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Content
June 1971, Volume 26, Issue 3
May 1971, Volume 26, Issue 2
- 243-250 Domestic Expansion and External Responsibilities
by Volcker, Paul A
- 251-268 The Effect of the Business Cycle on Trade Flows of Industrial Countries
by Adams, F Gerard & Junz, Helen B
- 269-286 Capital Movements Among Major OECD Countries: Some Preliminary Results
by Branson, William H & Hill, Raymond D, Jr
- 287-302 The Welfare Economics of International Adjustment
by Willett, Thomas O & Tower, Edward
- 303-305 Balance of Payments Adjustment: Discussion
by Krause, Lawrence B
- 306-307 Balance of Payments Adjustment: Discussion
by Hodgman, Donald R
- 308-308 Balance of Payments Adjustment: Discussion
by Stern, Robert M
- 309-309 Lessons of the Penn Central Debacle: Discussion
by Bernstein, Peter L
- 311-326 The Industrial Economics Background Of the Penn Central Bankruptcy
by Weston, J Fred
- 327-332 The Penn Central Debacle: Lessons for Financial Analysis
by Murray, Roger F
- 333-345 Railroad Bankruptcy Propensity
by Altman, Edward I
- 347-356 Towards a Theory of Financial Distress
by Gordon, Myron J
- 359-360 Lessons of the Penn Central Debacle: Discussion
by Freund, William C
- 363-377 Wealth Accumulation of Black and White Families: The Empirical Evidence
by Terrell, Henry S
- 379-405 The Black Banks: An Assessment of Performance and Prospects
by Brimmer, Andrew F
- 407-425 Black Banking-Problems and Prospects
by Irons, Edward D
- 427-444 Housing the Underhoused in the Inner City
by Case, Fred E
- 445-457 The Small Business Capital Gap: The Special Case of Minority Enterprise
by Garvin, W J
- 458-465 Financial Constraints and Minority Economic Development: Discussion
by Alexis, Marcus
- 466-468 Financial Constraints and Minority Economic Development: Discussion
by Lindsay, Robert
- 469-471 Financial Constraints and Minority Economic Development: Discussion
by Grigsby, William G
- 473-506 Dynamic Programming Applications in Finance
by Elton, Edwin J & Gruber, Martin J
- 507-519 Dividend Policy and New Equity Financing
by Van Horne, James C & McDonald, John G
- 521-537 A Pure Financial Rationale for the Conglomerate Merger
by Lewellen, Wilbur G
- 538-539 Business Finance Issues: Discussion
by Myers, Stewart C
- 540-542 Business Finance Issues: Discussion
by Brigham, E F
- 543-546 Business Finance Issues: Discussion
by Higgins, Robert C
- 547-564 Effects of Suboptimization on Urban Government Decision Making
by Shoup, Donald C
- 565-578 On the Demise of the Social Discount Rate
by Somers, Harold M
- 579-580 Evaluation of Government Expenditures: Discussion
by Due, John F
- 581-583 Evaluation of Government Expenditures: Discussion
by Herber, Bernard P
- 585-597 Financial Structure and Regulation: Some Knotty Problems
by Chase, Samuel B, Jr
- 599-604 The Future Shape of Banking Regulation
by Golembe, Carter H
- 605-613 A More Constructive Role for Deposit Insurance
by Kreps, Clifton H, Jr & Wacht, Richard F
- 615-646 Antitrust and Competitive Issues in United States Banking Structure
by Goodman, Oscar R
- 647-649 Trends in Banking Structure and Regulation
by Mayne, Lucille S
- 650-651 Trends in Banking Structure and Regulation: Discussion
by Schotta, Charles
March 1971, Volume 26, Issue 1
- 1-10 On the Assessment of Risk
by Blume, Marshall E
- 11-30 Portfolio Returns and the Random Walk Theory
by Cheng, Pao L & Deets, M King
- 31-37 The Relative Importance of Monetary and Fiscal Variables in Determining Price Level Movements: A Note
by Rose, Peter S & Hunt, Lacy H, II
- 39-50 Deposit Composition and Commercial Bank Earnings
by Bond, Richard E
- 51-66 Investment Diversification and Bond Maturity
by Roll, Richard
- 67-82 Uncertainty, Information and Investment Decisions
by Smith, R G E
- 83-88 An Econometric Study of Euro-Dollar Borrowing by New York Banks and the Rate of Interest on Euro-Dollars
by Black, Stanley W
- 89-94 The Interdependence of International Equity Markets
by Grubel, Herbert G & Fadner, Kenneth
- 95-117 Portfolio Analysis, Stock Valuation and Capital Budgeting Decision Rules for Risky Projects
by Stapleton, Richard C
- 119-125 The Measurement of the Volatility of Common Stock Prices
by Pinches, George E & Kinney, William R, Jr
- 127-136 The Full-Employment Interest Rate and the Neutralized Money Stock: Comment
by Hendershott, Patric H
- 137-143 The Full Employment Interest Rate and the Neutralized Money Stock: Reply
by Starleaf, Dennis R & Stephenson, James A
- 144-147 Financing with Convertible Preferred Stock: Comment
by Melicher, Ronald W
- 148-149 A Comment on Financing with Convertible Preferred Stock, 1960-1967
by Weygandt, Jerry J
- 150-151 Financing with Convertible Preferred Stock, 1960-1967: Reply
by Pinches, George E
- 152-155 Tight Money as a Cause of Inflation: Comment
by Hotson, John H
- 156-158 Tight Money as a Cause of Inflation: Reply
by Horwich, George
- 159-164 A Note on Average Interest Charges on Bank Loans, The Loan Mix, and Measures of Competition
by Haslem, John A & Longbrake, William A
- 165-174 "Yale" and Money
by Brunner, Karl
December 1970, Volume 25, Issue 5
- 1005-1027 An Extension of the Markowitz Portfolio Selection Model to Include Variable Transactions' Costs, Short Sales, Leverage Policies and Taxes
by Pogue, G A
- 1029-1039 Banking Services, Minimum Cash Balances, and the Firm's Demand for Money
by Frost, Peter A
- 1041-1059 A Model of Warrant Pricing in a Dynamic Market
by Chen, Andrew H Y
- 1061-1080 Financial Structure and the Theory of Production
by Turnovsky, Stephen J
- 1081-1090 Tax-Induced Bias in Reported Treasury Yields
by Robichek, Alexander A & Niebuhr, W David
- 1091-1107 Cash Generation in Business Operations: Some Simulation Models
by Budin, Morris & Eapen, A T
- 1109-1121 Essentials of Portfolio Diversification Strategy
by Mao, James C T
- 1123-1124 The Erroneous MEC Function
by Bailey, E Norman
- 1125-1131 On the Measurement of Fund Performance
by Mills, Harlan D
- 1133-1141 A Microeconomic Approach to Banking Competition
by Brucker, Eric
- 1143-1152 Retirement of Non-Callable Preferred Stock
by Stevenson, Richard A
- 1153-1158 Alternative Efficiency Criteria: An Empirical Analysis
by Levy, Haim & Sarnat, Marshall
- 1159-1160 A Note on Earnings Risk and the Coefficient of Variation: Comment
by Jarrett, Jeffrey E
- 1161-1165 Exact Determination of Earnings Risk by the Coefficient of Variation
by Roberts, Charles Dewitt & Roberts, Edna N
- 1166-1168 Ratio Analysis and the Predicition of Firm Failure
by Johnson, Craig G
- 1169-1172 Ratio Analysis and the Prediction of Firm Failure: A Reply
by Altman, Edward I
September 1970, Volume 25, Issue 4
- 743-760 The Specification of Money Demand-Supply Models Which Involve the Use of Distributed Lags
by Starleaf, Dennis R
- 761-776 A Study of Money Stock Control
by Kalish, Lionel
- 777-781 The Effect of Credit on Transactions Demand for Cash
by Sastry, A S Rama
- 783-794 New Listings and Their Price Behavior
by Van Horne, James C
- 795-802 Diversification, Portfolio Analysis and the Uneasy Case for Conglomerate Mergers
by Levy, Haim & Sarnat, Marshall
- 803-807 Security and Investment: More Evidence
by DeFelice, Frank
- 809-818 Expectations, Prices, Coupons and Yields
by Buse, A
- 819-835 On Risk-Adjusted Capitalization Rates and Valuation By Individuals
by Adler, Michael
- 837-852 Demand and Supply in the Commercial Paper Market
by Schadrack, Frederick C, Jr
- 853-868 Prediction of Bank Failures
by Meyer, Paul A & Pifer, Howard W
- 869-879 Bank Behavior with Respect to Deposit Variability
by Dewald, William G & Dreese, G Richard
- 881-891 On the Distribution of New International Reserves
by Hawkins, Robert G & Rangarajan, C
- 893-897 Leverage, Dividend Policy and the Cost of Capital: Comment
by Davenport, Michael
- 898-903 Leverage, Dividend Policy and the Cost of Capital: Comment
by Mendelson, Morris
- 904-908 Leverage, Dividend Policy and the Cost of Capital: Reply
by Brigham, Eugene F & Gordon, Myron J
- 909-914 A Note on the Measurement of Conglomerate Diversification
by Westerfield, Randolph
- 915-916 A Note on the Measurement of Conglomerate Diversification: Reply
by Smith, Keith V & Schreiner, John C
- 917-922 Premiums on Convertible Bonds: Comment
by Cretien, Paul D, Jr
- 923-927 Premiums on Convertible Bonds: Comment
by Duvel, David Tell
- 928-930 Premiums on Convertible Bonds: Comment
by Mumey, G A
- 931-933 Premiums on Convertible Bonds: Reply
by Weil, Roman L & Segall, Joel E & Green, David, Jr
June 1970, Volume 25, Issue 3
- 539-554 Forecasting and Probability Distributions for Models of Portfolio Selection
by Fried, Joel
- 555-560 Appraising Performance of Investment Portfolios
by Gaumnitz, Jack E
- 561-571 An Analysis of Portfolio Maintenance Strategies
by Evans, John L
- 573-584 Capital Rationing and External Discount Rates
by Elton, Edwin J
- 585-597 The Interest Rate on Federal Funds: An Empirical Approach
by Platt, Robert B
- 599-513 Free Reserves, Interest Rates, and Deposits: A Synthesis
by Hendershott, Patric H & De Leeuw, Frank
- 615-632 The Determinants of Deposit-Rate Setting by Savings and Loan Associations
by Goldfeld, Stephen M & Jaffee, Dwight M
- 633-637 The Effect of Pension Plans on Other Retirement Saving
by Schoeplein, Robert N
- 639-649 Short Run Determinants of Commercial Bank Investment Portfolios: An Empirical Analysis
by Melnik, Arie
- 651-657 Ownership and Control Among Large Member Banks
by Vernon, Jack R
- 659-667 Federal Open Market Operations and Variations in the Reserve Base
by Bonomo, Vittorio & Schotta, Charles
- 669-673 The Capital Structure and the Cost of Capital: Comment
by Litzenberger, Robert H & Jones, Charles P
- 674-677 A Comment on the Capital Structure and the Cost of Capital: A Suggested Exposition
by Haugen, Robert A & Pappas, James L
- 678-681 On the Capital Structure Theorem: Reply
by Ben-Shahar, Haim
- 682-684 The Optimal Rate of Investment in a Firm: Comment
by Nichols, Alan
- 685-686 The Optimal Rate of Investment in a Firm: Reply
by Sau, Ranjit K
May 1970, Volume 25, Issue 2
- 233-241 Controlling Inflation and the Inflationary Mentality
by Roosa, Robert V
- 243-273 The State of the Finance Field Methodology Models of Equity Valuation: The Great SERM Bubble
by Keenan, Michael
- 275-289 A Monetarist Model of the Monetary Process
by Fand, David I
- 291-315 An Analytical Model for Long-Range Financial Planning
by Carleton, Willard T
- 316-319 The State of the Finance Field Methodology. A Discussion
by Shelton, John P
- 320-321 The State of the Finance Field Methodology. A Discussion
by Lerner, Eugene M
- 322-325 The State of the Finance Field Methodology. A Discussion
by Klein, John J
- 326-327 The State of the Finance Field Methodology. A Discussion
by McKenna, Joseph P
- 329-347 Survey of Investment Management: Teaching versus Practice
by Smith, Keith V & Goudzwaard, Maurice B
- 349-360 Survey of Capital Budgeting: Theory and Practice
by Mao, James C T
- 361-374 The Term Structure of Interest Rates: An Attempt to Reconcile Teaching with Practice
by Kane, Edward J
- 375-376 Future Directions in the Teaching and Practice of Finance. A Discussion
by Treynor, Jack
- 377-379 Future Directions in the Teaching and Practice of Finance. A Discussion
by Schwartz, Eli
- 380-381 Future Directions in the Teaching and Practice of Finance. A Discussion
by Silber, William L
- 383-417 Efficient Capital Markets: A Review of Theory and Empirical Work
by Fama, Eugene F
- 418-420 Stock Market Price Behavior. A Discussion
by Sharpe, William F
- 421-423 Stock Market Price Behavior. A Discussion
by Schwartz, Robert A
- 425-433 Is There an Optimal Money Supply?
by Clower, Robert W
- 435-442 Is There an Optimal Money Supply?
by Johnson, Harry G
- 443-445 Is There an Optimal Money Supply? A Discussion
by Smith, Warren L
- 446-449 Is There an Optimal Money Supply? A Discussion
by Sheshinski, Eytan
- 450-453 Is There an Optimal Money Supply? A Discussion
by Meltzer, Allan H
- 455-467 Measuring the Risk Dimension of Investment Performance
by Robinson, Randall S
- 469-482 Random Walks and Technical Theories: Some Additional Evidence
by Jensen, Michael C & Bennington, George A
- 483-492 Test of a Stock Valuation Model
by Bower, Dorothy H & Bower, Richard S
- 493-494 Empirical Testing of Investment Models. A Discussion
by Archer, Stephen H
- 495-499 Empirical Testing of Investment Models. A Discussion
by Jen, Frank C
- 500-502 Empirical Testing of Investment Models. A Discussion
by Elton, Edwin J
- 503-515 Factors Affecting Price, Volume and Credit Risk in the Consumer Finance Industry
by Shay, Robert P
- 517-525 Pricing Policies on Consumer Loans at Commercial Banks
by Smith, Paul F
- 526-528 The Price-Volume Structure of the Consumer Credit Industry. A Discussion
by Goudzwaard, Maurice B
- 529-530 The Price-Volume Structure of the Consumer Credit Industry. A Discussion
by Stiles, Lynn A
March 1970, Volume 25, Issue 1
- 19-34 Price Expectations Effects on Interest Rates
by Gibson, William E
- 35-46 The Cost of Capital and the Structure of the Firm
by Vickers, Douglas
- 47-51 Multidimensional Risk and the Modigliani-Miller Hypothesis
by Resek, Robert W
- 53-63 Financing with Convertible Preferred Stock, 1960-1967
by Pinches, George E
- 65-81 Commodity Futures: Trends or Random Walks?
by Stevenson, Richard A & Bear, Robert M
- 83-97 The Differential Effects of Tight Money: An Econometric Study
by Silber, William L & Polakoff, Murray E
- 99-108 Two Notes on the Uniqueness of Commercial Banks
by Wood, John H
- 109-125 Further Reflections on and Investigations of Money Demand
by Weintraub, Robert & Hosek, William R
- 127-134 The Uncertainty in Risk: Is Variance Unambiguous?
by Joyce, Jon M & Vogel, Robert C
- 135-142 The Cost of Capital and Investment Criteria in the Public Sector
by Schwartz, Eli
- 143-148 Qtrly Earnings Reports and Intermediate Stock Price Trends
by Jones, Charles P & Litzenberger, Robert H
- 149-152 The Income Elasticity of Corporate Philanthropy: Comment
by Johnson, Orace & Johnson, Walter
- 153-157 The Income Elasticity of Corporate Philanthropy: Reply
by Schwartz, Robert A
December 1969, Volume 24, Issue 5
- 801-824 The Relationship between Put and Call Option Prices
by Stoll, Hans R
- 825-833 Linear Programming and Capital Budgeting Models: A New Interpretation
by Carleton, Willard T
- 835-847 The Uselessness of Transactions Demand Models
by Sprenkle, Case M
- 849-870 An Analysis and Evaluation of Alternative Reserve Requirement Plans
by Benston, George J
- 871-874 The Impact of Forced Conversion on Stock Prices
by Bacon, Peter W & Winn, Edward L, Jr
- 875-885 Forward Exchange and Currency Position
by Schilling, Don
- 887-900 Corporate Bankruptcy Potential, Stockholder Returns and Share Valuation
by Altman, Edward I
- 901-904 A Note on Earnings Risk and the Coefficient of Variation
by Brief, Richard P & Owen, Joel
- 905-919 A Portfolio Approach to Corporate Demands for Government Securities
by Jeffers, James R & Kwon, Jene
- 921-937 Imputed Equity Returns on Real Estate Financed with Life Insurance Company Loans
by Ricks, R Bruce
- 939-941 Non-convertible Preferred Stock as a Financing Instrument 1950-65: Comment
by Elsaid, Hussein H
- 942-949 On the Transactions Demand for Cash: Comment
by Draper, J E & Hawkins, Clark A
- 950-953 On the Transactions Demand for Cash: Reply
by Whalen, Edward L
September 1969, Volume 24, Issue 4
- 595-612 Test of Portfolio Building Rules
by Latane, Henry A & Young, William E
- 613-621 Capital Budgeting Decisions under Imperfect Market Conditions-A Systems Framework
by Moag, Joseph S & Lerner, Eugene M
- 623-641 A Suggested Solution to the Monetary-Policy Indicator Problem: The Monetary Full Employment Interest Rate
by Starleaf, Dennis R & Stephenson, James A
- 643-658 Household Demand for Savings Deposits, 1921-1965
by Chase, Samuel B, Jr
- 659-662 Regional Growth Disparities and the Mortgage Market
by Winger, Alan R
- 663-671 Equilibrium in the Equity Market under Uncertainty
by Litzenberger, Robert H
- 673-677 Leverage and the Value of the Firm
by Sarma, L V L N & Roa, K S Hanumanta
- 679-696 The Household Demand for Money: An Empirical Study
by Kaminow, Ira
- 697-705 Bank Examiner Criticisms, Bank Loan Defaults, and Bank Loan Quality
by Wu, Hsiu-Kwang
- 707-713 The Treatment of Risk in the Stock Market
by Briscoe, G & Samuels, J M & Smyth, David J
- 715-719 A Utility Function Depending on the First Three Moments: Comment
by Levy, Haim
- 720-720 A Utility Function Depending on the First Three Moments: Reply
by Arditti, Fred D
June 1969, Volume 24, Issue 3
- 387-411 The Banking Structure and the Transmission of Monetary Policy
by Peltzman, Sam
- 413-427 A Portfolio Analysis of Conglomerate Diversification
by Smith, Keith V & Schreiner, John C
- 429-445 Risk Premium Curves for Different Classes of Long-Term Securities, 1950-1966
by Soldofsky, Robert M & Miller, Roger L
- 447-458 The World War II Policy of Fixing a Pattern of Interest Rates
by Wicker, Elmus R
- 459-477 Default Risk on FHA-Insured Home Mortgages as a Function of the Terms of Financing: A Quantitative Analysis
by von Furstenberg, George M
- 479-490 The Relationship of Rules of Thumb to the Internal Rate of Return: A Restatement and Generalization
by Sarnat, Marshall & Levy, Haim
- 491-506 Expectations, Transactions Costs, and Asset Demands
by Grossman, Herschel I
- 507-516 A Comparative Analysis of the Net Present Value and the Benefit-Cost Ratio as Measures of the Economic Desirability of Investment
by Schwab, Bernhard & Lusztig, Peter
- 517-529 The Effect of Size, Growth, and Industry on the Financial Structure of Manufacturing Companies
by Gupta, Manak C
- 530-535 Inflation and Common Stock Values: Comment
by Motley, Brian
May 1969, Volume 24, Issue 2