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An Exploratory Econometric Model of Financial Markets JOURNAL ARTICLE published September 1969 in The Journal of Financial and Quantitative Analysis |
Comment: Financial and Statistical Analysis for Commercial Loan Evaluation: A French Experience JOURNAL ARTICLE published March 1974 in The Journal of Financial and Quantitative Analysis |
On the Use of a Covariance Function in a Portfolio Model JOURNAL ARTICLE published June 1983 in The Journal of Financial and Quantitative Analysis |
Announcement JOURNAL ARTICLE published March 1982 in Journal of Financial and Quantitative Analysis |
The Discount Rate Problem in Capital Rationing Situations: Reply JOURNAL ARTICLE published June 1970 in The Journal of Financial and Quantitative Analysis |
Generalized Functional Form for Mutual Fund Returns JOURNAL ARTICLE published December 1980 in The Journal of Financial and Quantitative Analysis |
A Note on the Use of the Two-Stage Least Squares Estimator in Financial Models JOURNAL ARTICLE published March 1975 in The Journal of Financial and Quantitative Analysis |
Industry Effects and Multivariate Stock Price Behavior JOURNAL ARTICLE published November 1976 in The Journal of Financial and Quantitative Analysis |
December 1971 Special Issue JOURNAL ARTICLE published March 1971 in Journal of Financial and Quantitative Analysis |
Can Corporate Income Tax Cuts Stimulate Innovation? - ERRATUM JOURNAL ARTICLE published August 2020 in Journal of Financial and Quantitative Analysis |
Abstract--The Determinants of Savings and Loan Profitability JOURNAL ARTICLE published November 1975 in The Journal of Financial and Quantitative Analysis |
A Comparison of Growth Optimal and Mean Variance Investment Policies JOURNAL ARTICLE published March 1981 in The Journal of Financial and Quantitative Analysis |
Continuous Financial Processes JOURNAL ARTICLE published June 1968 in The Journal of Financial and Quantitative Analysis |
JFQ volume 40 issue 3 Front matter JOURNAL ARTICLE published September 2005 in Journal of Financial and Quantitative Analysis |
Simple Rules for Optimal Portfolio Selection: The Multi Group Case JOURNAL ARTICLE published September 1977 in The Journal of Financial and Quantitative Analysis |
An Analytical Model of Bond Risk Differentials: A Comment JOURNAL ARTICLE published June 1978 in The Journal of Financial and Quantitative Analysis |
JFQ volume 8 issue 2 Back matter JOURNAL ARTICLE published March 1973 in Journal of Financial and Quantitative Analysis |
Minutes of the Annual Meeting JOURNAL ARTICLE published November 1975 in Journal of Financial and Quantitative Analysis |
By-Laws JOURNAL ARTICLE published November 1975 in Journal of Financial and Quantitative Analysis |
The Consideration of Coupon Levels, Taxes, Reinvestment Rates, and Maturity in the Investment Management of Financial Institutions JOURNAL ARTICLE published March 1975 in The Journal of Financial and Quantitative Analysis |