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Regulation and Modern Finance Theory
Interpreting the Results of Risk Analysis
INTERPRETING THE RESULTS OF RISK ANALYSIS
Report of the Managing Editor of theJournal of Finance; Covering the Year 1973
Report of the Managing Editor of theJournal of Finance Covering the Year 1972
Report of the Managing Editor of theJournal of Finance Covering the Year 1971
Foreign Exchange Hedging and the Capital Asset Pricing Model
Alexander A. Robichek, Mark R. Eaker, Foreign Exchange Hedging and the Capital Asset Pricing Model, The Journal of Finance, Vol. 33, No. 3, Papers and Proceedings of the Thirty-Sixth Annual Meeting American Finance Association, New York City December 28-30, 1977 (Jun., 1978), pp. 1011-1018
The Economic Determinants of Systematic Risk
Alexander A. Robichek, Richard A. Cohn, The Economic Determinants of Systematic Risk, The Journal of Finance, Vol. 29, No. 2, Papers and Proceedings of the Thirty-Second Annual Meeting of the American Finance Association, New York, New York, December 28-30, 1973 (May, 1974), pp. 439-447