Asian Review of Financial Research / December 1989 Vol. 2 No. 1
Characteristics Analysis on Stock Return and Capital Market Risk in Business Failure
Asian Review of Financial Research
Vol.2 No.1 pp.29-55
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Asst Structure, Wealth, and Welfare
Asian Review of Financial Research
Vol.2 No.1 pp.83-98
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A Theoretical Examination on the Empirical Analysis of Stock Price Reaction to the Seasoned New Offerings
Asian Review of Financial Research
Vol.2 No.1 pp.99-109
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韓國證券市場의 變貌에관한 硏究 - 1965 ~ 1975년간의 증권정책과 주식시장의 구조적 변화를 중심으로 -
Asian Review of Financial Research
Vol.2 No.1 pp.111-153
Keyword :
Coinsurance and the Optimal Debt Policy of a Bank Holding Company
Asian Review of Financial Research
Vol.2 No.1 pp.155-189
Keyword :
Asymmetric Information and Signalling Equilibrium With Dividend and Investment
Asian Review of Financial Research
Vol.2 No.1 pp.191-219
Keyword :
An Empirical Study on the Factor Stucture Stability in the Arbitrage Pricing Theory
Asian Review of Financial Research
Vol.2 No.1 pp.221-264
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