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Vol. 13 No. 2 (2014): Fall 2014
Vol. 13 No. 2 (2014): Fall 2014
DOI:
https://doi.org/10.58886/jfi.v13i2
Published:
2014-12-31
Full Issue
Journal of Finance Issues `13(2)
Original Articles
Modeling Banks’ Risk Taking Behavior in a Presence of the Long-Tail Risk Guarantor with the Truncated Version of the St. Petersburg Coin Flip Model
Peter Sharp, Anna Vygodina
1-20
pdf
DOI:
https://doi.org/10.58886/jfi.v13i2.2499
The Impact of the Bio-terrorism Act on the Supply Chain and Firm Value
Mark Johnson, Min Kang, Yifan Zhou
21-39
pdf
DOI:
https://doi.org/10.58886/jfi.v13i2.2500
Risk Perceptions of Mutual Funds-Evidence from an Experimental Approach
Nalinaksha Bhattacharyya, Bruce Huhmann, Sridhar Samu
40-53
pdf
DOI:
https://doi.org/10.58886/jfi.v13i2.2501
On the Equivalent Annual Cost Method
Dan Han, Howard Qi, Alice Xie
54-63
pdf
DOI:
https://doi.org/10.58886/jfi.v13i2.2502
Notes
Corporate Governance and Firm Performance: Roles of Insider and Institutional Holdings
William Bosworth, Sharon Lee
64-74
pdf
DOI:
https://doi.org/10.58886/jfi.v13i2.2503
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