Journal of Applied Corporate Finance

Cover image for Vol. 22 Issue 4

Fall 2010

Volume 22, Issue 4

Pages 2–122

  1. A Message from the Editor

    1. Top of page
    2. A Message from the Editor
    3. Executive Summaries
    4. Original Articles
    1. A Message from the Editor (pages 2–3)

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00296.x

  2. Executive Summaries

    1. Top of page
    2. A Message from the Editor
    3. Executive Summaries
    4. Original Articles
    1. Executive Summaries (pages 4–7)

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00297.x

  3. Original Articles

    1. Top of page
    2. A Message from the Editor
    3. Executive Summaries
    4. Original Articles
    1. Maintaining a Flexible Payout Policy in a Mature Industry: The Case of Crown Cork and Seal in the Connelly Era (pages 30–44)

      James Ang, Tom Arnold, C. Mitchell Conover and Carol Lancaster

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00300.x

    2. Is Carl Icahn Good for Long-Term Shareholders? A Case Study in Shareholder Activism (pages 45–57)

      Vinod Venkiteshwaran, Subramanian R. Iyer and Ramesh P. Rao

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00301.x

    3. Risk Management, Corporate Governance, and the Search for Long-Term Investors (pages 58–74)

      Scott Bauguess, Jim Dunigan, Damien Park, Patrick McGurn, Don Chew and Ralph Walkling

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00302.x

    4. Blockholders Are More Common in the United States Than You Might Think (pages 75–85)

      Clifford G. Holderness

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00303.x

    5. Private Equity in the U.S.: Building a New Future (pages 86–95)

      Mike Wright, Andrew Jackson and Steve Frobisher

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00304.x

    6. Should Asset Managers Hedge Their “Fees at Risk”? (pages 96–102)

      Bernd Scherer

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00305.x

    7. Measuring Corpotate Liquidity Risk (pages 103–109)

      Håkan Jankensgård

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00306.x

    8. The Beta Dilemma in Emerging Markets (pages 110–122)

      Luis E. Pereiro

      Article first published online: 23 DEC 2010 | DOI: 10.1111/j.1745-6622.2010.00307.x

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