All Stories

  1. Financial clusters, industry groups, and stock return correlations
  2. Financial statement change and equity risk
  3. Equity valuation: A survey of professional practice
  4. Credit union business models
  5. Option Implied Dividends Predict Dividend Cuts in the Great Recession
  6. Credit Union Business Models
  7. Financial Clusters, Industry Groups, and Stock Return Correlations
  8. The Value and Use of the IRA Recharacterization Option
  9. Why U.S. firms delist from the Tokyo stock exchange: An empirical analysis
  10. R2: Does it Matter for Firm Valuation?
  11. Share Repurchases and Stock Valuation Models
  12. Can growth opportunities explain the diversification discount?
  13. The shareholder wealth effects of voluntary foreign delistings: an empirical analysis
  14. A Market Timing Myth
  15. A Contingent-Claims Approach to the Inventory-Stocking Decision
  16. Product Risk, Asymmetric Information, and Trade Credit
  17. A billing policy for credit customers
  18. A Multivariate Analysis of the Composition of Life Insurer Balance Sheets
  19. An Integer Programming Solution for the Optimal Credit Investigation/Credit Granting Sequence
  20. Microeconomic influences on operating leverage
  21. Credit Investigation Policy and Management Planning
  22. Cash Management Policies for Alternative Objectives: Profit Versus ROI Maximization
  23. A Canonical Correlation Analysis of Commercial Bank Asset/Liability Structures
  24. PRODUCT PRICING UNDER RISK
  25. Relationships Between the Two Sides of the Balance Sheet: A Canonical Correlation Analysis
  26. Relationships Between the Two Sides of the Balance Sheet: A Canonical Correlation Analysis
  27. The Effect of Executive Stock Options on Corporate Financial Decisions
  28. DECOMPOSITION ANALYSIS OF FINANCIAL STATEMENTS
  29. Life Insurance Company Portfolio Behavior
  30. THE DIVERGENCE OF MANAGEMENT AND SHAREHOLDER INTERESTS CAUSED BY EXECUTIVE STOCK OPTIONS
  31. OPTIMAL CUSTOMER DEPOSIT POLICIES
  32. AN ANALYSIS OF MUTUAL FUND STOCKHOLDINGS
  33. Did Option Prices Signal the 2008 and 2009 Dividend Cuts and Omissions?
  34. The Valuation and Strategic Use of the Recharacterization Option for Traditional to Roth IRA Conversions
  35. Incorporating Item Sets into an Introductory Investments Course
  36. Equity Valuation: A Survey of Professional Practice
  37. Using Item Set Exams to Assess Higher Order Learning in a Corporate Finance Course
  38. Does Corporate Diversification Reduce Firm Risk? Evidence from Diversifying Acquisitions
  39. The Shareholder Wealth Effects of Voluntary Foreign Delistings: An Empirical Analysis
  40. Share Repurchases and Stock Valuation Models
  41. The BP Oil Disaster: Stock and Option Market Reactions