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Contains ten papers, including: An Empirical Examination of The Intraday Return Volatility Process; The Valuation of New Product Introduction Under Uncertain Competition: A Real Option Approach; Earnings, Dividends, and Equity Value of Multinational Firms; Debt Covenant Violation and the Value Relevance of Accounting Information; and more.
Part of a series which focuses on advances in futures and options research, this title discusses a variety of topics in the field.
Covers a variety of topics in financial planning and forecasting.
Contains thirteen papers that deal with the issue of Financial Analysis, Planning and Forecasting, which are classified into two major groups - Risk Analysis and Financial Evaluation Models. In addition to these two groups, this title contains a paper using survey approach to banking operations.
Covers a variety of topics in financial planning and forecasting, including: the change in earnings response coefficient around dividend omissions; estimating spin-off values; and, forbearance, deposit insurance, and the market value of savings and loan associations.
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