Vol. 6 No. 1 (2008): Summer 2008

					View Vol. 6 No. 1 (2008): Summer 2008
Published: 2008-06-30

Original Articles

  • Global Diversification of Equity Portfolios: Non-US Perspective

    Kristen Ha, Yuli Su, Yewmun Yip
    1-22
    DOI: https://doi.org/10.58886/jfi.v6i1.2434
  • An Investigation of Board-Registered CFP® Programs at Universities with Insurance/Risk Management Programs

    Stanley Adamson, James Philpot, Kent Ragan
    23-31
    DOI: https://doi.org/10.58886/jfi.v6i1.2433
  • WACC Misunderstandings

    Dean Johnson, Howard Qi
    32-40
    DOI: https://doi.org/10.58886/jfi.v6i1.2432
  • An Option Valuation Analysis of the Value of Tax Shields for Risky Debt

    Tom Miller
    41-61
    DOI: https://doi.org/10.58886/jfi.v6i1.2431
  • An Empirical Test about Differential Board Monitoring and CEO Compensations in High-Tech vs. Traditional Firms

    Aidong Hu
    62-75
    DOI: https://doi.org/10.58886/jfi.v6i1.2430
  • Using Forecasts to Trigger Portfolios Rebalancing: Can Forecasts Reduce the Gap Between Expected and Actual Returns?

    Thomas Kopp
    76-85
    DOI: https://doi.org/10.58886/jfi.v6i1.2429
  • Accession to the EU: A Comparative Economic Analysis of Turkey and Bulgaria

    G. N. Naidu, Askar Choudhury
    86-100
    DOI: https://doi.org/10.58886/jfi.v6i1.2428
  • The Fed Funds Rate and Interest Rate Elasticities

    Kevin Bahr, William Maas
    101-108
    DOI: https://doi.org/10.58886/jfi.v6i1.2427
  • Personal Financial Planning: When Should You Start?

    Jason Lin, Devin Dorosh
    109-119
    DOI: https://doi.org/10.58886/jfi.v6i1.2426
  • Super Size Me and Stock Prices

    John Byrd, Kent Hickman
    120-124
    DOI: https://doi.org/10.58886/jfi.v6i1.2425
  • Biases and Fundamental Investing Knowledge: An Assessment of College Students

    Brian Porter
    125-136
    DOI: https://doi.org/10.58886/jfi.v6i1.2424
  • The New Generation of Public Entity Risk Pools: Understanding Its Innovations and Roles in Public Finance

    Yuhua Qiao
    137-152
    DOI: https://doi.org/10.58886/jfi.v6i1.2423
  • Congressional Calendar and Control Risks: Evidence from United States Mega-cap, Broad-based and Innovation-based Stock Market Performance

    Charles Rayhorn, Kenneth Janson
    153-159
    DOI: https://doi.org/10.58886/jfi.v6i1.2422
  • Do Turtles Have Fat Tails? Donchian Channels and Turtle Trading: The Case of Soybeans

    David Rayome, Abhijit Jain
    160-177
    DOI: https://doi.org/10.58886/jfi.v6i1.2421
  • Can We Improve Student Performance in the Introductory Business Finance Course?

    Robert Howard, Alonzo Redmon
    178-193
    DOI: https://doi.org/10.58886/jfi.v6i1.2420
  • Poison Pill Redemption: Evidence from the Commercial Banking Industry

    Elisabeta Pana
    194-206
    DOI: https://doi.org/10.58886/jfi.v6i1.2419
  • The IPO Portfolio: An Alternative Approach to Higher Returns?

    George Swales, Jr. , Michael Swales, Edward Chang
    207-214
    DOI: https://doi.org/10.58886/jfi.v6i1.2418
  • Using the ACSI as an Investment Guide

    Chan-Wung Kim, Mark Wrolstad
    215-224
    DOI: https://doi.org/10.58886/jfi.v6i1.2417