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There are 18272 results for: content related to: Internal versus External Financing: An Optimal Contracting Approach *

  1. The Arbitrage Pricing Theory and Supershares

    The Journal of Finance

    Volume 44, Issue 2, June 1989, Pages: 263–282, MARK LATHAM

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1989.tb05057.x

  2. Security Design

    The Journal of Finance

    Volume 48, Issue 4, September 1993, Pages: 1349–1378, ARNOUD W. A. BOOT and ANJAN V. THAKOR

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1993.tb04757.x

  3. Stapled Finance

    The Journal of Finance

    Volume 65, Issue 3, June 2010, Pages: 927–953, PAUL POVEL and RAJDEEP SINGH

    Version of Record online : 7 MAY 2010, DOI: 10.1111/j.1540-6261.2010.01557.x

  4. A Note on Real and Nominal Efficient Sets

    The Journal of Finance

    Volume 36, Issue 3, June 1981, Pages: 721–737, PIET SERCU

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1981.tb00657.x

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    Arbitrage, Continuous Trading, and Margin Requirements

    The Journal of Finance

    Volume 42, Issue 5, December 1987, Pages: 1129–1142, DAVID C. HEATH and ROBERT A. JARROW

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1987.tb04357.x

  6. Tax-Induced Intertemporal Restrictions on Security Returns

    The Journal of Finance

    Volume 49, Issue 4, September 1994, Pages: 1347–1371, PETER BOSSAERTS and ROBERT M. DAMMON

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1994.tb02457.x

  7. OPTIMAL INTERNATIONAL ACQUISITIONS

    The Journal of Finance

    Volume 30, Issue 1, March 1975, Pages: 1–19, Michael Adler and Bernard Dumas

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1975.tb03157.x

  8. The Duration of an Adjustable-Rate Mortgage and the Impact of the Index

    The Journal of Finance

    Volume 41, Issue 4, September 1986, Pages: 923–933, ROBERT A. OTT JR.

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1986.tb04557.x

  9. On the Term Structure of Default Premia in the Swap and LIBOR Markets

    The Journal of Finance

    Volume 56, Issue 3, June 2001, Pages: 1095–1115, Pierre Collin-Dufresne and Bruno Solnik

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00357

  10. Simple Rules for Optimal Portfolio Selection In Stable Paretian Markets

    The Journal of Finance

    Volume 34, Issue 4, September 1979, Pages: 1041–1047, VIJAY S. BAWA, EDWIN J. ELTON and MARTIN J. GRUBER

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1979.tb03457.x

  11. Leverage Choice and Credit Spreads when Managers Risk Shift

    The Journal of Finance

    Volume 65, Issue 6, December 2010, Pages: 2323–2362, MURRAY CARLSON and ALI LAZRAK

    Version of Record online : 9 NOV 2010, DOI: 10.1111/j.1540-6261.2010.01617.x

  12. Interest Rate Volatility and the Term Structure: A Two-Factor General Equilibrium Model

    The Journal of Finance

    Volume 47, Issue 4, September 1992, Pages: 1259–1282, FRANCIS A. LONGSTAFF and EDUARDO S. SCHWARTZ

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1992.tb04657.x

  13. The Rationality and Price Effects of U.S. Department of Agriculture Forecasts of Oranges

    The Journal of Finance

    Volume 49, Issue 2, June 1994, Pages: 681–695, ROBERT F. BAUR and PETER F. ORAZEM

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1994.tb05157.x

  14. The Declining Credit Quality of U.S. Corporate Debt: Myth or Reality?

    The Journal of Finance

    Volume 53, Issue 4, August 1998, Pages: 1389–1413, Marshall E. Blume, Felix Lim and A. Craig Mackinlay

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00057

  15. THE COST OF EQUITY CAPITAL WITH PERSONAL INCOME TAXES AND FLOTATION COSTS

    The Journal of Finance

    Volume 33, Issue 4, September 1978, Pages: 1201–1212, M. J. Gordon and L. I. Gould

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1978.tb02057.x

  16. THE EFFECTS OF REGULATION ON BANK BALANCE SHEET DECISIONS

    The Journal of Finance

    Volume 32, Issue 5, December 1977, Pages: 1605–1616, John Mingo and Benjamin Wolkowitz

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1977.tb03357.x

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    Measuring and Testing the Impact of News on Volatility

    The Journal of Finance

    Volume 48, Issue 5, December 1993, Pages: 1749–1778, ROBERT F. ENGLE and VICTOR K. NG

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1993.tb05127.x

  18. Security Design with Investor Private Information

    The Journal of Finance

    Volume 62, Issue 6, December 2007, Pages: 2587–2632, ULF AXELSON

    Version of Record online : 28 NOV 2007, DOI: 10.1111/j.1540-6261.2007.01287.x

  19. Bank and Nonbank Financial Intermediation

    The Journal of Finance

    Volume 59, Issue 6, December 2004, Pages: 2489–2529, PHILIP BOND

    Version of Record online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00707.x

  20. Stock Valuation and Learning about Profitability

    The Journal of Finance

    Volume 58, Issue 5, October 2003, Pages: 1749–1789, Ľuboš Pástor and Veronesi Pietro

    Version of Record online : 11 SEP 2003, DOI: 10.1111/1540-6261.00587