| Managerial Finance 1995 |
| Title | Subject | Authors |
| A case study of a failed call options market. | Business | Ariff, M., Chan, P.K., Johnson, L.W. |
| A comparative study of alternative indicators of budgetary slack. | Business | Omer, Khursheed, Leavins, John R., Vilutis, Arv |
| A comparison of the effectiveness of currency futures and currency options in the context of foreign exchange risk management. (Risk Management in Global Finance) | Business | DeMaskey, Andrea L. |
| Adaptive decision support systems for evaluating risk and uncertainty in capital investment decisions: opportunities for future research. | Business | Agrawal, Surendra P., Accola, Wilton L., Holsapple, Clyde W. |
| A model for the evaluation of and response to economic exposure risk by multinational companies. (Risk Management in Global Finance) | Business | Ahkam, Sharif N. |
| An analysis of world capital market return/risk ratios: a test of global financial integration during the 1980-1991 period. | Business | Rogers, John E., Smith, Kenneth L., Brocato, Joe |
| An application of control system to cost variance analysis. | Business | Siegel, Philip H., de Korvin, Andre, Strawser, Jerry |
| An introduction to the collectible sportscard market. | Business | O'Brien, Thomas J., Rodriguez, Mauricio, Gramling, Lawrence J. |
| An investigation of the causal relationships between index and component stock implied volatility. | Business | Johnson, Shane A., Laatsch, Francis E. |
| Art as an investment: a portfolio allocation analysis. | Business | Tucker, Michael, Hlawischka, Walter, Pierne, Jeff |
| Black Scholes, as compared to observed prices: an empirical study. | Business | Sarkar, Salil K. |
| Bulgaria: privatization, risk and reality. (Risk Management in Global Finance) | Business | Rayome, David L. |
| Corporate acquisitions of fine art: measuring the underlying motivations. | Business | LeClair, Mark S., Doornbosch, Kathy |
| Corporate finance and the legal environment - an introduction. | Business | Fields, M. Andrew |
| Effect of risk on the use of performance-contingent compensation. | Business | Schadewald, Michael, Kren, Leslie, Kimmel, Paul |
| Evidence of market overreaction to state antitakeover legislation. | Business | Pugh, William N., Jahera, John S., Jr. |
| Firm size, antitakeover charter amendments, and the effect of state antitakeover legislation. | Business | Fields, M. Andrew, Todd, Janet M. |
| Global foreign investment insurance: the case of MIGA with comparisons to OPIC and private insurance. (Multilateral Investment Guarantee Agency; Overseas Private Investment Co.) (Risk Management in Global Finance) | Business | baker, James C. |
| Impetus for future growth in the globalization of stock investments: evidence from joint time series and chaos analyses. | Business | Hoque, Monzurul |
| Implied volatility vs. GARCH: A comparison of forecasts. (generalized autoregressive conditional heteroscedasticity) | Business | Bartunek, Kenneth S., Chowdhury, Mustafa, Mac, Freddie |
| International risk analysis: an empirical investigation of practices of Malaysian international firms. | Business | Meyer, J., Shafa, H.S., Shandiz, M. |
| Macroeconomic risk and the determination of expected returns on stocks. | Business | Sill, Keith |
| Mean reversion in stock prices: an error-correction approach. | Business | DeFina, Robert H., Cochran, Steven J. |
| Mean reversion in stock prices: tests using duration models. | Business | DeFina, Robert H., Cochran, Steven |
| On the presence of a day-of-the-week effect in the foreign exchange market. | Business | Fatemi, Ali M., Corhay, Albert, Rad, Alireza Tourani |
| Protection in a changing and volatile world: a study of political risk insurance providers. (Risk Management in Global Finance) | Business | Hashmi, M. Anaam |
| R/S analysis and long term dependence in stock market indices. (rescaled range) | Business | Nawrocki, David |
| Sensitivity of bank equity returns to the level and volatility of interest rates. | Business | Elyasiani, Elyas, Mansur, Iabal |
| Shareholders' perceptions on the usefulness of MD&AS. (management, discussion and analysis section of annual reports) | Business | Epstein, Marc J., Pava, Moses L. |
| The business judgement rule vs. the efficient market hypothesis. | Business | Margotta, Donald G. |
| The cointegration of auction price series. | Business | Taylor, William M. |
| The effect of liability exposure on the actions of directors and officers of major U.S. firms. | Business | Clark, Louise, Scroggins, Bill, Jr., Fielding, Willian |
| The informational efficiency of the art market. | Business | Goetzmann, William N. |
| The valuation of new contingent claims on the S&P 500 index. | Business | Lee, Jeong W. |
| Valuation of executive stock options. | Business | Bey, Roger P., Johnson, Larry J. |
| Wealth effects from acquiring bankrupt firms. | Business | Madura, Jeff, Tucker, Alan L., Bartunek, Kenneth |
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