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7,329 results on '"RATE of return"'

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51. Equilibrium Underdiversification and the Preference for Skewness.

52. A Binomial Lattice Method for Pricing Corporate Debt and Modeling Chapter 11 Proceedings.

53. Asset Pricing Implications of Firms' Financing Constraints.

54. Pension Plan Funding and Stock Market Efficiency.

55. The Limits of Investor Behavior.

56. Currency Returns, Intrinsic Value, and Institutional-Investor Flows.

57. Scale Factor, R2, and the Choice of Levels versus Returns Models.

58. Return on Investment Implications for Pharmaceutical Promotional Expenditures: The Role of Marketing-Mix Interactions.

59. THE USE OF AN AUTOMATED EMPLOYMENT RECRUITING AND SCREENING SYSTEM FOR TEMPORARY PROFESSIONAL EMPLOYEES: A CASE STUDY.

60. DO REAL OPTIONS LEAD TO ESCALATION OF COMMITMENT?

61. Model Misspecification and Underdiversification.

62. The Wealth Effects of Repurchases on Bondholders.

64. Rising wealth inequality: Intergenerational links, entrepreneurship, and the decline in interest rate

65. The Externalities of Fire Sales: Evidence from Collateralized Loan Obligations

66. The Delisting Bias in CRSP's Nasdaq Data and Its Implications for the Size Effect.

67. THE INVESTMENT EFFICIENCY OF THE SELECTED FOOD INDUSTRY COMPANIES LISTED ON THE WARSAW STOCK EXCHANGE IN THE YEARS 2007-2017.

68. Building a stakeholder-led common vision increases the expected cost-effectiveness of biodiversity conservation.

69. RUNAWAY CAPITALISM.

70. Prioritizing land for investments based on short- and long-term land potential and degradation risk: A strategic approach.

71. Asset pricing implications of good governance.

72. Portfolio Optimization With a Guaranteed Minimum Maturity Benefit and Risk-Adjusted Fees

73. Does branch network size influence positively the management performance of Japanese regional banks?

74. Long Run Stock Returns after Corporate Events Revisited

75. Aggregate consumption and wealth in the long run

76. Nonlinearities in the Impact of Industry Structure: the Case of Concentration and Intra-industry Variability in Rates in Return.

77. Revitalizing the Human Resource Management Function in a Mature, Large Corporation.

78. Positively Weighted Portfolios on the Minimum-Variance Frontier.

79. The Effects of Different Taxes on Risky and Risk-free Investment and on the Cost of Capital.

80. Depositors' Welfare, Deposit Insurance, and Deregulation.

81. New Tests of the APT and Their Implications.

82. Corporate Combinations and Common Stock Returns: The Case of Joint Ventures.

83. Returns to Speculators and the Theory of Normal Backwardation.

84. Risk Aversion and Arbitrage.

85. The Effect of Voluntary Sell-off Announcements on Shareholder Wealth.

86. An Investigation of Commodity Futures Prices Using the Consumption-Based Intertemporal Capital Asset Pricing Model.

87. Government Bond Returns, Measurement of Interest Rate Risk, and the Arbitrage Pricing Theory.

88. Stock Returns, Inflation, and Economic Activity: The Survey Evidence.

89. The Valuation of Options When Asset Returns Are Generated by a Binomial Process.

90. On Testing the Arbitrage Pricing Theory: Inter-Battery Factor Analysis.

91. Mean-Gini, Portfolio Theory, and the Pricing of Risky Assets.

92. Shareholder Benefits from Corporate International Diversification.

93. Earnings and Dividend Announcements: Is There a Corroboration Effect?

94. Anomalies in Security Returns and the Specification of the Market Model.

95. Investigating the Valuation Effects of Announcements of Voluntary Corporate Selloffs.

96. A Critical Reexamination of the Empirical Evidence on the Arbitrage Pricing Theory.

97. Dealer Bid-Ask Quotes and Transaction Prices: An Empirical Study of Some AMEX Options.

98. Taxation of Interest Income, Deregulation and the Banking Industry.

99. International Portfolio Choice and Corporation Finance: A Synthesis.

100. Flotation Cost Allowance in Rate of Return Regulation: A Comment.

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