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Details about Gordon Roberts

This author is deceased (2017-03-22).

Access statistics for papers by Gordon Roberts.

Last updated 2023-03-10. Update your information in the RePEc Author Service.

Short-id: pro779


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Journal Articles

2013

  1. Gresham's Law in Corporate Finance
    Journal of Financial Perspectives, 2013, 1, (2), 11-16

2012

  1. Effects of Bank Regulation and Lender Location on Loan Spreads
    Journal of Financial and Quantitative Analysis, 2012, 47, (6), 1247-1278 Downloads View citations (6)

2011

  1. Canada and the United States: Different roots, different routes to financial sector regulation
    Business History, 2011, 53, (2), 249-269 Downloads View citations (11)

2010

  1. Does institutional ownership affect the cost of bank borrowing?
    Journal of Economics and Business, 2010, 62, (6), 604-626 Downloads View citations (22)

1999

  1. Perspectives on Canadian Bank Insolvency during the 1930s: A Comment
    Journal of Money, Credit and Banking, 1999, 31, (1), 130-36 View citations (9)

1997

  1. Duration for bonds with default risk
    Journal of Banking & Finance, 1997, 21, (1), 1-16 Downloads View citations (10)

1996

  1. Optimal bond trading and the tax-timing option in Canada
    Journal of Banking & Finance, 1996, 20, (8), 1351-1363 Downloads View citations (6)

1993

  1. Canadian Banking Solvency, 1922-1940
    Journal of Money, Credit and Banking, 1993, 25, (3), 361-76 Downloads View citations (20)
  2. Designing an immunized portfolio: Is M-squared the key?
    Journal of Banking & Finance, 1993, 17, (6), 1147-1170 Downloads View citations (18)

1992

  1. Bond portfolio immunization: Canadian tests
    Journal of Economics and Business, 1992, 44, (1), 3-17 Downloads View citations (10)

1986

  1. Captive Finance Subsidiaries: Overview and Synthesis
    The Financial Review, 1986, 21, (2), 259-75

1984

  1. Note on Who Pays the Agency Costs of Debt
    The Financial Review, 1984, 19, (2), 232-39
  2. The Impact of Seniority and Security Covenants on Bond Yields: A Note
    Journal of Finance, 1984, 39, (5), 1597-1602 Downloads View citations (10)

1981

  1. Beta Instability When Interest Rate Levels Change
    Journal of Financial and Quantitative Analysis, 1981, 16, (3), 375-380 Downloads View citations (4)
  2. Portfolio theory, 25 years later: essays in honor of Harry Markowitz: E. J. Elton and M. J. Gruber, eds. (North-Holland, Amsterdam, 1979) 226 pp
    Journal of Banking & Finance, 1981, 5, (2), 286-288 Downloads

1975

  1. Endogenous Endowments and Capital Asset Prices
    Journal of Finance, 1975, 30, (1), 155-62 Downloads
  2. Lancaster's New Demand Theory: Its Application in Portfolio Analysis
    Journal of Economic Literature, 1975, 13, (1), 45 Downloads

Chapters

2022

  1. Duration Concepts, Analysis, and Applications
    Springer
 
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