J ECO BUSN 1992;44:347
347
Volume 44 Subject Index Bankruptcy models, consumer credit behavior, 47-62.
Money demand function, the United Kingdom, 335 -344.
Bond portfolio immunization, Canadian tests, 3-17.
Municipal bonds, to rate or not to rate, 301-316.
Commodity options, Wolf's portfolio model, 201221.
OPEC oil crisis, concentration and transmissions,
Competitive firm, hedging to manage price risk, 169-185.
Principal-agent model, negligence versus strict liability, 265-281.
Corporate aircraft, control, demand~ 223-236. Corporate Treasury, yield spread, state taxes, 161-166. Daily stock indices, nonlinear dependence, 63-76. Electricity pricing, reliability, ! 51 - 159. EMS, see European monetary system. European monetary system, monetary policy centralization, rules, discretion, 247-263. Financial regulation and deregulation, interest rate effects, 115-125. Government spending, additional policy instrument comment, 237-242. reply, 243-246. Monetary and exchange rate, two-tier, 283-300. Money and interest rates, temporal aggregation, data revisions, 19-30.
.Journalof Economicsand Business © 1992TempleUniversity
135-141.
Smith hypothesis, dividend policy and regulatory risk, 127-134. Stock market, spending and market concentration, 95- 114. Stock returns, inflation and industry portfolio, 77-94. Tariffs, uncertainty and interdependent demand, 325-334. Tokyo stock exchange, dividend yields, stock returns, 187-200. Unemployment, training, layoff by seniority, 317324. Urban parking facilities, forecasting model of revenues, 143-150. Wage indexation, relative, aggregate prices, 31-45.
0148 -6195/92/$05.00