Papers 1978

Working Papers 1978

#01-78
Advantages and Limitations of International Portfolio Diversification
Irwin Friend and Etienne Losq
[abstract]

#02-78
The Supply of Dealer Services in Securities Markets
Hans R. Stoll
[abstract]
(Journal of Finance, Vol. 33, No. 4, September 1978)

#03-78
Portfolio Diversification of NYSE Specialist Units
Hans R. Stoll
[abstract]

#04-78
Financial Consequences of Natural Disasters
Joseph Vinso
[abstract]

#5-78
Financial Forecasting Using Economic Indictators
Joseph Vinso
[abstract]

#06-78
Asset Management for Regulated Enterprise Under Conditions of Uncertain Price Change: The Case of the Property-Casualty Company
James E. Walter
[abstract]

#07-78
Majority Choice and the Objective Function of the Firm Under Uncertainty
Simon Benninga and Eitan Muller
[abstract]
(Bell Journal of Economics, Vol. 10, No. 2, Autumn 1979)

#08-78
Bank Regulation and Macroeconomic Stability
Anthony M. Santomero and Jeremy J. Siegel
[abstract]
(American Economic Review, Vol. 71, No. 1, March 1981)

#09-78
Betas and Their Regression Tendencies: Some Further Evidence
Marshall E. Blume
[abstract]
(Journal of Finance, Vol. 34, No. 1, March 1979)

#10-78
Pension Funds and the Use of International Markets
Marshall E. Blume
[abstract]

#11-78
When is Corporate Financial Policy Relevant?
Simon Benninga
[abstract]

#12-78
Public Disclosure Rules, Private Information-Production Decisions and Capital Market Equilibrium
Nicholas J. Gonedes
[abstract]
(Journal of Accounting Research, Vol. 18, No. 2, Autumn 1980)

#13-78
Factor Price Equalization Under Uncertainty
Bernard Dumas
[abstract]

#M01-78
Financial Effects of Capital Tax Reforms
Marshall E. Blume, Jean Crockett and Irwin Friend
[abstract]