Predicting Subsequent Management Forecasting Behavior at the Date of an Initial Public Offering Stephen P. BaginskiJohn M. HassellJohn D. Neill OriginalPaper Pages: 5 - 21
Q, Cash Flow and Investment: An Econometric Critique Christopher F. BaumClifford F. Thies OriginalPaper Pages: 35 - 48
Sensitivity of Systematic Risk Estimates to the Return Measurement Interval Under Serial Correlation Dongcheol Kim OriginalPaper Pages: 49 - 65
A Note on Perceptions of Finance Journal Quality Stephen F. BordeJohn M. CheneyJeff Madura OriginalPaper Pages: 89 - 97