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Content
December 1984, Volume 36, Issue 4
August 1984, Volume 36, Issue 3
- 291-306 Return and price volatility of bonds with different credit risk
by Stock, Duane & Schrems, Edward L.
- 307-321 Adjustment costs and theory of investment under uncertainty
by Nguyen, Dung
- 323-333 Prices of deep discount bonds and the Revenue Act of 1978: An evaluation of market response
by Fraser, Donald R. & Richards, R. Malcolm
- 335-344 Capital budgeting and uncertain inflation
by Chen, Son Nan
- 345-357 Increases in energy prices, costs of production, and plant size
by Berger, Mark C.
- 359-370 A "Pure" long-term interest rate and the demand for money
by Amsler, Christine
May 1984, Volume 36, Issue 2
- 161-176 Scale economies, entry, and welfare
by Clarke, Richard N.
- 177-188 The error learning hypothesis: The evidence reexamined
by Jarrow, Robert
- 189-206 Formulating a strategic portfolio of profitable retail market segments for commercial banks
by Dominguez, Luis V. & Page, Albert L.
- 207-216 Indexed bonds: A comparative analysis
by Chance, Don M. & Bolster, Paul J.
- 217-232 The valuation of subsidies in kind and their effects on costs
by Wolken, John D. & Navratil, Frank J.
- 233-241 Microeconomic influences on operating leverage
by Stowe, John D. & Ingene, Charles A.
- 243-249 Mutual forbearance as an extension of oligopoly theory
by Feinberg, Robert M.
- 251-262 Credit union taxation: Competitive effects
by Cook, Thomas & D'Antonio, Louis
- 263-274 The subsidization of small business through federal credit programs: Analytical foundations
by Lombra, Raymond E. & Wasylenko, Michael & Wasylenko, Michael
- 275-281 Bank holding company affiliation and contracyclical lending by mortgage bankers
by Burke, Jim & Rhoades, Stephen A.
- 283-287 Bank structure and mortgage rates: a comment
by Curry, Timothy J. & Rose, John T. & Rose, John T.
- 289-290 Bank structure and mortgage rates: Reply
by Marlow, Michael L. & Marlow, Michael L.
February 1984, Volume 36, Issue 1
- 1-14 Heterogeneity in performance within the bank holding company sector: Evidence and implications
by Rose, Peter S. & Scott, William S.
- 15-28 The optimal size of the competitive firm
by Carson, R.
- 29-42 Firms' acquisition decisions and Tobin's q ratio
by Chappell, Henry Jr. & Cheng, David C.
- 43-64 A comparison of job analytic and conventional economic variables as explanations of occupational earnings differentials
by Dauffenbach, Robert C. & Greer, Charles R.
- 65-75 The determination of corporate optimal capital structure under value maximization and informational asymmetry
by Talmor, Eli
- 77-84 Bank profitability and interest rate risk
by Hanweck, Gerald A. & Kilcollin, Thomas Eric
- 85-93 The monetary base or M1? results from a small macromodel
by Hafer, R. W.
- 95-105 Bankruptcy filings before and after implementation of the bankruptcy reform law
by Peterson, Richard L. & Aoki, Kiyomi
- 107-131 Comparison of alternative models for estimating the cost of equity capital for electric utilities
by Makhija, Anil K. & Thompson, Howard E.
- 133-140 The structural stability of the market model after the Three Mile Island accident
by Chen, Carl R.
- 141-149 Competition in the market for consumer loans
by Sullivan, A. Charlene
- 151-160 "Firm" or "market" data: the proper test of the structure--performance relationship
by White, Alice P.
August 1983, Volume 35, Issue 3-4
- 257-258 Preface
by Lee, Cheng F.
- 259-283 Financial analysis and planning: an overview
by Lee, Cheng F. & Junkus, Joan C.
- 285-300 Financial planning and forecasting models: an overview
by Francis, Jack Clark
- 301-311 A comparison of econometric, time series, and composite forecasting methods in predicting accounting variables
by Ang, James S. & Chua, Jess H. & Fatemi, Ali M.
- 313-330 A multiobjective financial planning model for electric utility rate regulation
by Linke, Charles M. & Whitford, David T.
- 331-341 Abandonment value and capital budgeting under uncertainty
by Cox, Samuel Jr. & Martin, John D.
- 343-378 An operational approach to integrated working capital planning
by Crum, Roy L. & Klingman, Darwin D. & Tavis, Lee A.
- 379-388 A seemingly unrelated regressions approach to analyzing and forecasting financial ratios
by Frecka, Thomas J. & Lee, Cheng F.
- 389-397 Advertising and R&D investments in the wealth-maximizing firm
by Walter Elliott, J.
- 399-411 Forecasting the term structure of interest rates and portfolio planning models
by Cargill, Thomas F. & Meyer, Robert A.
- 413-440 Financial analysis and strategic management
by Duhaime, Irene M. & Thomas, Howard
- 441-451 An empirical examination of the preference structure for the distribution of earnings
by McDonald, Bill
June 1983, Volume 35, Issue 2
- 139-157 A framework for analyzing money stock control under the Monetary Control Act
by Kopecky, Kenneth J. & Parke, Darrel W. & Porter, Richard D.
- 159-168 Ownership dispersion as a second-best counterstrategy against monopoly
by Morrison, Clarence C.
- 169-187 Determinants of callable convertible bond prices
by Yalawar, Yalaguresh B.
- 189-203 Monetary policy and the daily behavior of interest rates
by Cornell, Bradford
- 205-211 Optimal portfolio composition and the CAPM
by Booth, Laurence
- 213-220 The impact of the composition of government spending on private consumption and investment: some impirical evidence
by Bennett, James T.
- 221-233 Oil price shocks in a portfolio-balance model
by Caprio, Jerry & Clark, Peter B.
- 235-238 Oil prices and world inflation
by Sheehan, Richard G. & Kelly, Neil
- 239-244 Did the Swiss demand for money function shift?
by Allen, Stuart
- 245-255 A model of teenage labor supply
by Goldfarb, Robert S. & Yezer, Anthony M. J.
1983, Volume 35, Issue 1
- 1-10 Entry inclinations under uncertainty
by Horowitz, Ira
- 11-20 Note, advance refunding and municipal bond market efficiency
by Fischer, P. J.
- 21-40 Competitive strategies and performance in technology-based industries
by Tassey, Gregory
- 41-54 An analysis of the behavior of mature black-owned commercial banks
by Kwast, Myron L. & Black, Harold
- 55-59 Labor market differentials and the expected gain from search
by Warren, Ronald Jr.
- 61-70 The medical expense deduction and income levels: Progressive or regressive?
by Southwick, Lawrence Jr. & Cadigan, John Jr.
- 71-82 Some factors determining municipal revenue bond interest costs
by Leonard, Paul A.
- 83-94 A theoretical model of medical malpractice and the quality of care
by Schlesinger, Harris
- 95-108 The role of buyer power in oligopoly models: An empirical study
by Landis Gabel, H.
- 109-121 Sales expectations and inventory changes in retail trade
by Pearce, Douglas K. & Wisley, Thomas O.
- 123-130 Market power and systematic risk
by Moyer, R. Charles & Chatfield, Robert
- 131-137 Uncertainty, organizational form, and x-efficiency
by Holtmann, A. G.
1982, Volume 34, Issue 4
- 283-289 On the use of profit data to estimate the social cost of monopoly power in an oligopoly
by Holt, Charles Jr.
- 291-301 Bayesian and mixed estimators of time varying betas
by Chen, Son-Nan & Lee, Cheng F.
- 303-315 Optimal dynamic behavior of a market maker in choosing bid and asked prices
by Bradfield, James
- 317-329 Automatic adjustment clauses and allocative efficiency in public utilities
by Cowing, Thomas G. & Stevenson, Rodney E.
- 331-341 Long-run implications of industrial bond ratings as risk surrogates
by Peavy, John III & Edgar, S. Michael
- 343-348 SBA default rates : Selection bias and credit deterioration
by Grimshaw, Alan & Edmister, Robert O.
- 349-354 Statistical methods for bankruptcy forecasting
by Collins, Robert A. & Green, Richard D.
- 355-365 The impact of bank holding companies on local market rivalry and performance
by Rhoades, Stephen A. & Rutz, Roger D.
- 367-375 The determinants of occupational mobility patterns among blue-collar jobs
by Dauffenbach, Robert C.
- 377-385 Capital market efficiency and the relationship between equity returns, interest rates, and monetary aggregates in Australia
by Hogan, W. P. & Sharpe, I. G. & Volker, P. A.
- 387-390 A market index futures contract and portfolio selection
by Grant, Dwight
- 391-395 Regularity and diversity in firm size distributions in U.S. industries
by Kwoka, John Jr.
1982, Volume 34, Issue 3
- 193-199 A short-run analysis of the effects of portfolio realignments due to money market innovations
by Witte, Willard E.
- 201-206 Beta stability and tendency : An application of a variable mean response regression model
by Lee, Cheng F. & Chen, Carl R.
- 207-213 Capital market integration : Some evidence from foreign-controlled securities
by Biger, Nahum
- 215-229 Determinants of systematic volatility of corporate bonds
by McEnally, Richard W. & Ferri, Michael G.
- 231-240 Minimum wage regulation and economic growth
by Drabicki, John Z. & Takayama, Akira
- 241-246 Empirical evidence on the natural rate hypothesis and Fisher effect for the U.S. 1953-1978
by Kolluri, Bharat R. & Ganti, Subrahmanyam
- 247-252 Bell System scale economies estimated from a random coefficients model
by Raj, Baldev & Vinod, H. D.
- 253-262 Aggregate supply considerations and the St. Louis equation
by Reichenstein, William R. & Bonello, Frank J.
- 263-268 Are treble damages double damages?
by Lovell, Michael C.
- 269-281 An estimation of the deadweight and x-efficiency losses in the municipal electric industry
by Hollas, Daniel R. & Herren, Robert Stanley
1982, Volume 34, Issue 2
- 101-109 Market efficiency across securities exchanges
by Lease, Ronald C. & Lewellen, Wilbur G.
- 111-122 An econometric assessment of the Canadian wage and price control program: 1975:4-1977:4
by Lucas, R. F. & St. Louis, L. V. & Endeshaw, Z.
- 123-128 Size and rank stability of the 100 largest commercial banks, 1925-1978
by Rhoades, Stephen A.
- 129-133 The optimal policy rule under rational expectations and multiplier uncertainty
by Mitchell, Douglas W.
- 135-142 Bank structure and mortgage rates: Implications for interstate banking
by Marlow, Michael L.
- 143-148 The effects of mortgage laws on home mortgage rates
by Meador, Mark
- 149-152 The separation of ownership from control and investment performance
by Madden, Gerald P.
- 153-157 Some evidence on the role of money illusion in labor supply behavior
by Hadley, Lawrence H.
- 159-163 A note on the association between systematic risk and common stock and bond rating classifications
by Fabozzi, Frank J.
- 165-171 The economics of enforcement: The case of OSHA
by Marlow, Michael L.
- 173-187 Corporate social responsibility: The debate revisited
by Walton, Clarence C.
- 189-192 In defense of social responsibility
by Byron, William J. & Byron, S. J.
1982, Volume 34, Issue 1
- 1-12 Path-type reliability assessments for consumer panel data
by Hornik, Jacob & Narayana, Chem L.
- 13-19 Vertical performance management: Strategic implications for financial service
by Hempel, Donald & Laric, Michael V. & Mandell, Lewis
- 21-37 Cost-volume-profit analysis under uncertainty: An integration of economic and accounting concepts
by Yunker, James A. & Yunker, Penelope J.
- 39-50 Differencing interval and autocorrelation effects on portfolio diversification: Additive versus multiplicative assumptions
by Chen, Son-Nan & Keown, Arthur J.
- 51-58 Labor market equilibria under limited liability
by Brick, Ivan E. & Sudit, Ephraim F.
- 59-65 Industry demand characteristics and the structure-performance relationship
by Martin, Stephen
- 67-78 Multiple regression with a qualitative dependent variable
by Rubinfeld, Daniel L.
- 79-85 Liquidity constraints in sequential economics
by Eckalbar, John C.
- 87-93 Involuntary layoffs and rigid wages
by Carson, R.
- 95-100 Economic aspects of diffusion models
by Liebermann, Yehoshua & Paroush, Jacob