학술저널
Business Risk, Financial Risk, and Default Risk: Theory and Empirical Results (Ⅱ)
- 서울대학교 경제연구소
- 경제논집
- 경제논집 20권 2호
-
1981.06189 - 224 (35 pages)
- 2
Ⅶ. Factor Analysis of the Risk-Return Variables
Ⅷ. Discriminant Analysis of the Risk Classes of the Firms
Ⅸ. Regression Analysis of Risk and Return
Ⅹ. Summary and Conclusions
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