentum Premiums
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 02 July 2010, pp. 987-1014
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- August 2010
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Rational Cross-Sectional Differences in Market Efficiency: Evidence from Mutual Fund Returns
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 02 July 2010, pp. 847-881
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- August 2010
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Estimating the Equity Premium
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 08 June 2010, pp. 813-846
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- August 2010
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Behavioral and Rational Explanations of Stock Price Performance around SEOs: Evidence from a Decomposition of Market-to-Book Ratios
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 08 June 2010, pp. 935-958
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- August 2010
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Stock Returns and the Volatility of Liquidity
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 08 June 2010, pp. 1077-1110
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- August 2010
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Idiosyncratic Risk, Long-Term Reversal, and Momentum
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 08 June 2010, pp. 883-906
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- August 2010
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Incorporating Economic Objectives into Bayesian Priors: Portfolio Choice under Parameter Uncertainty
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 4 / August 2010
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- 08 June 2010, pp. 959-986
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- August 2010
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JFQ volume 45 issue 3 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 3 / June 2010
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- 30 July 2010, pp. f1-f4
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- June 2010
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JFQ volume 45 issue 3 Cover and Back matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 3 / June 2010
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- 30 July 2010, pp. b1-b9
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- June 2010
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Market Feedback and Equity Issuance: Evidence from Repeat Equity Issues
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 3 / June 2010
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- 28 April 2010, pp. 739-762
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- June 2010
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Prospect Theory and the Disposition Effect
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 3 / June 2010
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- 28 April 2010, pp. 791-812
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- June 2010
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The Response of Corporate Financing and Investment to Changes in the Supply of Credit
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 3 / June 2010
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- 28 April 2010, pp. 555-587
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- June 2010
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JFQ volume 45 issue 2 Cover and Back matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 2 / April 2010
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- 27 May 2010, pp. b1-b6
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- April 2010
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JFQ volume 45 issue 2 Cover and Front matter
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- Journal of Financial and Quantitative Analysis / Volume 45 / Issue 2 / April 2010
- Published online by Cambridge University Press:
- 27 May 2010, pp. f1-f4
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- April 2010
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