Hawawini, Gabriel (1978): A mean-standard deviation exposition of the theory of the firm under uncertainty. Published in: American economic review , Vol. volume, (March 1978): pp. 194-202.
Hawawini, Gabriel (1979): An assessment of risk in thinner markets: the Belgian case. Published in: Journal of Economics and Business , Vol. 31, No. Spring/Summer (1979): pp. 196-201.
Hawawini, Gabriel and Michel, Pierre (1979): Theory of the risk averse producer cooperative firm under uncertain demand. Published in: Annals of Public and Cooperative Economy , Vol. 50, No. April/June 1979 (1979): pp. 43-62.
Hawawini, Gabriel and Michel, Pierre (1979): Production as behavior toward risk. Published in: Recherches Economiques de Louvain , Vol. 45, No. September 1979 (1979): pp. 299-311.
Hawawini, Gabriel and Cohen, Kalman and Maier, Steven and Schwartz, Robert and Whitcomb, David (1980): Implications of microstructure theory for empirical research in stock price behavior. Published in: Journal of Finance , Vol. 35, No. May 1980 (1980): pp. 249-257.
Hawawini, Gabriel (2005): The future of business schools. Published in: Journal of Management Development , Vol. 24, No. 9 (November 2005): pp. 770-782.
Hawawini, Gabriel and Vora, Ashok (1980): On the theoretic and numeric problems of approximating the bond yield to maturity. Published in: Engineering Economist , Vol. 25, (1980): pp. 301-325.
Hawawini, Gabriel and Banz, Rolf (1987): Equity pricing and stock market anomalies. Published in: Financial Markets and Portfolio Management , Vol. 1, No. 3 (1987): pp. 7-15.
Hawawini, Gabriel (1983): Why beta shifts as the return interval changes. Published in: Financial Analyst Journal , Vol. 39, (May 1983): pp. 73-77.
Hawawini, Gabriel and Viallet, Claude and Vora, Ashok (1986): Industry influence on corporate working capital decisions. Published in: Sloan Management review , Vol. 27, (1986): pp. 15-24.
Hawawini, Gabriel (1980): The intertemporal cross-price behavior of common stocks: Evidence and impications. Published in: Journal of Financial Research , Vol. 5, (1980): pp. 153-167.
Hawawini, Gabriel and Vora, Ashok (1981): The capital asset pricing model and the investment horizon: Comment. Published in: The Review of Economics and Statistics , Vol. 64, (November 1981): pp. 633-647.
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