haku: @journal_id 62 / yhteensä: 680
viitteet: 306-315 / 680
« edellinen sivu | seuraava sivu »
otsikko | vuosi | tekijä | ||
306. |
Measuring abnormal performance : the event parameter approach using joint generalized least squares.
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 27-38 |
1986 | Malatesta, P. H. |
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307. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 1-25 |
1986 | Sanger, G. C. McConnell, J. J. |
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308. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 107-114 |
1986 | Boardman, C. M. Dark, F. H. Lease, R. C. |
|
309. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 95-106 |
1986 | Finnerty, J. D. |
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310. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 87-94 |
1986 | Morgan, G. E. |
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311. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 73-86 |
1986 | Marcus, A. J. Modest, D. M. |
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312. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 59-71 |
1986 | Litzenberger, R. H. |
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313. |
Journal of Financial and Quantitative Analysis
1986 : MAR, VOL. 21:1, p. 47-58 |
1986 | Bar-Yosef, S. Huffman, L. |
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314. |
Journal of Financial and Quantitative Analysis
1985 : DEC, VOL. 20:4, p. 391-405 |
1985 | Smith, C. W. Stulz, R. M. |
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315. |
Journal of Financial and Quantitative Analysis
1985 : DEC, VOL. 20:4, p. 407-422 |
1985 | Barry, C. B. Brown, S. J. |
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