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Covers a variety of topics in financial planning and forecasting, including: the change in earnings response coefficient around dividend omissions; estimating spin-off values; and, forbearance, deposit insurance, and the market value of savings and loan associations.
Contains thirteen papers that deal with the issue of Financial Analysis, Planning and Forecasting, which are classified into two major groups - Risk Analysis and Financial Evaluation Models. In addition to these two groups, this title contains a paper using survey approach to banking operations.
Part of a series which focuses on advances in futures and options research, this title discusses a variety of topics in the field.
Covers a variety of topics in financial planning and forecasting.
Contains ten papers, including: An Empirical Examination of The Intraday Return Volatility Process; The Valuation of New Product Introduction Under Uncertain Competition: A Real Option Approach; Earnings, Dividends, and Equity Value of Multinational Firms; Debt Covenant Violation and the Value Relevance of Accounting Information; and more.
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