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Content
October 2004, Volume 77, Issue 4
July 2004, Volume 77, Issue 3
April 2004, Volume 77, Issue 2
January 2004, Volume 77, Issue 1
October 2003, Volume 76, Issue 4
July 2003, Volume 76, Issue 3
April 2003, Volume 76, Issue 2
January 2003, Volume 76, Issue 1
October 2002, Volume 75, Issue 4
July 2002, Volume 75, Issue 3
April 2002, Volume 75, Issue 2
January 2002, Volume 75, Issue 1
October 2001, Volume 74, Issue 4
- 483-512 An EBIT-Based Model of Dynamic Capital Structure
by Goldstein, Robert & Ju, Nengjiu & Leland, Hayne
- 513-534 Executive Stock Option Exercises and Inside Information
by Carpenter, Jennifer N & Remmers, Barbara
- 535-556 An Intraday Examination of the Federal Funds Market: Implications for the Theories of the Reverse-J Pattern
by Cyree, Ken B & Winters, Drew B
- 557-590 Cyclical Demand and the Choice of Debt Maturity
by Emery, Gary W
- 591-612 Risk Overhang and Market Behavior
by Gron, Anne & Winton, Andrew
- 613-635 Corporate Structure and Equity Offerings: Are There Benefits to Diversification?
by Hadlock, Charles J & Ryngaert, Michael & Thomas, Shawn
July 2001, Volume 74, Issue 3
- 347-374 Do Relationships Have Limits? Banking Relationships, Financial Constraints, and Investment
by Houston, Joel F & James, Christopher M
- 375-408 IPOs and Product Quality
by Stoughton, Neal M & Wong, Kit Pong & Zechner, Josef
- 409-431 Corporate Diversification, Value Maximization, and Organizational Capabilities
by Matsusaka, John G
- 433-457 Warrants in Initial Public Offerings: Empirical Evidence
by How, Janice C Y & Howe, John S
- 459-476 Is a Convertible Bond Call Really Bad News?
by Ederington, Louis H & Goh, Jeremy C
April 2001, Volume 74, Issue 2
- 187-219 Capital Markets and the Evolution of Family Businesses
by Bhattacharya, Utpal & Ravikumar, B
- 221-244 Manipulation of Cash-Settled Futures Contracts
by Pirrong, Craig
- 245-280 Spin-Offs, Ex Ante
by McConnell, John J & Ozbilgin, Mehmet & Wahal, Sunil
- 281-306 Private Information and Spin-Off Performance
by Allen, Jeffrey W
- 307-338 Imperfect Competition, Agency, and Financing Decisions
by Kanatas, George & Qi, Jianping
January 2001, Volume 74, Issue 1
- 1-31 U.K. Financial Market Returns, 1955-2000
by Dimson, Elroy & Marsh, Paul
- 33-57 Banks as Monitors of Other Banks: Evidence from the Overnight Federal Funds Market
by Furfine, Craig H
- 59-77 The Japanese Open-End Fund Puzzle
by Brown, Stephen J & Goetzmann, William N & Hiraki, Takato & Otsuki, Toshiyuki & Shiraishi, Noriyoshi
- 79-100 Visibility versus Complexity in Business Groups: Evidence from Japanese Keiretsu
by Dewenter, Kathryn & Novaes, Walter & Pettway, Richard H
- 101-124 Forecasting Bankruptcy More Accurately: A Simple Hazard Model
by Shumway, Tyler
- 125-160 Execution Costs and Their Intraday Variation in Futures Markets
by Ferguson, Michael F & Mann, Steven C
October 2000, Volume 73, Issue 4
- 501-537 Views of Financial Economists on the Equity Premium and on Professional Controversies
by Welch, Ivo
- 539-567 Banks, Ownership Structure, and Firm Value in Japan
by Morck, Randall & Nakamura, Masao & Shivdasani, Anil
- 569-595 Rate Regulation, Safety Incentives, and Loss Growth in Workers' Compensation Insurance
by Harrington, Scott E & Danzon, Patricia M
- 597-627 The Consequences of Forced CEO Succession for Outside Directors
by Farrell, Kathleen A & Whidbee, David A
- 629-660 The Measurement of Relatedness: An Application to Corporate Diversification
by Fan, Joseph P H & Lang, Larry H P
- 661-693 CEO Stock-Based Compensation: An Empirical Analysis of Incentive-Intensity, Relative Mix, and Economic Determinants
by Bryan, Stephen & Hwang, LeeSeok & Lilien, Steven
- v:73:y:2000:i:4:p:na Erratum [Stock Market Openings: Experience of Emerging Economies]
by Kim, E Han & Singal, Vijay
July 2000, Volume 73, Issue 3
- 287-329 Managerial Decisions and Long-Term Stock Price Performance
by Mitchell, Mark L & Stafford, Erik
- 331-355 Why Do Firms Repurchase Stock?
by Dittmar, Amy K
- 357-402 Information, Nonexcludability, and Financial Market Structure
by Anand, Bharat N & Galetovic, Alexander
- 403-444 Corporate Call Policy for Nonconvertible Bonds
by King, Tao-Hsien Dolly & Mauer, David C
- 445-476 Earnouts in Mergers: Agreeing to Disagree and Agreeing to Stay
by Kohers, Ninon & Ang, James
- 477-491 Drift-Independent Volatility Estimation Based on High, Low, Open, and Close Prices
by Yang, Dennis & Zhang, Qiang
April 2000, Volume 73, Issue 2
January 2000, Volume 73, Issue 1
- 1-23 Do Banking Shocks Affect Borrowing Firm Performance? An Analysis of the Japanese Experience
by Kang, Jun-Koo & Stulz, Rene M
- 25-66 Stock Market Openings: Experience of Emerging Economies
by Kim, E Han & Singal, Vijay
- 67-88 Digital Contracts: Simple Tools for Pricing Complex Derivatives
by Ingersoll, Jonathan E, Jr
- 89-107 Should Speculators Be Taxed?
by Dow, James & Rahi, Rohit
- 109-137 Assessing the Competitive Interaction between Private Labels and National Brands
by Cotterill, Ronald W & Putsis, William P, Jr & Dhar, Ravi
October 1999, Volume 72, Issue 4
- 429-461 Asset Allocation Dynamics and Pension Fund Performance
by Blake, David & Lehmann, Bruce N & Timmermann, Allan
- 463-492 Information, Blockbusters, and Stars: A Study of the Film Industry
by Ravid, S Abraham
- 493-521 Identifying Investor Sentiment from Price Paths: The Case of Football Betting
by Avery, Christopher & Chevalier, Judith
- 523-544 Relationships and Rationing in Consumer Loans
by Chakravarty, Sugato & Scott, James S
- 545-572 Timing of Seasonal Sales
by Courty, Pascal & Li, Hao
July 1999, Volume 72, Issue 3
April 1999, Volume 72, Issue 2
- 183-200 Risk, Duration, and Capital Budgeting: New Evidence on Some Old Questions
by Cornell, Bradford
- 201-213 How Good Are Business School Rankings?
by Dichev, Ilia D
- 215-228 Buffet Pricing
by Nahata, Babu & Ostaszewski, Krzysztof & Sahoo, Prasanna
- 229-256 Consumers' Extent of Evaluation in Brand Choice
by Murthi, B P S & Srinivasan, Kannan
- 257-276 The Value of Open Market Repurchases of Closed-End Fund Shares
by Porter, Gary E & Roenfeldt, Rodney L & Sicherman, Neil W
January 1999, Volume 72, Issue 1
- 1-33 Earnings Management to Exceed Thresholds
by Degeorge, Francois & Patel, Jayendu & Zeckhauser, Richard
- 35-89 The Effect of Socially Activist Investment Policies on the Financial Markets: Evidence from the South African Boycott
by Teoh, Siew Hong & Welch, Ivo & Wazzan, C Paul
- 91-117 Offshore Hedge Funds: Survival and Performance, 1989-95
by Brown, Stephen J & Goetzmann, William N & Ibbotson, Roger G
- 119-134 Price Pressure: Evidence from the "Dartboard" Column
by Liang, Bing
- 135-157 Pricing Patterns as Outcomes of Product Positions
by Tyagi, Rajeev K
October 1998, Volume 71, Issue 4
July 1998, Volume 71, Issue 3
- 319-347 Relationship between Labor-Income Risk and Average Return: Empirical Evidence from the Japanese Stock Market
by Jagannathan, Ravi & Kubota, Keiichi & Takehara, Hitoshi
- 349-369 Self-Enforcing Union Contracts: Efficient Investment and Employment
by Addison, John T & Chilton, John B
- 371-405 New Insights into Smile, Mispricing, and Value at Risk: The Hyperbolic Model
by Eberlein, Ernst & Keller, Ulrich & Prause, Karsten
- 407-437 Compensation and Industry Profitability: Evidence from the Property-Casualty Insurance Industry
by Gron, Anne
- 439-469 Race, Redlining, and Automobile Insurance Prices
by Harrington, Scott E & Niehaus, Greg
April 1998, Volume 71, Issue 2
- 147-177 Monetary Policy Actions, Intervention, and Exchange Rates: A Reexamination of the Empirical Relationships Using Federal Funds Rate Target Data
by Bonser-Neal, Catherine & Roley, V Vance & Sellon, Gordon H, Jr
- 179-210 Leverage and Market Stability: The Role of Margin Rules and Price Limits
by Chowdhry, Bhagwan & Nanda, Vikram
- 211-252 Callable U.S. Treasury Bonds: Optimal Calls, Anomalies, and Implied Volatilities
by Bliss, Robert R & Ronn, Ehud I
- 253-307 The Effects of Total Quality Management on Corporate Performance: An Empirical Investigation
by Easton, George S & Jarrell, Sherry L
January 1998, Volume 71, Issue 1
October 1997, Volume 70, Issue 4
July 1997, Volume 70, Issue 3
- 323-350 Does It All Add Up? Benchmarks and the Compensation of Active Portfolio Managers
by Admati, Anat R & Pfleiderer, Paul
- 351-383 New Evidence on Stock Price Effects Associated with Changes in the S&P 500 Index
by Lynch, Anthony W & Mendenhall, Richard R
- 385-407 Renegotiation, Investment Horizons, and Managerial Discretion
by Noe, Thomas H & Rebello, Michael J
- 409-433 Long-Run Common Stock Returns following Stock Splits and Reverse Splits
by Desai, Hemang & Jain, Prem C
- 435-462 Hysteresis and the Value of the U.S. Multinational Corporation
by Christophe, Stephen E
April 1997, Volume 70, Issue 2
- 153-187 Compensation, Turnover, and Top Management Incentives: Historical Evidence
by Hadlock, Charles J & Lumer, Gerald B
- 189-216 Corporate Bankruptcy and Insider Trading
by Seyhun, H Nejat & Bradley, Michael
- 217-247 Market Manipulation and the Role of Insider Trading Regulations
by John, Kose & Narayanan, Ranga
- 249-279 Business Cycles for G7 and European Countries
by Artis, Michael J & Kontolemis, Zenon G & Osborn, Denise R
- 281-311 The Distribution of Stock Returns Implied in Their Options at the Turn-of-the-Year: A Test of Seasonal Volatility
by Jones, Steven L & Singh, Manoj K
January 1997, Volume 70, Issue 1
- 1-31 The Best Business Schools: A Market-Based Approach
by Tracy, Joseph & Waldfogel, Joel
- 33-62 Board Composition and Corporate Control: Evidence from the Insurance Industry
by Mayers, David & Shivdasani, Anil & Smith, Clifford W, Jr
- 63-84 New Evidence on the Monday Seasonal in Stock Returns
by Kamara, Avraham
- 85-103 Equilibrium Product Bundling
by Chen, Yongmin
- 105-123 The Exchange-Rate Risk Exposure of Asset Returns
by Chow, Edward H & Lee, Wayne Y & Solt, Michael E
October 1996, Volume 69, Issue 4
- 415-428 Discounting under Uncertainty
by Fama, Eugene F
- 429-455 Rational Capital Budgeting in an Irrational World
by Stein, Jeremy C
- 459-487 Empirical Analysis of Competitive Product Line Pricing Decisions: Lead, Follow, or Move Together?
by Kadiyali, Vrinda & Vilcassim, Naufel J & Chintagunta, Pradeep K
- 489-510 Durable Goods Pricing When Quality Matters
by Waldman, Michael
- 511-535 Causes and Consequences of Price Premiums
by Rao, Akshay R & Monroe, Kent B
July 1996, Volume 69, Issue 3
April 1996, Volume 69, Issue 2
January 1996, Volume 69, Issue 1
- 1-25 Long Forward and Zero-Coupon Rates Can Never Fall
by Dybvig, Philip H & Ingersoll, Jonathan E, Jr & Ross, Stephen A
- 27-49 What Do the Leading Indicators Lead?
by Hamilton, James D & Perez-Quiros, Gabriel
- 51-73 Unionization and Acquisitions
by Fallick, Bruce C & Hassett, Kevin A
- 75-87 Efficient versus "Popular" Tariffs for Regulated Monopolies
by Beard, T Randolph & Thompson, Henry
- 89-101 On the Information Content of Calls of Convertible Securities
by Byrd, Anthony K & Moore, William T
October 1995, Volume 68, Issue 4