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 17
A Global Macroeconomic Risk Model for Value, Momentum, and Other Asset Classes
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- Published online by Cambridge University Press:
- 13 November 2020, pp. 1-30
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- Cited by 17
The Optimal Use of Return Predictability: An Empirical Study
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- Published online by Cambridge University Press:
- 04 October 2012, pp. 973-1001
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- Cited by 17
Implementation of Large-Scale Financial Planning Models: Solution Efficient Transformations
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- 06 April 2009, pp. 137-152
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- Cited by 17
Stochastic Dominance for Decreasing Absolute Risk Aversion
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- 19 October 2009, pp. 799-811
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- Cited by 17
Accounting Losses as a Heuristic for Managerial Failure: Evidence from CEO Turnovers
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- 28 August 2018, pp. 877-906
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- Cited by 17
Multifactor Evaluation of Style Rotation
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- 06 April 2009, pp. 349-372
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- Cited by 17
A More General Sufficient Condition for A Unique Nonnegative Internal Rate of Return
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- 06 April 2009, pp. 337-341
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- Cited by 17
Understanding Portfolio Efficiency with Conditioning Information
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- 29 July 2016, pp. 985-1011
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- Cited by 17
Shareholder Litigation Risk and Firms’ Choice of External Growth
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- 11 March 2022, pp. 574-614
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- Cited by 17
Measuring Firm Complexity
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- 15 May 2023, pp. 1-28
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- Cited by 17
Stock Market Performance and the Term Structure of Credit Spreads
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- 06 April 2009, pp. 863-887
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- Cited by 17
Did Tough Antitrust Enforcement Cause the Diversification of American Corporations?
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- 06 April 2009, pp. 283-294
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- Cited by 17
Investment in Developed and Less Developed Countries
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- 06 April 2009, pp. 741-762
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- Cited by 17
Some Empirical Evidence on the Determinants of Trade Credit at the Industry Level of Aggregation
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- 19 October 2009, pp. 377-394
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- Cited by 17
The Effects of Sample Sizes on the Accuracy of EV and SSD Efficiency Criteria
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- 19 October 2009, pp. 813-820
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- Cited by 17
The Relation between Risk and Optimal Debt Maturity and the Value of Leverage
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- 06 April 2009, pp. 377-386
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- Cited by 17
Descriptive Theories of Financial Institutions under Uncertainty
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- 19 October 2009, pp. 2009-2029
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- Cited by 17
Does Government Spending Crowd Out R&D Investment? Evidence from Government-Dependent Firms and Their Peers
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- 14 December 2020, pp. 888-922
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- Cited by 17
Changes in Organizational Structure and Shareholder Wealth: The Case of Limited Partnerships
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- 06 April 2009, pp. 553-564
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- Cited by 17
Stock Option Repricing and Its Alternatives: An Empirical Examination
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- 19 October 2009, pp. 1459-1487
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