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Journal of Finance

1946 - 2025

From American Finance Association
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Volume 30, issue 5, 1975

Equilibrium in Linear Capital Market Networks pp. 1197-1211 Downloads
Sverre Storoy, Sten Thore and Marcel Boyer
Market Equilibrium in a Multiperiod State Preference Model with Logarithmic Utility pp. 1213-27 Downloads
Alan Kraus and Robert H Litzenberger
Structural Planning under Controllable Business Risk pp. 1229-37 Downloads
Enrique Arzac
The Relationship between Take-Over Activity and Share Valuation pp. 1239-49 Downloads
A R Appleyard and George K Yarrow
Firm Valuation, Corporate Taxes, and Default Risk pp. 1251-64 Downloads
David P Baron
The Information Content of Large Investment Holdings pp. 1265-81 Downloads
Michael Firth
The Intricate Relationship between Financial Leverage and the Stability of Stock Prices pp. 1283-92 Downloads
Robert A Haugen and Dean W Wichern
Mean-Variance Portfolio Composition When Investors' Revision Horizon Is Very Long pp. 1293-1300 Downloads
Meir I Schneller
Quantification of Investors' Perceptions of Common Stocks: Risk and Return Dimensions pp. 1301-16 Downloads
Arthur E Gooding
Determinants of Term Premiums in the Market for United States Treasury Bills pp. 1317-27 Downloads
James Pesando
Surrey's Pathways to Tax Reform-A Review Article pp. 1329-41 Downloads
Carl S Shoup
The Cost of Capital as a Weighted Average pp. 1343-55 Downloads
Timothy J Nantell and C Robert Carlson
Retention, Risk of Success, and the Price of Stock pp. 1357-59 Downloads
Dwayne Wrightsman and James O Horrigan
Duration and Risk Assessment for Bonds and Common Stocks pp. 1360-65 Downloads
John A Boquist, George A Racette and Gary G Schlarbaum
Capital Adequacy and Recoveries from Failed Banks pp. 1366-75 Downloads
Yair E Orgler
Rate Ceilings and Loan Turndowns pp. 1376-83 Downloads
Douglas F Greer
Interpreting the Results of Risk Analysis pp. 1384-86 Downloads
Alexander A Robichek
Mr. Burrows and Mr. Silber; A Suggested Interpretation: Comment pp. 1387-88 Downloads
John R Wagner

Volume 30, issue 4, 1975

Nonmember Banks and Monetary Control pp. 955-75 Downloads
Dennis R Starleaf
Evaluating Capital Budgeting Models in Simulated Environments pp. 977-92 Downloads
Gary L Sundem
Decentralized Capital Budgeting Decisions and Shareholder Wealth Maximization pp. 993-1002 Downloads
Robert H Litzenberger and O Maurice Joy
An Empirical Test for Synergism in Merger pp. 1003-14 Downloads
Robert A Haugen and Terence C Langetieg
Size, Leverage, and Dividend Record as Determinants of Equity Risk pp. 1015-26 Downloads
Uri Ben-Zion and Sol S Shalit
"Hot Issue" Markets pp. 1027-42 Downloads
Roger G Ibbotson and Jeffrey F Jaffe
Temporal Price Behavior in Commodity Futures Markets pp. 1043-53 Downloads
Thomas Cargill and Gordon Rausser
The Microeconomics of Indirect Finance pp. 1055-63 Downloads
I D Mangoletsis
Empirical Issues in the Demand for Currency: A Multinational Study pp. 1065-79 Downloads
Kenneth Lewis and Francis F Breen
A Factor Analytic Approach to an Empirical Definition of Money pp. 1081-89 Downloads
Ronald S Koot
Some Essential Differences in the Demand for Money by Households and by Firms pp. 1091-99 Downloads
Barry J Wilbratte
The Effect of U.S. Controls on U.S. Commercial Bank Borrowing in the Euro-Dollar Market pp. 1101-10 Downloads
John Hewson and Eisuke Sakakibara
Regulatory Influence on Bank Capital Investment pp. 1111-21 Downloads
John J Mingo
The Adjustment of Beta Forecasts pp. 1123-28 Downloads
Robert C Klemkosky and John D Martin
An Empirical Analysis of the Flotation Cost of Corporate Securities, 1971-1972 pp. 1129-33 Downloads
Keith B Johnson, T Gregory Morton and Findlay, M Chapman,
On Optimal Financing of Cyclical Cash Needs: Comment pp. 1135-36 Downloads
Grace, H Stephen,
Expectations, Prices, Coupons and Yields: Comment pp. 1137-40 Downloads
Chulsoon Khang
Expectations, Prices, Coupons and Yields: Reply pp. 1141-42 Downloads
Adolf Buse

Volume 30, issue 3, 1975

The Relationship of Monetary Decelerations to Business Cycle Peaks: Another Look at the Evidence pp. 697-712 Downloads
William Poole
The Impact of Changes in Federal Reserve Membership on Commercial Bank Performance pp. 713-19 Downloads
Gary G Gilbert and Manferd O Peterson
The Structural Shift in the Demand for Money pp. 721-31 Downloads
Myron B Slovin and Marie Elizabeth Sushka
The Financial Behavior of Households: Some Empirical Estimates pp. 733-59 Downloads
Patric Hendershott and Richard C Lemmon
The Term Structure of Interest Rates: A Test of the Expectations Hypothesis pp. 761-71 Downloads
Thomas Cargill
The Error-Learning Hypothesis and the Term Structure of Interest Rates in Eurodollars pp. 773-83 Downloads
Anthony M Santomero
Betas and Their Regression Tendencies pp. 785-95 Downloads
Marshall E Blume
Portfolio Efficiency Analysis in Three Moments: The Multiperiod Case pp. 797-809 Downloads
Fred D Arditti and Haim Levy
The Tax-Adjusted Yield Curve pp. 811-30 Downloads
J. Huston McCulloch
On the Use of Public Information in Financial Markets pp. 831-39 Downloads
Jeffrey F Jaffe
Information-Production and Capital Market Equilibrium pp. 841-64 Downloads
Nicholas J Gonedes
Capital Control Policies and Foreign Share Prices pp. 865-68 Downloads
Duncan M Ripley
The Two Faces of Bond Refunding pp. 869-74
James S Ang
On Expected Value vs. Expected Future Value pp. 875-77 Downloads
Elisha A Pazner and Assaf Razin
The Weighted Average Cost of Capital, Some Questions on Its Definition, Interpretation, and Use: Comment pp. 879-80 Downloads
Findlay, M Chapman,
The Weighted Average Cost of Capital, Some Questions on Its Definition, Interpretation, and Use: Comment pp. 881-82 Downloads
R Richardson Pettit
The Weighted Average Cost of Capital, Some Questions on its Definition, Interpretation, and Use: Comment pp. 883-86 Downloads
John J McConnell and Carl M Sandberg
The Weighted Average Cost of Capital, Some Questions on Its Definition, Interpretation, and Use: Comment pp. 887-88 Downloads
Ted Bloomfield and Ronald Ma
The Weighted Average Cost of Capital, Some Questions on Its Definition, Interpretation, and Use: Reply pp. 889-92 Downloads
Fred D Arditti
Treasury Bill Auction Procedures: An Empirical Investigation: Comment pp. 893-94 Downloads
Robert W Boatler
Treasury Bill Auction Procedures: An Empirical Investigation: Comment pp. 895-99 Downloads
Henry N Goldstein and George G Kaufman
Treasury Bill Auction Procedures: An Empirical Investigation: Reply pp. 900-901 Downloads
Steven Bolten
Optimal Life Insurance: Comment pp. 902-03 Downloads
M W Jones-Lee
Optimal Life Insurance: Comment pp. 904-08 Downloads
Michael A Klein
Optimal Life Insurance: Reply pp. 909-10 Downloads
Peter Fortune

Volume 30, issue 2, 1975

Inflation and Security Returns pp. 259-80 Downloads
John Lintner
The Regulation of Bank Holding Companies pp. 281-92 Downloads
Chase, Samuel B, and John J Mingo
Freedom for Banks pp. 293-302 Downloads
Thomas I Storrs
Diversification of Commercial Bank and Non-Bank Activities: Discussion pp. 303-05 Downloads
Joan G Walters
The Expected Holding Period Return, Uncertainty and the Term Structure of Interest Rates pp. 307-23 Downloads
John S McCallum
The Use of Average Maturity as a Risk Proxy in Investment Portfolios pp. 325-33 Downloads
Jess B Yawitz, George H Hempel and William J Marshall
The Interest Rate under Capital Asset Pricing Theory: Discussion pp. 334-37 Downloads
John S Bildersee
The Interest Rate under Capital Asset Pricing Theory: Discussion pp. 337-40
Jacob B Michaelsen
Growth of American International Banking: Implications for Public Policy pp. 341-63 Downloads
Andrew F Brimmer and Frederick R Dahl
Monetary Independence under Floating Exchange Rates pp. 365-76 Downloads
Robert Z Aliber
A Qualitative Analysis of Euro-Currency Controls pp. 377-400 Downloads
John Hewson and Eisuke Sakakibara
Valuation, Optimum Investment and Financing for the Firm Subject to Regulation pp. 401-25 Downloads
Edwin J Elton, Martin J Gruber and Zvi Lieber
Market Efficiency and the Cost of Capital: The Strange Case of Fire and Casualty Insurance Companies pp. 427-45 Downloads
G David Quirin and William R Waters
Financial Models of Regulated Firms: Discussion pp. 446-47 Downloads
Michael Brennan
Financial Models of Regulated Firms: Discussion pp. 447-49
Willard T Carleton
Financial Models of Regulated Firms: Discussion pp. 449-50
Stewart C Myers
The Assessment of Inflation and Portfolio Selection pp. 451-67 Downloads
Nahum Biger
Effects of Uncertain Inflation on the Investment and Financing Decisions of a Firm pp. 469-83 Downloads
Andrew H Chen and A J Boness
Exchange Rate Changes, Inflation, and the Value of the Multinational Corporation pp. 485-502 Downloads
Alan C Shapiro
Recognizing the Impact of Inflation: Discussion pp. 503-04 Downloads
Donald L Tuttle
Recognizing the Impact of Inflation: Discussion pp. 504-07
Patric Hendershott
Investors' Expectations of Earnings Growth, Their Accuracy and Effects on the Structure of Realized Rates of Return pp. 509-23 Downloads
Aharon R Ofer
The Impact of Corporate Growth on the Risk of Common Stocks pp. 525-31 Downloads
David R Fewings
Growth Stocks and Corporate Capital Structure Theory pp. 533-47 Downloads
Prem Kumar
Recognizing the Impact of Growth: Discussion pp. 548-50 Downloads
Burton G Malkiel
Recognizing the Impact of Growth: Discussion pp. 550-52
Fred D Arditti
Recognizing the Impact of Growth: Discussion pp. 552-55
Manak C Gupta
The Uses of Shared Revenue pp. 557-65 Downloads
Richard P Nathan
The Social Security Payroll Tax: Some Alternatives for Reform pp. 567-78 Downloads
Benjamin A Okner
Current Problems in Public Finance: Discussion pp. 579-81 Downloads
Gail R Wilensky
Current Problems in Public Finance: Discussion pp. 581-84
Wayne Vroman
The Asset Structure of Individual Portfolios and Some Implications for Utility Functions pp. 585-603 Downloads
Marshall E Blume and Irwin Friend
Individual Investor Risk Aversion and Investment Portfolio Composition pp. 605-20 Downloads
Cohn, Richard A, et al
The Allocation of Wealth to Risky Assets: Discussion pp. 621-23 Downloads
Keith V Smith
The Allocation of Wealth to Risky Assets: Discussion pp. 624-29
Robert H Litzenberger
Bond Rating Methods: Comparison and Validation pp. 631-40 Downloads
James S Ang and Kiritkumar A Patel
Federal Reserve Membership and Bank Performance: The Evidence from Texas pp. 641-58 Downloads
Donald R Fraser, Peter S Rose and Gary L Schugart
Systematic Risk for Heterogeneous Time Horizons pp. 659-73 Downloads
Hasty, John M, and Bruce D Fielitz
Empirical Research on Capital Markets: Discussion pp. 674-75 Downloads
Robert R Glauber
Empirical Research on Capital Markets: Discussion pp. 675-76
Lawrence S Ritter

Volume 30, issue 1, 1975

Optimal International Acquisitions pp. 1-19 Downloads
Michael Adler and Bernard Dumas
A Multivariate Statistical Analysis of the Characteristics of Problem Banks pp. 21-36 Downloads
Sinkey, Joseph F,
Improving the Selection of Credit Risks: An Analysis of a Commercial Bank Minority Lending Program pp. 37-55 Downloads
Robert H Edelstein
Determinants of the United States Currency-Demand Deposit Ratio pp. 57-74 Downloads
William Becker
A Multiperiod Adjustment Model for the Firm's Capital Structure pp. 75-91 Downloads
Baruch Lev and Dov Pekelman
Corporate Bankruptcy and Conglomerate Merger pp. 93-113 Downloads
Robert C Higgins and Lawrence D Schall
Market-Making and the Assessment of Market Efficiency pp. 115-23 Downloads
Dennis E Logue
Playing with Portfolios pp. 125-34 Downloads
Richard A Brealey and S D Hodges
Some Consequences of the Valuation Model when Expectations Are Taken to Be Optimum Forecasts pp. 135-45 Downloads
Clive Granger
The Effect of Market Risk on Portfolio Diversification pp. 147-54 Downloads
Robert C Klemkosky and John D Martin
Endogenous Endowments and Capital Asset Prices pp. 155-62 Downloads
Gordon Roberts
Warrant Price Movements and the Efficient Market Model pp. 163-77 Downloads
Dick A Leabo and Richard J Rogalski
A Bayesian Model for Portfolio Selection and Revision pp. 179-92 Downloads
Robert L Winkler and Christopher B Barry
An Analysis of Alternative Measures of Investment Risk pp. 193-200 Downloads
Carl J Schwendiman and George E Pinches
The Role of Subordination and Industrial Bond Ratings pp. 201-06 Downloads
George E Pinches and Kent A Mingo
Beta Coefficients for Convertible Bonds pp. 207-10 Downloads
Alan W Frankle and C A Hawkins
Valuation, Leverage and the Cost of Capital in the Case of Depreciable Assets: Comment pp. 211-13 Downloads
Ronda S Paul
Valuation, Leverage and the Cost of Capital in the Case of Depreciable Assets: Comment pp. 214-20 Downloads
William Bradford
Valuation, Leverage and the Cost of Capital in the Case of Depreciable Assets: A Reply pp. 221-23 Downloads
Haim Levy and Fred D Arditti
A General Class of Three-Parameter Risk Measures: Comment pp. 224-25 Downloads
William H Jean
Page updated 2025-03-31