Papers for Class Discussion and Summary Write-up

PAPERS: SEMINAR IN FINANCE

 

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week 1: Theories of Corporate Finance [Download]

Common risk factors in stocks and bond returns [download]

week 2: The Conditional Relation Between Beta and Expected Returns [Download]

week 3: Stock Market Predictability[Download]

week 4: Delayed Reaction to Good News and the Cross-Autocorrelations of Portfolio Returns [Download]

week 5: Survey of Behavioral Finance [ Download ]

week 6: Survey of Corporate Governance [ Download ]

week 7: 

week 8: 

week 9: 

week 10: 

week 11: 

week 12: 

week 13: 

week 14: 

week 15: Data Management in Excel [Download]

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