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Details about Enrique R. Arzac

Homepage:http://www.enriquearzac.com
Workplace:Finance and Economics Department, Graduate School of Business, Columbia University, (more information at EDIRC)

Access statistics for papers by Enrique R. Arzac.

Last updated 2020-08-21. Update your information in the RePEc Author Service.

Short-id: par569


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Journal Articles

2005

  1. A Reconsideration of Tax Shield Valuation
    European Financial Management, 2005, 11, (4), 453-461 Downloads View citations (45)

2002

  1. Phantom stock and investment decisions
    International Advances in Economic Research, 2002, 8, (1), 82-82 Downloads

1997

  1. PERCS, DECS, AND OTHER MANDATORY CONVERTIBLES
    Journal of Applied Corporate Finance, 1997, 10, (1), 54-63 Downloads View citations (2)

1992

  1. On the Capital Structure of Leveraged Buyouts
    Financial Management, 1992, 21, (1) View citations (4)

1991

  1. Class shares and economies of scope
    Journal of Economic Theory, 1991, 54, (2), 448-459 Downloads

1989

  1. Income Insurance with Uncertain Output
    International Economic Review, 1989, 30, (3), 561-69 Downloads View citations (2)

1984

  1. Erratum: Flotation Cost Adjustment in Rate of Return Regulation: A Reply
    Journal of Finance, 1984, 39, (2), 563
  2. Flotation Cost Allowance for the Regulated Firm: A Reply
    Journal of Finance, 1984, 39, (1), 293-94 Downloads

1983

  1. A Mechanism for the Allocation of Corporate Investment
    Journal of Financial and Quantitative Analysis, 1983, 18, (2), 175-188 Downloads
  2. Flotation Cost Allowance in Rate of Return Regulation: A Reply
    Journal of Finance, 1983, 38, (4), 1339-41 Downloads

1982

  1. A Theory and Test of Credit Rationing: Some Further Results: Errata
    American Economic Review, 1982, 72, (1), 282

1981

  1. A Theory and Test of Credit Rationing: Some Further Results
    American Economic Review, 1981, 71, (4), 735-37 Downloads View citations (1)
  2. Flotation Cost Allowance in Rate of Return Regulation: A Note
    Journal of Finance, 1981, 36, (5), 1199-1202 Downloads
  3. The Leverage Structure of Interest Rates
    Journal of Money, Credit and Banking, 1981, 13, (1), 72-88 Downloads View citations (1)

1979

  1. A Quarterly Econometric Model of United States Livestock and Feed Grain Markets and Some of Its Policy Implications
    American Journal of Agricultural Economics, 1979, 61, (2), 297-308 Downloads View citations (59)
  2. AN ECONOMETRIC EVALUATION OF STABILIZATION POLICIES FOR THE U.S. GRAIN MARKET
    Western Journal of Agricultural Economics, 1979, 04, (1), 14 Downloads View citations (2)
  3. Stabilization policies for united states feed grain and livestock markets
    Journal of Economic Dynamics and Control, 1979, 1, (1), 39-58 Downloads View citations (2)

1977

  1. Investments-Empirical Studies: Discussion
    Journal of Finance, 1977, 32, (2), 445-48 Downloads
  2. Portfolio choice and equilibrium in capital markets with safety-first investors
    Journal of Financial Economics, 1977, 4, (3), 277-288 Downloads View citations (90)
  3. Utility Analysis of Chance-Constrained Portfolio Selection: A Correction
    Journal of Financial and Quantitative Analysis, 1977, 12, (2), 321-323 Downloads

1976

  1. Profits and Safety in the Theory of the Firm under Price Uncertainty
    International Economic Review, 1976, 17, (1), 163-71 Downloads View citations (3)

1975

  1. Structural Planning under Controllable Business Risk
    Journal of Finance, 1975, 30, (5), 1229-37 Downloads View citations (1)

1974

  1. Utility Analysis of Chance-Constrained Portfolio Selection
    Journal of Financial and Quantitative Analysis, 1974, 9, (6), 993-1007 Downloads View citations (1)

1967

  1. The Dynamic Characteristics of Chow's Model: A Simulation Study**
    Journal of Financial and Quantitative Analysis, 1967, 2, (4), 383-397 Downloads
 
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