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21 та иш

Иш: Verifying capital asset pricing model in Greek capital market

  1. CAPITAL ASSET PRICES: A THEORY OF MARKET EQUILIBRIUM UNDER CONDITIONS OF RISK*

    William F. Sharpe

    Мақола196418 иқтибос
    ABI
  2. Risk, Return, and Equilibrium: Empirical Tests

    Eugene F. Fama, James D. MacBeth

    Мақола19737 иқтибос
    ABI
  3. Equilibrium in a Capital Asset Market

    Jan Mossin

    Мақола19666 иқтибос
    ABI
  4. On the exclusion of assets from tests of the two-parameter model

    Robert F. Stambaugh

    Мақола19825 иқтибос
    ABI
  5. The Capital Asset Pricing Model: Some Empirical Tests

    Fischer Black, Michael C. Jensen, Myron S. Scholes

    Мақола19725 иқтибос
    ABI
  6. TESTING CAPITAL ASSET PRICING MODEL FOR ROMANIAN CAPITAL MARKET

    Alina Lucia Trifan

    Мақола20094 иқтибос
    ABI
  7. Capital Market Equilibrium with Restricted Borrowing

    Fischer Black

    Мақола19724 иқтибос
    ABI
  8. The relationship between return and market value of common stocks

    Rolf W. Banz

    Мақола19814 иқтибос
    ABI
  9. The Cross‐Section of Expected Stock Returns

    Eugene F. Fama, Kenneth R. French

    Мақола19924 иқтибос
    ABI
  10. Systematic risk, total risk and size as determinants of stock market returns

    Josef Lakonishok, Alan C. Shapiro

    Мақола19863 иқтибос
    ABI
  11. Debt/Equity Ratio and Expected Common Stock Returns: Empirical Evidence

    Laxmi Chand Bhandari

    Мақола19883 иқтибос
    ABI
  12. A New Empirical Perspective on the CAPM

    Marc R. Reinganum

    Мақола19813 иқтибос
    ABI
  13. Another Look at the Cross‐section of Expected Stock Returns

    S.P. Kothari, Jay Shanken, Richard G. Sloan

    Мақола19953 иқтибос
    ABI
  14. Testing the CAPM: Evidences from Italian Equity Markets

    Emanuele Canegrati

    Препринт20083 иқтибос
    ABI
  15. Persuasive evidence of market inefficiency

    Barr Rosenberg, Kenneth Reid, Ronald Lanstein

    Мақола19853 иқтибос
    ABI
  16. Portfolio Selection: Efficient Diversification of Investments

    Alan Stuart, Harry M. Markowitz

    Мақола19593 иқтибос
    ABI
  17. Portfolio Selection: Efficient Diversification of Investments.

    H. S. Houthakker, Harry M. Markowitz

    Мақола19623 иқтибос
    ABI
  18. Economic Value Added and Stock Market Development in Egypt

    Mansoor Maitah, Nayif Saleem, Karel Malec +2

    Мақола20143 иқтибос
    ABI