PORTFOLIO PERFORMANCE IN RELATION TO QUALITY, EARNINGS, DIVIDENDS, FIRM SIZE, LEVERAGE, AND RETURN ON EQUITY
- 1 March 1984
- journal article
- Published by Wiley in Journal of Financial Research
- Vol. 7 (1) , 17-26
- https://doi.org/10.1111/j.1475-6803.1984.tb00350.x
Abstract
No abstract availableKeywords
This publication has 4 references indexed in Scilit:
- Abnormal Returns in Small Firm PortfoliosCFA Magazine, 1981
- Do Common Stock Quality Ratings Predict Risk?CFA Magazine, 1979
- A critique of the asset pricing theory's tests Part I: On past and potential testability of the theoryJournal of Financial Economics, 1977
- Risk Reduction and Portfolio Size: An Analytical SolutionThe Journal of Business, 1977