- Estimates of Hicksian IS and LM Curves for the United States
- STOCK SPLITS AND PRICE CHANGE
- Modern Investment Theory.
- Variable Annuities
- Security Prices, Risk, and Maximal Gains From Diversification
- THE SUPPLY OF MONEY AND COMMON STOCK PRICES
- Session Topic: Diversification of Commercial Bank and Nonbanking Activities: Discussion
- SOME SURROGATE EVIDENCE IN SUPPORT OF THE CONCEPT OF OPTIMAL FINANCIAL STRUCTUREY*
- Subjective Cash Flow and Discount Rate Expectations
- SALES OF GOVERNMENT SECURITIES TO FEDERAL RESERVE BANKS UNDER REPURCHASE AGREEMENTS
- Mean-Variance Analysis in Portfolio Choice and Capital Markets.
- Report of the Executive Secretary and Treasurer for the Fiscal Year Ending June 30, 2020
- ANNOUNCEMENTS
- MISCELLANEA
- The Terms of Trade: A European Case Study.
- Essays in the Theory of Risk-Bearing.
- Portfolio Theory and Capital Markets.
- RISK ANALYSIS APPLIED TO COMMODITY SPECULATION*
- Testing for Linear and Nonlinear Granger Causality in the Stock Price- Volume Relation
- Information Production, Market Signalling, and the Theory of Financial Intermediation
- THE EFFECT OF SIZE, GROWTH, AND INDUSTRY ON THE FINANCIAL STRUCTURE OF MANUFACTURING COMPANIES*
- Ratio Analysis and the Prediction of Firm Failure: A Reply
- Debt Management and the Form of Business Financing
- 100% MARGINS: COMBATING SPECULATION IN INDIVIDUAL SECURITY ISSUES
- Informational Asymmetries, Financial Structure, and Financial Intermediation
- The Expected Holding Period Return, Uncertainty and the Term Structure of Interest Rates
- CAPITAL ASSET PRICES: A THEORY OF MARKET EQUILIBRIUM UNDER CONDITIONS OF RISK*
- The Effect of Credit on Trasactions Demand for Cash
- Debt and Taxes
- General Problems of Financing Development Programs
- New Evidence on the Capital Asset Pricing Model: Discussion
- Portfolio Distributions and Tests of Security Selection Models
- Corporate Governance.
- ISSUE INFORMATION FM
- Valuing Commercial Mortgages: An Empirical Investigation of the Contingent- Claims Approach to Pricing Risky Debt
- "q" and the Theory of Investment
- International Corporate Diversification, Market Valuation, and Size- Adjusted Evidence: Discussion
- The Valuation of American Put Options
- International Monetary Co-operation 1945-52.
- Advances in Behavioral Finance.
- DIVERSIFICATION AND THE REDUCTION OF DISPERSION: AN EMPIRICAL ANALYSIS*
- The Microstructure of Securities Markets.
- Bankruptcy Costs: Some Evidence
- MULTIPLE EXCHANGE RATES: AN INSTRUMENT FOR IMPROVING FOREIGN-TRADE BALANCE*
- CHURCH FINANCING BY FINANCIAL INSTITUTIONS IN THE UNITED STATES, 1946-52*
- Leverage, Risk of Ruin and the Cost of Capital
- FACTORS DETERMINING BANK DEPOSIT GROWTH BY STATE: AN EMPIRICAL ANALYSIS*
- "Are Betas Best?"
- Barbarians at the Store? Private Equity, Products, and Consumers
- Inflation Accounting, A Guide for the Accountant and Financial Analyst.