-
1
-
-
0010023511
-
The relationship between return and market value of common stocks
-
Banz R.W. The relationship between return and market value of common stocks. Journal of Financial Economics. 9:1981;3-18.
-
(1981)
Journal of Financial Economics
, vol.9
, pp. 3-18
-
-
Banz, R.W.1
-
4
-
-
0000000839
-
Split information stock returns and market efficiency -I
-
Charest G. Split information stock returns and market efficiency -I. Journal of Financial Economics. 6:1978;265-296.
-
(1978)
Journal of Financial Economics
, vol.6
, pp. 265-296
-
-
Charest, G.1
-
6
-
-
0011544567
-
Dances with bulls
-
April
-
Dances with bulls. The Economist. 1991, April;77-78.
-
(1991)
The Economist
, pp. 77-78
-
-
-
7
-
-
0011542714
-
Leverage decisions and the effect of corporate eurobond offerings
-
Deshpande S.D., Philippatos G.C. Leverage decisions and the effect of corporate eurobond offerings. Applied Economics. 20:1988;901-915.
-
(1988)
Applied Economics
, vol.20
, pp. 901-915
-
-
Deshpande, S.D.1
Philippatos, G.C.2
-
8
-
-
0004829270
-
Event study methodologies and the size effect: The case of UK press recommendations
-
Dimson E., Marsh P. Event study methodologies and the size effect: The case of UK press recommendations. Journal of Financial Economics. 17:1986;113-142.
-
(1986)
Journal of Financial Economics
, vol.17
, pp. 113-142
-
-
Dimson, E.1
Marsh, P.2
-
9
-
-
0000755878
-
Valuation effects of corporate debt offerings
-
Eckbo E. Valuation effects of corporate debt offerings. Journal of Financial Economics. 15:1986;119-151.
-
(1986)
Journal of Financial Economics
, vol.15
, pp. 119-151
-
-
Eckbo, E.1
-
10
-
-
0003006010
-
The determinants of yield spreads on U.S. and Eurobonds
-
Finnerty J., Nunn K.P. The determinants of yield spreads on U.S. and Eurobonds. Management International Review. 25:1985;23-33.
-
(1985)
Management International Review
, vol.25
, pp. 23-33
-
-
Finnerty, J.1
Nunn, K.P.2
-
13
-
-
21144463793
-
Investing abroad: A review of capital market integration and manager performance
-
Halpern P. Investing abroad: A review of capital market integration and manager performance. The Journal of Portfolio Management. 19:1993;47-57.
-
(1993)
The Journal of Portfolio Management
, vol.19
, pp. 47-57
-
-
Halpern, P.1
-
15
-
-
34248316637
-
The Eurobond market and corporate financial policy: A test of the clientele hypothesis
-
Kim Y.C., Stulz R.M. The Eurobond market and corporate financial policy: A test of the clientele hypothesis. Journal of Financial Economics. 15:1988;189-206.
-
(1988)
Journal of Financial Economics
, vol.15
, pp. 189-206
-
-
Kim, Y.C.1
Stulz, R.M.2
-
16
-
-
0011596897
-
Is there a global market for convertible bonds?
-
Kim Y.C., Stulz R.M. Is there a global market for convertible bonds? Journal of Business. 65:1992;75-91.
-
(1992)
Journal of Business
, vol.65
, pp. 75-91
-
-
Kim, Y.C.1
Stulz, R.M.2
-
18
-
-
0011544818
-
The persistent borrowing advantage in eurodollar bonds: A plausible explanation
-
Marr M.W., Trimble J. The persistent borrowing advantage in eurodollar bonds: A plausible explanation. Journal of Applied Corporate Finance. 1:1988;65-70.
-
(1988)
Journal of Applied Corporate Finance
, vol.1
, pp. 65-70
-
-
Marr, M.W.1
Trimble, J.2
-
19
-
-
33747078364
-
Valuation effects of security offerings and the issuance process
-
Mikkelson W.H., Partch M.M. Valuation effects of security offerings and the issuance process. Journal of Financial Economics. 15:1986;31-60.
-
(1986)
Journal of Financial Economics
, vol.15
, pp. 31-60
-
-
Mikkelson, W.H.1
Partch, M.M.2
-
20
-
-
0000848950
-
Empirical anomalies based on unexpected earnings and the importance of risk adjustment
-
Rendleman R.J., Jones C.P., Latane H.A. Empirical anomalies based on unexpected earnings and the importance of risk adjustment. Journal of Financial Economics. 10:1982;269-287.
-
(1982)
Journal of Financial Economics
, vol.10
, pp. 269-287
-
-
Rendleman, R.J.1
Jones, C.P.2
Latane, H.A.3
-
22
-
-
0011671122
-
Uses of indexes and data bases for information release analysis
-
Wright C.J., Groff J.E. Uses of indexes and data bases for information release analysis. Accounting Review. 1986;91-100.
-
(1986)
Accounting Review
, pp. 91-100
-
-
Wright, C.J.1
Groff, J.E.2
|