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There are 13289 results for: content related to: The Relation Between Treasury Yields and Corporate Bond Yield Spreads

  1. The Effects of Relative Changes in CEO Equity Incentives on the Cost of Corporate Debt

    Journal of Business Finance & Accounting

    Volume 40, Issue 3-4, April/May 2013, Pages: 470–500, Andrew K. Prevost, Erik Devos and Ramesh P. Rao

    Article first published online : 25 APR 2013, DOI: 10.1111/jbfa.12023

  2. The Illiquidity of Corporate Bonds

    The Journal of Finance

    Volume 66, Issue 3, June 2011, Pages: 911–946, JACK BAO, JUN PAN and JIANG WANG

    Article first published online : 23 MAY 2011, DOI: 10.1111/j.1540-6261.2011.01655.x

  3. Board Ties and the Cost of Corporate Debt

    Financial Management

    Volume 43, Issue 3, Fall 2014, Pages: 533–568, Tuugi Chuluun, Andrew Prevost and John Puthenpurackal

    Article first published online : 5 MAR 2014, DOI: 10.1111/fima.12047

  4. Bargains in the Corporate Convertible Bond Market

    Canadian Journal of Administrative Sciences / Revue Canadienne des Sciences de l'Administration

    Volume 17, Issue 2, June 2000, Pages: 153–165, George Athanassakos and Peter Carayannopoulos

    Article first published online : 8 APR 2009, DOI: 10.1111/j.1936-4490.2000.tb00216.x

  5. Yield Spread and Term to Maturity: Default vs. Liquidity

    European Financial Management

    Volume 8, Issue 4, December 2002, Pages: 449–477, Antonio Díaz and Eliseo Navarro

    Article first published online : 10 FEB 2003, DOI: 10.1111/1468-036X.00199

  6. Equity volatility, bond yields, and yield spreads

    Journal of Futures Markets

    Volume 32, Issue 5, May 2012, Pages: 480–503, Daniel Jubinski and Amy F. Lipton

    Article first published online : 26 MAY 2011, DOI: 10.1002/fut.20521

  7. Equity Volatility and Corporate Bond Yields

    The Journal of Finance

    Volume 58, Issue 6, December 2003, Pages: 2321–2350, John Y. Campbell and Glen B. Taksler

    Article first published online : 7 NOV 2003, DOI: 10.1046/j.1540-6261.2003.00607.x

  8. The Basics of Cash-Market Hedging

    Chapter

    Handbook of Finance

    Shrikant Ramamurthy

    Published Online : 15 SEP 2008, DOI: 10.1002/9780470404324.hof003019

  9. Bonds with Embedded Options and Option-Adjusted Spread Analysis

    Fixed Income Markets: Management, Trading, Hedging, Second Edition

    Moorad Choudhry, David Moskovic, Max Wong, Suleman Baig, Zhuoshi Liu, Michele Lizzio, Alexandru Voicu, Pages: 205–234, 2014

    Published Online : 20 JUN 2014, DOI: 10.1002/9781118638330.ch8

  10. Bond Selection for Managed Portfolios

    Journal of Business Finance & Accounting

    Volume 32, Issue 1-2, January 2005, Pages: 389–413, WM. Steven Smith

    Article first published online : 7 FEB 2005, DOI: 10.1111/j.0306-686X.2005.00598.x

  11. Financial Contracting and the Choice between Private Placement and Publicly Offered Bonds

    Journal of Money, Credit and Banking

    Volume 42, Issue 5, August 2010, Pages: 907–929, SIMON H. KWAN and WILLARD T. CARLETON

    Article first published online : 15 JUL 2010, DOI: 10.1111/j.1538-4616.2010.00312.x

  12. Taxes on Tax-Exempt Bonds

    The Journal of Finance

    Volume 65, Issue 2, April 2010, Pages: 565–601, ANDREW ANG, VINEER BHANSALI and YUHANG XING

    Article first published online : 19 MAR 2010, DOI: 10.1111/j.1540-6261.2009.01545.x

  13. Has the US Bond Market Lost its Edge to the Eurobond Market?

    International Review of Finance

    Volume 10, Issue 2, June 2010, Pages: 149–183, STAVROS PERISTIANI and JOÃO A. C. SANTOS

    Article first published online : 19 MAY 2010, DOI: 10.1111/j.1468-2443.2010.01111.x

  14. Moody's and S&P Ratings: Are They Equivalent? Conservative Ratings and Split Rated Bond Yields

    Journal of Money, Credit and Banking

    Volume 42, Issue 7, October 2010, Pages: 1267–1293, MILES LIVINGSTON, JIE (DIANA) WEI and LEI ZHOU

    Article first published online : 6 SEP 2010, DOI: 10.1111/j.1538-4616.2010.00341.x

  15. Regulatory Uncertainty and Financial Contagion: Evidence from the Hybrid Capital Securities Market

    Financial Review

    Volume 46, Issue 1, February 2011, Pages: 1–42, John D. Finnerty, Jeffrey Turner, Jack Chen and Rachael W. Park

    Article first published online : 7 JAN 2011, DOI: 10.1111/j.1540-6288.2010.00288.x

  16. An Analysis of Call Strategy in the Eurodollar Bond Market

    Journal of International Financial Management & Accounting

    Volume 2, Issue 1, March 1990, Pages: 23–46, Finbarr Bradley

    Article first published online : 3 APR 2007, DOI: 10.1111/j.1467-646X.1990.tb00016.x

  17. Bond Portfolio Management

    Finance: Capital Markets, Financial Management, and Investment Management

    Frank J. Fabozzi, Pamela Peterson Drake, Pages: 669–720, 2011

    Published Online : 29 NOV 2011, DOI: 10.1002/9781118266984.ch19

  18. What risks do corporate bond put features insure against?

    Journal of Futures Markets

    Volume 32, Issue 11, November 2012, Pages: 1060–1090, Redouane Elkamhi, Jan Ericsson and Hao Wang

    Article first published online : 6 SEP 2011, DOI: 10.1002/fut.20546

  19. Optimal Refunding Strategies, Transaction Costs, and the Market Value of Corporate Debt

    Financial Review

    Volume 26, Issue 4, November 1991, Pages: 479–500, David C. Ling

    Article first published online : 9 MAR 2005, DOI: 10.1111/j.1540-6288.1991.tb00392.x

  20. Investor sentiment and corporate bond yield spreads

    Review of Behavioral Finance

    Volume 2, Issue 2, November 2010, Pages: 59–80, Subhankar Nayak

    Article first published online : 7 JUN 2010, DOI: 10.1002/rbf.9