-
1
-
-
84980104458
-
Financial ratios, discriminant analysis and the prediction of corporate bankruptcy
-
September
-
Altman, E. I. (1968). Financial ratios, discriminant analysis and the prediction of corporate bankruptcy. The Journal of Finance, September, 1001-1016.
-
(1968)
The Journal of Finance
, pp. 1001-1016
-
-
Altman, E.I.1
-
3
-
-
77954172491
-
Is ROI really an adequate measure of firm performance?
-
May
-
Ayadi, O. F., & Obi, C. P. (1994). Is ROI really an adequate measure of firm performance? American Business Review, May, 37-48.
-
(1994)
American Business Review
, pp. 37-48
-
-
Ayadi, O.F.1
Obi, C.P.2
-
5
-
-
84965874638
-
Value systems. strategies and performance of small and medium-sized firms
-
Bamberger, I. (1983). Value systems. strategies and performance of small and medium-sized firms. International Small Business Journal, 1(4), 25-39.
-
(1983)
International Small Business Journal
, vol.1
, Issue.4
, pp. 25-39
-
-
Bamberger, I.1
-
6
-
-
84978569932
-
The analysis and use of financial ratios: A review article
-
Barnes, P. (1987). The analysis and use of financial ratios: A review article. Journal of Business Finance and Accounting, 14(4), 449-461.
-
(1987)
Journal of Business Finance and Accounting
, vol.14
, Issue.4
, pp. 449-461
-
-
Barnes, P.1
-
7
-
-
0001632191
-
The association between market determined and accounting determined risk measures
-
Beaver, W., Kettler, P., & Scholes, M. (1970). The association between market determined and accounting determined risk measures. The Accounting Review, 45, 654-682.
-
(1970)
The Accounting Review
, vol.45
, pp. 654-682
-
-
Beaver, W.1
Kettler, P.2
Scholes, M.3
-
8
-
-
84952140931
-
The association between market-determined and accounting-determined measures of systematic risk: Some further evidence
-
June
-
Beaver, W., & Manegold, J. (1975). The association between market-determined and accounting-determined measures of systematic risk: Some further evidence. Journal of Financial and Qantitative Analysis, June, 231-284.
-
(1975)
Journal of Financial and Qantitative Analysis
, pp. 231-284
-
-
Beaver, W.1
Manegold, J.2
-
9
-
-
0002697274
-
Industrial bond ratings: A new look
-
Fall
-
Belkaoui, A. (1980). Industrial bond ratings: A new look. Financial Management, Fall, 44-51.
-
(1980)
Financial Management
, pp. 44-51
-
-
Belkaoui, A.1
-
11
-
-
0010885241
-
The association between a market-determined measure of risk and alternative measures of risk
-
January
-
Bildersee, J. S. (1975). The association between a market-determined measure of risk and alternative measures of risk. The Accounting Review, January, 81-98.
-
(1975)
The Accounting Review
, pp. 81-98
-
-
Bildersee, J.S.1
-
12
-
-
0001366584
-
Capital market equilibrium with restricted borrowing
-
Black, F. (1972). Capital market equilibrium with restricted borrowing. Journal of Business, 45, 444-455.
-
(1972)
Journal of Business
, vol.45
, pp. 444-455
-
-
Black, F.1
-
13
-
-
84977423732
-
The theoretical relationship between systematic risk an financial (accounting) variables
-
Bowman, R. G. (1979). The theoretical relationship between systematic risk an financial (accounting) variables. The Journal of Finance, XXXIV(3), 617-630.
-
(1979)
The Journal of Finance
, vol.34
, Issue.3
, pp. 617-630
-
-
Bowman, R.G.1
-
14
-
-
0000124022
-
The importance af a market-value measurement of debt in assessing leverage
-
Bowman, R. G. (1980). The importance af a market-value measurement of debt in assessing leverage. Journal of Accounting Research, 18(1), 242-254.
-
(1980)
Journal of Accounting Research
, vol.18
, Issue.1
, pp. 242-254
-
-
Bowman, R.G.1
-
15
-
-
0011659218
-
Financial objectives of small firms
-
Cooley, P. L., & Edwards, C. E. (1983). Financial objectives of small firms. American Journal of Small Business, 8(1), 27-31.
-
(1983)
American Journal of Small Business
, vol.8
, Issue.1
, pp. 27-31
-
-
Cooley, P.L.1
Edwards, C.E.2
-
17
-
-
0000275837
-
A discriminant analysis of predictors of business failure
-
Spring
-
Deakin, B. E. (1972). A discriminant analysis of predictors of business failure. Journal of Accounting Research, Spring, 167-179.
-
(1972)
Journal of Accounting Research
, pp. 167-179
-
-
Deakin, B.E.1
-
18
-
-
0010689618
-
Distribution of financial accounting ratios: Some empirical evidence
-
January
-
Deakin, B. E. (1976). Distribution of financial accounting ratios: Some empirical evidence. The Accounting Review, January, 90-96.
-
(1976)
The Accounting Review
, pp. 90-96
-
-
Deakin, B.E.1
-
19
-
-
0037608187
-
Accounting-based risk prediction: A re-examination
-
Elgers, P. T. (1980). Accounting-based risk prediction: A re-examination. The Accounting Review, LV(3), 389-408.
-
(1980)
The Accounting Review
, vol.55
, Issue.3
, pp. 389-408
-
-
Elgers, P.T.1
-
20
-
-
0348085218
-
The impact of the choice of market index on the empirical evaluation of accounting risk measures
-
Elgers, P. T., & Murray, D. (1982). The impact of the choice of market index on the empirical evaluation of accounting risk measures. The Accounting Review, LVII(2), 358-375.
-
(1982)
The Accounting Review
, vol.57
, Issue.2
, pp. 358-375
-
-
Elgers, P.T.1
Murray, D.2
-
21
-
-
0348085217
-
The forecasting ability of accounting risk measures: Some additional evidence
-
January
-
Eskew, R. (1979). The forecasting ability of accounting risk measures: Some additional evidence. The Accounting Review, January, 107-118.
-
(1979)
The Accounting Review
, pp. 107-118
-
-
Eskew, R.1
-
22
-
-
84978555676
-
On the distributional properties of financial ratios
-
Ezzamel, M., Mar-Molinero, C., & Beecher, A. (1987). On the distributional properties of financial ratios. Journal of Business Finance and Accounting, 14(4), 463-481.
-
(1987)
Journal of Business Finance and Accounting
, vol.14
, Issue.4
, pp. 463-481
-
-
Ezzamel, M.1
Mar-Molinero, C.2
Beecher, A.3
-
23
-
-
0043074175
-
Time varying beta risk: An analysis of alternative modelling techniques
-
Faff, R. W., Hillier, D., & Hillier, J. (2000). Time varying beta risk: An analysis of alternative modelling techniques. Journal of Business Finance and Accounting, 27(5)&(6), 523-554.
-
(2000)
Journal of Business Finance and Accounting
, vol.27
, Issue.5-6
, pp. 523-554
-
-
Faff, R.W.1
Hillier, D.2
Hillier, J.3
-
24
-
-
84977737676
-
The cross-section of expected stock returns
-
Fama, E. F., & French, K. R. (1992). The cross-section of expected stock returns. Journal of Finance, 67, 427-6465.
-
(1992)
Journal of Finance
, vol.67
, pp. 427-6465
-
-
Fama, E.F.1
French, K.R.2
-
25
-
-
38549147867
-
Common factors in the returns on stock and bonds
-
Fama, E. F., & French, K. R. (1993). Common factors in the returns on stock and bonds. Journal of Financial Economics, 33, 3-56.
-
(1993)
Journal of Financial Economics
, vol.33
, pp. 3-56
-
-
Fama, E.F.1
French, K.R.2
-
26
-
-
84993845943
-
Size and book-to-market factors in earnings and returns
-
Fama, E. F., & French, K. R. (1995). Size and book-to-market factors in earnings and returns. Journal of Finance, L(1), 131-155.
-
(1995)
Journal of Finance
, vol.50
, Issue.1
, pp. 131-155
-
-
Fama, E.F.1
French, K.R.2
-
27
-
-
0013413658
-
Multifactor explanations of assets pricing anomalies
-
Fama, E. F., & French, K. R. (1996). Multifactor explanations of assets pricing anomalies. Journal of Finance, LI(1), 55-84.
-
(1996)
Journal of Finance
, vol.51
, Issue.1
, pp. 55-84
-
-
Fama, E.F.1
French, K.R.2
-
28
-
-
0002442960
-
On the misuse of accounting rates of return to interfere monopoly profits
-
Fisher, F. M., & McGovan, J. J. (1983). On the misuse of accounting rates of return to interfere monopoly profits. American Economic Review, 73(1), 82-97.
-
(1983)
American Economic Review
, vol.73
, Issue.1
, pp. 82-97
-
-
Fisher, F.M.1
McGovan, J.J.2
-
29
-
-
84949346128
-
Evidence on the information content of accounting numbers: Accounting-based and market-based estimates of systematic risk
-
June
-
Gonedes, N. J. (1973). Evidence on the information content of accounting numbers: Accounting-based and market-based estimates of systematic risk. Journal of Financial and Qantitative Analysis, June, 407-443.
-
(1973)
Journal of Financial and Qantitative Analysis
, pp. 407-443
-
-
Gonedes, N.J.1
-
31
-
-
0001685353
-
The effects if the firm's capital structure on the systematic risk of common stock
-
May
-
Hamada, R. S. (1972). The effects if the firm's capital structure on the systematic risk of common stock. Journal of Finance, May, 435-452.
-
(1972)
Journal of Finance
, pp. 435-452
-
-
Hamada, R.S.1
-
32
-
-
84974064879
-
Accounting betas, systematic operating risk, and financial leverage: A risk-composition approach to the determinats of systematic risk
-
Hill, N. C., & Stone, B. K. (1980). Accounting betas, systematic operating risk, and financial leverage: A risk-composition approach to the determinats of systematic risk. Journal of Financial and Qantitative Analysis, XV(3), 595-619.
-
(1980)
Journal of Financial and Qantitative Analysis
, vol.15
, Issue.3
, pp. 595-619
-
-
Hill, N.C.1
Stone, B.K.2
-
33
-
-
0000453992
-
The validity of ROI as a measure of business performance
-
Jacobson, R. (1987). The validity of ROI as a measure of business performance. The American Economic Review, 77(3), 470-478.
-
(1987)
The American Economic Review
, vol.77
, Issue.3
, pp. 470-478
-
-
Jacobson, R.1
-
34
-
-
0000125532
-
Prospect theory: An analysis of decision under risk
-
Kahneman, D., & Tversky, A. (1979). Prospect theory: An analysis of decision under risk. Econometrica, 47(2), 263-291.
-
(1979)
Econometrica
, vol.47
, Issue.2
, pp. 263-291
-
-
Kahneman, D.1
Tversky, A.2
-
35
-
-
0034148217
-
Stock market trading strategies based on earnings and cash flows in Finland: Alternative risk-adjusting approach
-
Kallunki, J.-P. (2000). Stock market trading strategies based on earnings and cash flows in Finland: Alternative risk-adjusting approach. Scandinavian Journal of Management, 16, 85-99.
-
(2000)
Scandinavian Journal of Management
, vol.16
, pp. 85-99
-
-
Kallunki, J.-P.1
-
36
-
-
0000018330
-
Statistical models of bond rating: A methodological inquiry
-
Kaplan, R. S., & Urwitz, G. (1979). Statistical models of bond rating: A methodological inquiry. Journal of Business, 231-261.
-
(1979)
Journal of Business
, pp. 231-261
-
-
Kaplan, R.S.1
Urwitz, G.2
-
37
-
-
0031286096
-
Relationship among owners/manager personal values, business strategies, and enterprise performance
-
Kotley, B., & Meredith, G. G. (1997). Relationship among owners/manager personal values, business strategies, and enterprise performance. Journal of Small Business Management, 37-64.
-
(1997)
Journal of Small Business Management
, pp. 37-64
-
-
Kotley, B.1
Meredith, G.G.2
-
38
-
-
0030305817
-
The small enterprise financial objective function. An exploratory study
-
LeCornu, M. R., McMahon, R. G. P., Forsaith, D. M., & Stanger, A. M. J. (1996). The small enterprise financial objective function. An exploratory study. Journal of Small Business Management, 1-14.
-
(1996)
Journal of Small Business Management
, pp. 1-14
-
-
LeCornu, M.R.1
McMahon, R.G.P.2
Forsaith, D.M.3
Stanger, A.M.J.4
-
39
-
-
84959716532
-
On the association between operating leverage and risk
-
Lev, B. (1974). On the association between operating leverage and risk. Journal of Financial and Qantitative Analysis, 627-639.
-
(1974)
Journal of Financial and Qantitative Analysis
, pp. 627-639
-
-
Lev, B.1
-
40
-
-
0011587844
-
Growing concerns: Small company finance: What the books don't say
-
Boston
-
Levin, R. I., & Travis, V. R. (1987). Growing concerns: Small company finance: What the books don't say. Harvard Business Review, Boston, (6), 30.
-
(1987)
Harvard Business Review
, Issue.6
, pp. 30
-
-
Levin, R.I.1
Travis, V.R.2
-
41
-
-
0003114587
-
The valuation of risk assets and the selection of risky investments in stock portfolios and capital budgets
-
Lintner, J. (1965). The valuation of risk assets and the selection of risky investments in stock portfolios and capital budgets. Review of Economics and Statistics, XLVII, 13-37.
-
(1965)
Review of Economics and Statistics
, vol.47
, pp. 13-37
-
-
Lintner, J.1
-
42
-
-
84974379086
-
The impact of the degree of operating and financial leverage on systematic risk of common stock
-
Mandelker, G. N., & Rhee, S. G. (1984). The impact of the degree of operating and financial leverage on systematic risk of common stock. Journal of Financial and Qantitative Analysis, 45-57.
-
(1984)
Journal of Financial and Qantitative Analysis
, pp. 45-57
-
-
Mandelker, G.N.1
Rhee, S.G.2
-
44
-
-
0001238604
-
Equilibrium in a capital asset pricing market
-
Mossin, J. (1966). Equilibrium in a capital asset pricing market. Econometrica, XXXIV, 768-783.
-
(1966)
Econometrica
, vol.34
, pp. 768-783
-
-
Mossin, J.1
-
45
-
-
0024156146
-
Alternative theories of small-firm growth: A critical review
-
O'Farrell, P. N., & Hitchins, F. (1988). Alternative theories of small-firm growth: A critical review. Environment and Planning, 20, 1365-1382.
-
(1988)
Environment and Planning
, vol.20
, pp. 1365-1382
-
-
O'Farrell, P.N.1
Hitchins, F.2
-
46
-
-
0000666375
-
Financial ratios and the probabilistic prediction of bankruptcy
-
Ohlson, J. S. (1980). Financial ratios and the probabilistic prediction of bankruptcy. Journal of Accounting Research, 109-131.
-
(1980)
Journal of Accounting Research
, pp. 109-131
-
-
Ohlson, J.S.1
-
47
-
-
0344354183
-
The effects of business environment and strategy on a firm's rate of return on assets
-
Selling, T., & Stickney, C. (1989). The effects of business environment and strategy on a firm's rate of return on assets. Financial Analyst Journal, 43-52.
-
(1989)
Financial Analyst Journal
, pp. 43-52
-
-
Selling, T.1
Stickney, C.2
-
48
-
-
84985234396
-
The association between accounting determined risk measures and analysts' risk perceptions in a medium-sized stock market
-
Selva, M. (1995). The association between accounting determined risk measures and analysts' risk perceptions in a medium-sized stock market. Journal of International Financial Management and Accounting, 6(3), 207-229.
-
(1995)
Journal of International Financial Management and Accounting
, vol.6
, Issue.3
, pp. 207-229
-
-
Selva, M.1
-
49
-
-
0001217228
-
A simplified model of portfolio analysis
-
Sharpe, W. F. (1963). A simplified model of portfolio analysis. Management Science, IX, 277-293.
-
(1963)
Management Science
, vol.9
, pp. 277-293
-
-
Sharpe, W.F.1
-
50
-
-
84980092818
-
Capital assets prices: A theory of market equilibrium under conditions of risk
-
Sharpe, W. F. (1964). Capital assets prices: a theory of market equilibrium under conditions of risk. Journal of Finance, 19, 425-442.
-
(1964)
Journal of Finance
, vol.19
, pp. 425-442
-
-
Sharpe, W.F.1
-
51
-
-
0016565514
-
Corporate planning in small companies - A survey
-
Shuman, J. C. (1975). Corporate planning in small companies-A survey, Long Range Planning, 8(5), 81-90.
-
(1975)
Long Range Planning
, vol.8
, Issue.5
, pp. 81-90
-
-
Shuman, J.C.1
|