Contact information of Elsevier
Serial Information
Download restrictions: Full text for ScienceDirect subscribers only
Editor: Ike Mathur
The email address of this editor does not seem to be valid any more. Please ask Ike Mathur to have the entry updated or send us the correct address.
Series handle: RePEc:eee:jbfina
ISSN: 0378-4266
Citations RSS feed: at CitEc
Impact factors
Access and download statisticsTop item:
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:jbfina. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/jbf .
Content
March 1986, Volume 10, Issue 1
- 115-132 Systematic risk, total risk and size as determinants of stock market returns
by Lakonishok, Josef & Shapiro, Alan C.
- 133-141 Another look at implied tax rates
by Dymits, Lee & Murray, Michael L.
- 143-144 A multiple discriminant analysis of BHC commercial paper ratings
by Murphy, James M. & Rappaport, Allen
- 145-146 A multiple discriminant analysis of BHC commercial paper ratings : A reply
by Peavy, John III & Michael Edgar, S.
- 147-156 A note on interest on required reserves as an instrument of monetary control
by Van Hoose, David D.
- 157-161 Option pricing : Robert Jarrow and Andrew Rudd, (Irwin, Homewood, IL, 1983) pp. xxii + 235, $25.00
by Lord, Richard
- 161-163 Thrifts in crisis: Structural transformation of the savings and loan industry : Fredriick E. Balderston, (Bellinger, Cambridge, MA, 1985) pp. 191, $29.95
by Duett, Edwin H.
- 164-164 Trade policy issues and developments : Shailendra J. Anjaria, Naheed Kirmani and Arne B. Petersen, IMF Occasional Paper No. 38 (International Monetary Fund, Washington, DC, 1985) pp. 161
by Cerbaf
- 164-165 Euronotes : Lloyd Bankson and Michael Lee, eds., (Euromoney Publications, London, 1985) pp. 183
by Cerbaf
- 165-166 German bond markets : Uta Kempf, (Euromoney Publications, London, 1985) pp. 178
by Cerbaf
December 1985, Volume 9, Issue 4
- 477-490 Portfolio separation for stockholder owned depository financial intermediaries
by Sealey, C. Jr.
- 491-498 Expected inflation and the real rate of interest : A Note
by Day, Theodore E.
- 499-515 On the precautionary demand for assets
by Sprenkle, Case M.
- 517-534 On syndicate sharing rules for unanimous project rankings
by Gandhi, Devinder K. & Hausmann, Robert Jr. & Saunders, Anthony
- 535-552 Commercial bank refinancing and economic stability : An analysis of european features
by Langohr, Herwig & Santomero, Anthony M.
- 553-560 New evidence on beta stationarity and forecast for belgian common stocks
by Hawawini, Gabriel A. & Michel, Pierre A. & Corhay, Albert
- 561-575 The behavior of stock prices on LDC markets
by Errunza, Vihang R. & Losq, Etienne
- 577-580 The dynamic behavior of business loans and the prime rate : A comment
by Angeloni, Ignazio
- 581-584 The dynamic behavior of business loans and the prime rate : Reply
by Kling, John L.
- 585-595 A note on deposit rate deregulation, Super NOWs, and bank security returns
by Fraser, Donald R. & Richards, R. Malcolm & Fosberg, Richard H.
- 597-600 The Saudi financial system/in the context of Western and Islamic finance : Adnan M. Abdeen and Dale N. Shook, (John Wiley & Sons, 1984) pp. 287, $34.95
by Abghari, Mohammad Hosein
- 600-603 Bond portfolio immunization : Michael R. Granito, (Lexington Books, Lexington, MA, 1984) pp. 245, $25.00
by Robinson, R. M.
- 603-605 Banking and electronic fund transfers : J.R.S. Revell, (OECD, Paris, 1983) pp. 190
by Cerbaf
September 1985, Volume 9, Issue 3
- 351-362 The characteristics of takeover targets and other measures
by Hasbrouck, Joel
- 363-385 Differential taxation and the equilibrium structure of interest rates
by Torous, Walter N.
- 387-399 Ex post stockholder unanimity : A Complete and Simplified Treatment
by Ohlson, James A.
- 401-419 The theory of collateral
by Plaut, Steven E.
- 421-442 The dynamic behavior of business loans and the prime rate
by Kling, John L.
- 443-460 Adjusting for the intervalling effect bias in beta : A Test using Paris Bourse Data
by Fung, William K. H. & Schwartz, Robert A. & Whitcomb, David K.
- 461-461 Financial market trends, no. 27, special feature on `The obstacles to international exchanges of banking services' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 201
by Cerbaf
- 461-461 Financial market trends, no. 28, special feature on `The impact of the new financial instruments and intermediation techniques on financial market' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 148
by Cerbaf
- 463-463 Financial market trends no. 29, special feature on `Banking and monetary policy' : Organization for Economic Cooperation and Development, (OECD, Paris, 1984) pp. 251
by Cerbaf
- 463-463 Financial market trends no. 30, special feature on `Recent trends in the international financial situation of eastern Europe' : Organization for Economic Cooperation and Development, (OECD, Paris, 1985) pp. 176
by Cerbaf
- 463-464 Costs and margins in banking, statistical 1, Supplement978-1982 : J.R.S. Revell, (OECD, Paris, 1985) pp. 111
by Cerbaf
- 464-465 Emerging securities market: Investment banking opportunities in the developing world : Antoine W. van Agtamael, (Euromoney Publications, London, 1984) pp. 308
by Cerbaf
- 465-466 The wardley guide to world money and securities markets : Lynette J. Kemp, (Euromoney Publications, London, 1984) pp. 472
by Cerbaf
- 466-468 Sovereign lending: Managing legal risk : Michael Gruson and R. Reisner, eds., (Euromoney Publications, London, 1984) pp. 257
by Cerbaf
- 468-469 Banking on the act of state: International lending and the act of state doctrine : Carsten-Thomas Ebenroth, (Universitatsverlag Konstanz, Konstanz, 1985) pp. 116
by Cerbaf
- 469-469 Italian credit structures: Efficiency, competition and controls : Banca d'Italia, (Euromoney Publications, London, 1984) pp. 280
by Szego, Giorgio
- 469-472 Portfolio theory with application to bank asset management : Giorgio P. Szego, (Academic Press, New York, 1980) pp. 215
by Jahera, John Jr.
- 472-472 Costs and margins in banking : J.R.S. Revell, (OECD, Paris, 1980) pp. 307
by Cerbaf
June 1985, Volume 9, Issue 2
- 177-191 Branching, scale economies, and banking costs
by Nelson, Richard W.
- 193-205 Asymmetric information and a theory of compensating balances
by Sealey, C. Jr. & Heinkel, Robert
- 207-219 The early exercise of American puts
by Geske, Robert & Shastri, Kuldeep
- 221-231 Optimal hedging of uncertain and long-term foreign exchange exposure
by Eaker, Mark R. & Grant, Dwight
- 233-251 The effect of stock-for-debt swaps on bank holding companies
by Scott, Jonathan A. & Hempel, George H. & Peavy, John III
- 253-266 A factor-analytic approach to bank condition
by West, Robert Craig
- 267-273 Performance measurement of early warning models : Comments on west and other weakness/failure prediction models
by Korobow, Leon & Stuhr, David
- 275-288 Direct price controls as a source of instability in the interest rate/inflation rate relationship
by Granziol, Markus J.
- 289-295 A Clower constraint model of unbacked money
by Bryant, John
- 297-315 Bank branch operating efficiency : Evaluation with Data Envelopment Analysis
by Sherman, H. David & Gold, Franklin
- 317-321 A note on factor analysis and arbitrage pricing theory
by Raveh, Adi
- 323-331 A note on managing deposit flows with cash and futures market decisions
by Koppenhaver, G. D.
- 333-333 International capital markets: Developments and prospects 1984 : Maxwell Watson, Peter Keller and Donald Mathieson, occasional paper no. 31 (IMF, Washington, DC, 1984) pp. 112
by Cerbaf
- 333-333 The exchange rate system : John Williamson, study no. 4, Institute for International Economics, Washington, DC (MIT Press, Cambridge, MA, 1983) pp. 85
by Cerbaf
- 336-336 Issues in the assessment of the exchange rates of industrial countries : International Monetary Fund, occasional paper no. 29 (IMF, Washington, DC, 1984) pp. 30
by Cerbaf
- 336-337 Exchange rate volatility and world trade : International Monetary Fund, occasional paper no. 28 (IMF, Washington, DC, 1984) pp. 62
by Cerbaf
- 338-338 The exchange rate system: Lessons of the past and options for the future : International Monetary Fund, occasional paper no. 30 (IMF, Washington, DC, 1984) pp. 64
by Cerbaf
- 339-340 International debt and the stability of the world economy : William R. Cline, study no. 5, Institute for International Economics, Washington, DC (MIT Press, Cambridge, MA, 1983) pp. 134
by Cerbaf
- 341-342 International debt banks and the LDCs : American Express International Banking Corporation, The Amex Bank review special paper no. 10 (AEIBC, London, 1984) pp. 222
by Cerbaf
- 342-343 International financial law: Lending, capital transfers and institutions : Robert S. Rendell, ed., second ed. (Euromoney Publications, London, 1983) vol. 1, pp. 200; vol. 2, pp. 287
by Cerbaf
- 343-343 Default and rescheduling: Corporate and sovereign borrowers : David Suratgar, ed., (Euromoney Publications, London, 1984) pp. 163
by Cerbaf
- 343-344 Country risk : Pancras J. Nagy, (Euromoney Publications, London, 1984) pp. 195
by Cerbaf
- 344-345 The Mexican rescue : Joseph Kraft, (Group of Thirty, New York, 1984) pp. 66
by Cerbaf
March 1985, Volume 9, Issue 1
- 5-34 Equilibrium traits of durable commodity money
by Taub, Bart
- 35-54 Using linear and goal programming to immunize bond portfolios
by Alexander, Gordon J. & Resnick, Bruce G.
- 55-72 The behavior of intra-daily exchange rates
by Wasserfallen, Walter & Zimmermann, Heinz
- 73-99 An empirical examination of the implications of arbitrage pricing theory
by Dhrymes, Phoebus J. & Friend, Irwin & Gultekin, N. Bulent & Gultekin, Mustafa N.
- 101-113 An empirical investigation of the EOE gold options market
by Ball, Clifford A. & Torous, Walter N. & Tschoegl, Adrian E.
- 115-136 A time series/cross section analysis of the determinants of Australian trading bank loan/deposit interest margins: 1962-1981
by McShane, R. W. & Sharpe, I. G.
- 137-156 Interest-risk sensitive deposit insurance premia : Stable ACH estimates
by McCulloch, J. Huston
- 157-165 Cyclical variability of bond risk premia : A note
by Gehrlein, William V. & McInish, Thomas H.
- 170-170 Guide to computer-assisted investment analysis : W.B. Riley, Jr. and A.H. Montgomery, Jr., [McGraw-Hill, New York, 1982 (Finance Guide Series)]
by Cerbaf
- 171-171 Option pricing: Theory and applications : M. Brenner, ed., (Lexington Books, Lexington, MA, 1983)
by Cerbaf
- 171-172 The political economy of monetary policy: National and international aspects : Donald R. Hodgman, ed., Proceedings of a conference held in Perugia, Italy in July 1983 (Conference series, no. 26, Federal Reserve Bank of Boston, Boston, MA, 1983) pp. 358
by Cerbaf
- 172-173 The fund, commercial banks, and member countries : Paul Mentre, (Occasional paper, no. 26, IMF, Washington, DC, 1984)
by Cerbaf
June 1984, Volume 8, Issue 2
- 151-151 Introduction: Company and country risk models
by Altman, Edward I.
- 153-169 Applying portfolio theory to global bank lending
by Bennett, Paul
- 171-198 The success of business failure prediction models : An international survey
by Altman, Edward I.
- 199-227 Empirical models for the monitoring of UK corporations
by Taffler, Richard J.
- 229-247 Corporate bankruptcy prediction in Japan
by Takahashi, Kichinosuke & Kurokawa, Yukiharu & Watase, Kazunori
- 249-268 The prognosis and surveillance of risks from commercial credit borrowers
by von Stein, Johann Heinrich & Ziegler, Werner
- 269-279 Identifying unsound firms in Italy : An attempt to use trend variables
by Appetiti, Sandro
- 281-291 Analysis of business failures in France
by Micha, Bernard
- 293-302 The use of a bankruptcy forecasting model to analyze corporate behavior in Israel
by Tamari, Meir
- 303-320 Corporate distress in Australia
by Izan, H. Y.
- 321-340 An empirical study of the usefulness of accounting ratios to describe levels of insolvency risk
by Lincoln, Mervyn
- 341-356 A survey of the quantitative approaches to country risk analysis
by Saini, Krishan G. & Bates, Philip S.
- 357-370 Early warning of debt rescheduling
by Schmidt, Reinhart
- 371-374 Ronald L. Schillereff, multibank holding company performance : UMI Research Press, Ann Arbor, MI, 1982 pp. 110
by Cooper, Kerry
- 374-375 Henry Louberge, economie et Finance de l'Assurance et de la Reassurance : Dalioz, Paris, 1981
by Coppini, M. A.
- 376-379 Joseph F. Sinkey Jr., commercial bank financial management : Macmillan, New York, and Collier Macmillan, London, 1983
by McKinney, George Jr.
- 379-380 R.M. Pecchioli, The internationalisation of banking: The policy issues : OCDE, Paris, 1983 pp. 219
by Cerbaf
- 380-383 M. Desmond Fitzgerald, financial futures : Euromoney Publications London, 1983 pp. 202
by Cerbaf
- 383-386 Robert P. McDonald, international syndicated loans : Euromoney Publications, London, 1982 pp. 264
by Cerbaf
- 386-387 Michael T. Skully, ed., financial institutions and markets in the far east : St. Martin's Press, New York, 1982 pp. xiii + 220
by Chiong, Winston R.
December 1983, Volume 7, Issue 4
- 447-451 Introduction
by Orgler, Yair E.
- 453-463 The role of banks in the international financial system
by Teeters, Nancy
- 465-466 The role of banks in the international financial system : by Nancy Teeters
by Melnik, Arie
- 467-480 Liquidity, credit creation and international banking : An econometric investigation
by McKenzie, George & Thomas, Stephen
- 481-482 Liquidity, credit creation and international banking: An econometric investigation : by George McKenzie and Stephen Thomas
by Pindyck, Robert S.
- 483-495 International lending and income redistribution : An alternative view of country risk
by Agmon, Tamir & Deitrich, J. Kimball
- 497-518 The role of international banking in the `oil surplus' adjustment process
by Szego, Giorgio P.
- 519-520 The role of international banking in the `oil surplus' adjustment process : by Giorgio P. Szego
by Sheffer, Eliezer
- 521-536 North-South : The implications for multinational banking
by Lessard, Donald
- 537-551 Financial innovation, multinational banking, and monetary policy
by Niehans, Jurg
- 553-558 Bank lending to third world countries in the 1980's
by Greene, James
- 559-560 Bank lending to third world countries in the 1980's : by James Greene
by Messer, Oded
- 561-565 U.S. financial deregulation : Upheaval and promise
by Torell, John III
- 567-568 U.S. financial deregulation: Upheaval and promise : by John R. Torell
by Sassoon, David M.
- 569-580 U.S. banking regulations and foreign banks' entry into the United States
by Walker, David A.
- 581-582 U.S. banking regulations and foreign banks' entry into the United States : by David A. Walker
by Goldschmidt, A.
- 583-595 International banks as leaders or followers of international business : An historical perspective
by Kindleberger, Charles P.
- 597-609 Protectionism and international banking : Sectorial efficiency, competitive structure and National policy
by Walter, Ingo & Gray, H. Peter
- 611-614 Protectionism and international banking: Sectoral efficiency, competitive structure and National policy : by Ingo Walter and H. Peter Gray
by Heth, Meir
- 615-621 The effects of political, economic and institutional development on international banks
by Heimann, John G.
- 623-624 The effects of political, economic and institutional developments on International banks : by John G. Heimann
by Flanders, M. June
- 625-637 The effects of the current turbulent times on American multinational banking : An overview
by Zecher, J. Richard
- 639-639 The effects of the current turbulent times on American multinational banking: An overview : by J. Richard Zecher
by Wei, Jakob
- 641-642 Closing address
by Meir, Aharon
September 1983, Volume 7, Issue 3
- 307-322 Compensating balances, deficiency fees, and lines of credit
by Lam, Chun H. & Boudreaux, Kenneth J.
- 323-337 Pricing of optional bonds
by Galai, Dan
- 339-354 Portfolio management of islamic banks : `Certainty model'
by Bashir, B. A.
- 355-382 Interbank : A bank management simulation exercise
by Galitz, Lawrence C.
- 383-404 Monetary policy under alternative bank market structures
by VanHoose, David D.
- 405-416 Credit rationing and non-price loan terms : A re-examination
by Koskela, Erkki
- 417-426 The performance of U.K. investment trusts as internationally diversified portfolios over the period 1968 to 1977
by Woodward, R. S.
- 427-437 Concentration of world banking and the role of U.S. banks among the 100 largest, 1956-1980
by Rhoades, Stephen A.
June 1983, Volume 7, Issue 2
- 161-173 A multiple discriminant analysis of BHC commercial paper ratings
by Peavy, John III & Michael Edgar, S.
- 175-188 Valuation of controlling shares in closely held banks
by Meeker, Larry G. & Maurice Joy, O. & Cogger, Kenneth O.
- 189-196 `Managerialism', `ownerism' and risk
by Amihud, Yakov & Kamin, Jacob Y. & Ronen, Joshua
- 197-212 Operating leverage, financial leverage, and equity risk
by Huffman, Lucy
- 213-230 Bank acquisition of non-bank firms An empirical analysis of administrative decisions
by Swary, Itzhak
- 231-252 Optimum consumption and portfolio rules with money as an asset
by Poncet, Patrice
- 253-272 Departures from interest rate parity further evidence
by Browne, F. X.
- 273-284 On the nature of credit demand and credit rationing in competitive credit markets
by Hansen, Robert S. & Thatcher, John G.
- 285-287 The demand for and supply of deposits by credit unions : The Caisses populaires' case correction and comment
by Smith, Donald J.
- 289-293 The demand for and supply of deposits by credit unions : The Caisses Populaires' case reply and comments
by Chateau, John-Peter D.
- 295-303 A comparison of the APT and CAPM a note
by Jarrow, Robert & Rudd, Andrew
March 1983, Volume 7, Issue 1
- 5-16 Testing the CAPM with broader market indexes : A problem of mean-deficiency
by Stambaugh, Robert F.
- 17-29 An empirical test of the efficiency of the ADR market
by Rosenthal, Leonard
- 31-44 The pricing of capital assets in a multiperiod world
by Blume, Marshall E.
- 45-67 Optimal capital structure : A multi-period programming model for use in financial planning
by Brick, Ivan E. & Mellon, W. G. & Surkis, Julius & Mohl, Murray
- 69-82 Nominal contracting in a world of uncertainty
by Shapiro, Alan C.
- 83-99 Correspondent services and cost economies in commercial banking
by Flannery, Mark J.
- 101-109 A note on reserve requirements and monetary control with a flexible deposit rate
by Froyen, Richard T. & Kopecky, Kenneth J.
- 111-118 Natural hazards and deposit behavior at financial institutions : A note
by Steindl, Frank G. & Weinrobe, Maurice D.
- 119-133 Reorganization in bankruptcy and the issue of strategic risk
by Aivazian, Varouj A. & Callen, Jeffrey L.
- 135-146 A simple examination of the empirical relationship between dividend yields and deviations from the CAPM
by Elton, Edwin & Gruber, Martin & Rentzler, Joel
- 147-152 Financial institutions, markets, and economic activity : Tim Campbell, (McGraw-Hill Book Company, New York, 1982)
by Morgan, George Emir
- 152-154 Options as a strategic investment : Lawrence G. McMillan, (New York Institute of Finance, New York, 1980)
by Martell, Terrence F.
- 155-156 Money and banking: analysis and policy in the Nigerian context : Simeon I. Ajayi and Oladeji O. Ojo, (George Allen and Unwin, London, 1981) pp. 274
by Umoh, Peter N.
September 1982, Volume 6, Issue 3
June 1982, Volume 6, Issue 2
- 145-159 Implied tax rates and the valuation of discount bonds
by Van Horne, James C.
- 161-178 The pricing of risky assets on the Belgian stock market
by Hawawini, Gabriel A. & Michel, Pierre A.
- 179-193 The NOW account experiment and the demand for money
by Frodin, Joanna H. & Startz, Richard
- 195-213 Correspondent balances, services, and the money supply
by Meinster, David R. & Severn, Alan K.
- 215-231 Money illusion, distribution effects and the household and business demands for money
by Katsimbris, George M. & Miller, Stephen M.
- 233-254 Pricing, operating efficiency, and profitability among large commercial banks
by Kwast, Myron L. & Rose, John T.
- 255-262 Comparing bank concentration across countries
by Honohan, Patrick & Kinsella, R. P.
- 263-275 Generalized separation of the portfolio decision process under uncertain inflation and asset pricing implications
by Senbet, Lemma W.
- 277-296 The pricing of the prime rate
by Goldberg, Michael A.
- 297-304 Alternative approaches to the theory of the banking firm : A note
by Langohr, Herwig
- 305-307 Principles of corporate finance : Richard Brealey and Stewart Myers, (Mcgraw-Hill Book Company, New York, 1981) pp. xxii + 794
by Miles, James A.
- 308-309 Investments: Analysis and Management : Jack Clark Francis, Third Edition, (McGraw-Hill Book Company, New York, 1980), pp. xviii+779
by Jordan, James V.
- 309-312 Risk and capital adequacy in commercial banks : Sherman J. Maisel, ed., (The University of Chicago Press, Chicago, IL, 1981) pp. 436, $42.00
by Sinkey, Joseph Jr.
March 1982, Volume 6, Issue 1
- 1-7 Foreword
by Greenbaum, Stuart I.
- 9-28 Innovation in monetary policy : Challenge and response
by Niehans, Jurg
- 29-31 Comments `Innovation in monetary policy: Challenge and response' by Jurg Niehans
by Karreken, John
- 33-35 Comments `Innovations in monetary policy: Challenge and response' by Jurg Niehans
by Wallich, Henry
- 37-47 The extension of futures trading to the financial sector
by Houthakker, Hendrik S.
- 49-50 Comments `The extension of futures trading to the financial sector' by Hendrik S. Houthakker
by Jaffee, Dwight M.
- 51-53 Comments `The extension of futures trading to the financial sector' by Hendrik S. Houthakker
by Mirman, Leonard J.
- 55-83 Toward a theory of bank loan commitments
by Thakor, Anjan V.
- 85-88 Comments `Toward a theory of bank loan commitments' by Anjan Thakor
by Orgler, Yair E.
- 89-112 Innovations and the portfolios of weekly reporting banks
by Hester, Donald D.
- 113-115 Comments `Innovations and the portfolios of weekly reporting banks' by D.D. Hester
by Maisel, Sherman J.
- 117-136 An analysis of the economic justification for consolidation in a secondary security market
by Cohen, Kalman J. & Maier, Steven F. & Schwartz, Robert A. & Whitcomb, David K.
- 137-140 Comments `An analysis of the economic justificiation for consolidation in a secondary security market' by Kalman J. Cohen et al
by Stoll, Hans R.
September 1981, Volume 5, Issue 3
- 291-315 Risk and capital asset prices
by Friend, Irwin & Westerfield, Randolph
- 317-344 The probability of bankruptcy: A comparison of empirical predictions and theoretical models
by Scott, James
- 345-355 Opening prices on the New York Stock Exchange
by Garbade, Kenneth D. & Sekaran, Chandra P.
- 357-361 Price behavior of deep discount bonds
by Hsia, Chi-Cheng & Weston, J. Fred
- 363-381 Standard deviations implied in option prices as predictors of future stock price variability
by Beckers, Stan
- 383-393 Market reaction to the formation of one-bank holding companies
by Martin, John D. & Keown, Arthur J.
- 395-403 Share values, inflation, and escalating tax rates
by Palmon, Dan & Yaari, Uzi
- 405-424 Taxes, clientele effect of dividend and risk, return linearity
by Fung, W.K.H.
- 425-437 The forward exchange rate and the prediction of the future spot rate: Empirical evidence
by Agmon, Tamir & Amihud, Yakov
- 439-445 Capital budgeting under conditions of uncertainty
by Bierman, Harold Jr.
- 443-445 The international money market: An assessment of forecasting techniques and market efficiency
by Umoh, Peter N.