Journal of Applied Corporate Finance

Cover image for Vol. 29 Issue 1

Edited By: Donald H. Chew Jr.

Online ISSN: 1745-6622

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Published in 2011:
Corporate Portfolio Management: Theory and Practice
Ulrich Pidun, Harald Rubner, Matthias Krühler, Robert Untiedt, The Boston Consulting Group, Michael Nippa

The Dodd-Frank Wall Street Reform and Consumer Protection Act: Accomplishments and Limitations
Viral V. Acharya, Thomas Cooley, Matthew Richardson, Richard Sylla, Ingo Walter

Current Accounts and Global Adjustment: The Long and Short of It
Manoj Pradhan, Alan M. Taylor

What Drives CEOs to Take on More Risk? Some Evidence from the Laboratory of REITs
Roland Füss, Nico Rottke, Joachim Zietz

Toward a Bottom-Up Approach to Assessing Sovereign Default Risk
Edward I. Altman, Herbert A. Rijken

Published in 2010:
Executive Compensation: An Overview of Research on Corporate Practices
and Proposed Reforms

Michael Faulkender, Dalida Kadyrzhanova, N. Prabhala, Lemma Senbet

Value Maximization, Stakeholder theory, and the Corporate Objective
Function

Michael C. Jensen

CEO Incentives - It's Not How Much You Pay, But How
Michael C. Jensen, Kevin J. Murphy

It Ain't Broke: The Past, Present, and Future of Venture Capital
Steven N. Kaplan, Josh Lerner

The RPF Model for Calculating the Equity Market Risk Premium and
Explaining the Value of the S& P with Two Variables

Stephen D. Hassett

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