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There are 21069 results for: content related to: Taxes, Failure Costs, and Optimal Industry Capital Structure: An Empirical Test

  1. Why Are Buyouts Levered? The Financial Structure of Private Equity Funds

    The Journal of Finance

    Volume 64, Issue 4, August 2009, Pages: 1549–1582, ULF AXELSON, PER STRÖMBERG and MICHAEL S. WEISBACH

    Version of Record online : 16 JUL 2009, DOI: 10.1111/j.1540-6261.2009.01473.x

  2. Equilibrium Analysis of Portfolio Insurance

    The Journal of Finance

    Volume 51, Issue 4, September 1996, Pages: 1379–1403, SANFORD J. GROSSMAN and ZHONGQUAN ZHOU

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1996.tb04073.x

  3. Contagion as a Wealth Effect

    The Journal of Finance

    Volume 56, Issue 4, August 2001, Pages: 1401–1440, Albert S. Kyle and Wei Xiong

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00373

  4. Time Dominance Efficiency Analysis

    The Journal of Finance

    Volume 36, Issue 5, December 1981, Pages: 1023–1033, STEINAR EKERN

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1981.tb01073.x

  5. Risk-Shifting Incentives and Signalling Through Corporate Capital Structure

    The Journal of Finance

    Volume 42, Issue 3, July 1987, Pages: 623–641, KOSE JOHN

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1987.tb04573.x

  6. Diagnosing Asset Pricing Models Using the Distribution of Asset Returns

    The Journal of Finance

    Volume 46, Issue 3, July 1991, Pages: 955–983, KARL N. SNOW

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1991.tb03773.x

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    Who Are the Value and Growth Investors?

    The Journal of Finance

    Volume 72, Issue 1, February 2017, Pages: 5–46, SEBASTIEN BETERMIER, LAURENT E. CALVET and PAOLO SODINI

    Version of Record online : 12 JAN 2017, DOI: 10.1111/jofi.12473

  8. STOCK SPLITS AND PRICE CHANGE

    The Journal of Finance

    Volume 21, Issue 4, December 1966, Pages: 675–686, Keith B. Johnson

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1966.tb00273.x

  9. On Option Pricing Bounds

    The Journal of Finance

    Volume 40, Issue 4, September 1985, Pages: 1219–1233, PETER H. RITCHKEN

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1985.tb02373.x

  10. Real and Nominal Efficient Sets

    The Journal of Finance

    Volume 34, Issue 1, March 1979, Pages: 93–102, STEVEN MANASTER

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1979.tb02073.x

  11. Monitoring and Structure of Debt Contracts

    The Journal of Finance

    Volume 55, Issue 5, October 2000, Pages: 2157–2195, Cheol Park

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00283

  12. CRITERIA FOR PORTFOLIO BUILDING

    The Journal of Finance

    Volume 22, Issue 3, September 1967, Pages: 359–373, Henry A. Latané and Donald L. Tuttle

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1967.tb02973.x

  13. Causal Relations Among Stock Returns, Interest Rates, Real Activity, and Inflation

    The Journal of Finance

    Volume 47, Issue 4, September 1992, Pages: 1591–1603, BONG-SOO LEE

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1992.tb04673.x

  14. Learning about Predictability: The Effects of Parameter Uncertainty on Dynamic Asset Allocation

    The Journal of Finance

    Volume 56, Issue 1, February 2001, Pages: 205–246, Yihong Xia

    Version of Record online : 17 DEC 2002, DOI: 10.1111/0022-1082.00323

  15. Forward Foreign Exchange Rates, Expected Spot Rates, and Premia: A Signal-Extraction Approach

    The Journal of Finance

    Volume 42, Issue 2, June 1987, Pages: 395–406, CHRISTIAN C. P. WOLFF

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1987.tb02573.x

  16. Trading Behavior and the Unbiasedness of the Market Reaction to Dividend Announcements

    The Journal of Finance

    Volume 50, Issue 1, March 1995, Pages: 255–279, MUKESH BAJAJ and ANAND M. VIJH

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1995.tb05173.x

  17. Exit as Governance: An Empirical Analysis

    The Journal of Finance

    Volume 68, Issue 6, December 2013, Pages: 2515–2547, SREEDHAR T. BHARATH, SUDARSHAN JAYARAMAN and VENKY NAGAR

    Version of Record online : 12 NOV 2013, DOI: 10.1111/jofi.12073

  18. Rational Inattention and Portfolio Selection

    The Journal of Finance

    Volume 62, Issue 4, August 2007, Pages: 1999–2040, LIXIN HUANG and HONG LIU

    Version of Record online : 14 AUG 2007, DOI: 10.1111/j.1540-6261.2007.01263.x

  19. The Strategic Role of Debt in Takeover Contests

    The Journal of Finance

    Volume 48, Issue 2, June 1993, Pages: 731–745, BHAGWAN CHOWDHRY and VIKRAM NANDA

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1993.tb04736.x

  20. Market Valuation and Merger Waves

    The Journal of Finance

    Volume 59, Issue 6, December 2004, Pages: 2685–2718, MATTHEW RHODES-KROPF and S. VISWANATHAN

    Version of Record online : 27 NOV 2005, DOI: 10.1111/j.1540-6261.2004.00713.x