Most cited
This page lists all time most cited articles for this title. Please use the publication date filters on the left if you would like to restrict this list to recently published content, for example to articles published in the last three years. The number of times each article was cited is displayed to the right of its title and can be clicked to access a list of all titles this article has been cited by.
- Cited by 8
Interstate Differences in Mortgage Lending Risks: An Analysis of the Causes
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- Published online by Cambridge University Press:
- 19 October 2009, pp. 229-242
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- Cited by 8
Random Walk and Forward Exchange Rates: A Spectral Analysis
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- Published online by Cambridge University Press:
- 19 October 2009, pp. 1897-1905
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- Cited by 8
Optimal Portfolios under Time-Varying Investment Opportunities, Parameter Uncertainty, and Ambiguity Aversion
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- 03 June 2019, pp. 1163-1198
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- Cited by 8
Liquidity Regulation and Financial Intermediaries
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- 17 August 2020, pp. 2237-2271
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- Cited by 8
Fire Sales and Impediments to Liquidity Provision in the Corporate Bond Market
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- 04 November 2019, pp. 2613-2640
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- Cited by 8
Growth and Risk
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- 06 April 2009, pp. 331-340
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- Cited by 8
Labor Income, Relative Wealth Concerns, and the Cross Section of Stock Returns
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- 01 November 2016, pp. 1111-1133
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- Cited by 8
Social Influence in the Housing Market
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- 26 October 2015, pp. 757-779
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- Cited by 8
Beta Instability When Interest Rate Levels Change
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- 06 April 2009, pp. 375-380
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- Cited by 8
Does Financial Market Structure Affect the Cost of Raising Capital?
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- 16 June 2020, pp. 1771-1808
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- Cited by 8
The Optimal Credit Acceptance Policy
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- 19 October 2009, pp. 399-415
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- Cited by 8
A Multivariate Model of Strategic Asset Allocation with Longevity Risk
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- 31 October 2017, pp. 2251-2275
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- Cited by 8
Initial Public Offering Allocations, Price Support, and Secondary Investors
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- 16 December 2016, pp. 1663-1688
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- Cited by 8
Fiscal Policy, Consumption Risk, and Stock Returns: Evidence from U.S. States
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- 14 February 2018, pp. 109-136
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- Cited by 8
A Note on the Implications of Quadratic Utility for Portfolio Theory
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- 19 October 2009, pp. 687-689
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- Cited by 8
Mergers and Investment Incentives
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- 06 April 2009, pp. 393-413
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- Cited by 8
Tax-Adjusted Duration for Amortizing Debt Instruments
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- 06 April 2009, pp. 313-327
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- Cited by 8
Asset Pricing Models When the Number of Securities Held is Constrained: A Comparison and Reconciliation of the Mao and Levy Models
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- 06 April 2009, pp. 63-73
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- Cited by 8
Do Funding Conditions Explain the Relation Between Cash Holdings and Stock Returns?
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- 09 February 2021, pp. 1174-1203
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- Cited by 8
Alternative Procedures for Revising Investment Portfolios**
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- 19 October 2009, pp. 371-403
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