Buell Stephen G.
|Образование||магистр: Economics [Lehigh University, 1971]
PhD: Business and Economics [Lehigh University, 1976]
|Место работы||College of Business and Economics / Finance and Law Faculty (CBE) / Professor of Finance|
- Corporation Finance
- Financial Applications of Microcomputers
- Investments and Security Analysis
- Money and Banking
- "The Relationship between Systematic Risk and Underpricing of the IPO market," Research in Finance, Vol. 19 (2002) (with M. Almisher and R. Kish).
- "An Empirical Evaluation of the Information Signalling and Financial Distress Hypotheses," Journal of Financial and Strategic Decisions, Vol. 11, No. 1 (Spring 1998) (with G. W. Buetow).
- "An Alternative Call Policy for Convertible Debt," Journal of Financial and Strategic Decisions, Vol. 8, No. 3 (Fall 1995) (with G. W. Buetow).
- "The Accuracy of the Initial Pricing of Junk Bonds," Journal of Fixed Income, September 1992.
- "An Econometric Analysis of Energy Financing," Energy Journal, April 1989 (with J. B. Guerard).
- "A Multiple-Criteria Financial Planning Model of Public Utili ty Firms," Decision Making with Multiple Objectives, Haimes and Chankong, eds., New York: Springer-Verlag, 1985 (with J. B. Guerard).
- "An Econometric Analysis of the Formal Regulatory Process," Quantity and Quality in Economic Research, Brown, ed., University Press, 1985 (with J. B. Guerard).
- "Financial Leverage--For Better or Worse," (a synopsis), Atlantic Economic Journal, Vol. IX, No. 2 (July 1981), and Proceedings , Eastern Finance Association, 1981.
- "Inflation Adjusted Accounting and Measuring Corporate Performance," Proceedings, Southwestern Finance Association, 1981 (with S. Gimigliano, K. Hollen, and B. Levine).
- "Increasing Leverage, Potential Failure Rates and Possible Ef fects on the Macroeconomy," Oxford Economic Papers, Vol. 33, No. 3 (November 1981) (with E. Schwartz).
- "On the Linkage Between Corporate Saving and Earnings Growth, " Journal of Financial Research, Vol. IV, No. 2 (Summer 1981) (with C. Beidleman and R. C. Moyer).
Публикации на портале:
Рецензия на статью Leahy J. V., Whited T. M. (1996) "The Effects of Uncertainty on Investment: Some Stylized Facts"
Сайт Финансово-экономического Подразделения Европейской Комиссии (Economic and Financial Affairs (European Union)
Рецензия на статью Auerbach Alan J. and Hassett Kevin A. (2000) "On the Marginal Source of Investment Funds"
EERC Working Paper Series. 2007. No. 07-02e.