학술저널
Business Risk, Financial Risk, and Default Risk: Theory and Empirical Results (Ⅰ)
- 서울대학교 경제연구소
- 경제논집
- 경제논집 20권 1호
-
1981.0375 - 110 (35 pages)
- 2
Ⅰ. Introduction
Ⅱ. Business Risk and Financial Risk
Ⅲ. Measurement of Default Risk
Ⅳ. Total Risk, Systematic Risk, and Unsystematic Risk
Ⅴ. The Data and the Empirical Methods
Ⅵ. Empirical Results and Some Related Hypotheses
References
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