James Van Horne
American economist
James Van Horne's AcademicInfluence.com Rankings
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Economics
James Van Horne's Degrees
- PhD Economics Stanford University
- Bachelors Economics University of California, Berkeley
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(Suggest an Edit or Addition)According to Wikipedia, James Carter Van Horne is an American economist. Van Horne completed his bachelor's degree at DePauw University in 1957, followed by master's doctoral degrees at Northwestern University in 1961 and 1964, respectively. In 1965, Van Horne began teaching at the Stanford Graduate School of Business , where he was later named the A. P. Giannini Professor of Banking and Finance. He served as deputy assistant secretary of the United States Department of the Treasury from 1975 to 1976. Van Horne served as president of the Western Finance Association from 1981-1982. Van Horne was the 1984 president of the American Finance Association.
James Van Horne's Published Works
Published Works
- Of Financial Innovations and Excesses (1985) (175)
- ABANDONMENT VALUE AND CAPITAL BUDGETING (1967) (156)
- The Random-Walk Theory: An Empirical Test (1967) (139)
- FINANCIAL MANAGEMENT POLICY (1989) (68)
- Interest-Rate Risk and the Term Structure of Interest Rates (1965) (59)
- Capital-Budgeting Decisions Involving Combinations of Risky Investments (1966) (53)
- ELIMINATION OF THE DOUBLE TAXATION OF DIVIDENDS AND CORPORATE FINANCIAL POLICY (1978) (42)
- DIVIDEND POLICY AND NEW EQUITY FINANCING (1971) (39)
- Optimal Initiation of Bankruptcy Proceedings by Debt Holders (1976) (33)
- The Analysis of Uncertainty Resolution in Capital Budgeting for new Products (1969) (31)
- Prinsip-prinsip Manajemen Keuangan = Fundamentals of Financial Management (2013) (30)
- A Risk-Return Analysis of a Firm's Working-Capital Position (1969) (30)
- ABANDONMENT VALUE AND CAPITAL BUDGETING: REPLY (1969) (29)
- EXPECTED INFLATION IMPLIED BY CAPITAL MARKET RATES (1973) (26)
- An Application of the Capital Asset Pricing Model to Divisional Required Returns (1980) (24)
- Behavior of default-risk premiums for corporate bonds and commercial paper (1979) (22)
- The Impact of Unanticipated Changes in Inflation on the Value of Common Stocks (1972) (21)
- Financial Management and Policy -10/E (2002) (18)
- The Function and Analysis of Capital Market Rates. (1970) (18)
- Capital Budgeting under Conditions of Uncertainty as to Project Life (1972) (18)
- Fundamentals of financial management = prinsip-prinsip manajemen keuangan buku dua / James C. Van Horne, John M. Wachowicz, Jr. (2007) (11)
- Financial Management and Policy@@@Basic Financial Management: Text, Problems and Cases. (1969) (11)
- Stock Price Behavior and Trading (1968) (11)
- The Term Structure: A Test of the Segmented Markets Hypothesis (1980) (7)
- The Liquidity Impact of Debt Management (1968) (7)
- A Linear-Programming Approach to Evaluating Restrictions Under a Bond Indenture or Loan Agreement (1966) (6)
- Interest-Rate Expectations, The Shape of the Yield Curve, and Monetary Policy (1966) (6)
- A Simultaneous Equations Analysis of the Bond Markets (1972) (6)
- Called Bonds: How does the Investor Fare? (1980) (5)
- Foundations for Financial Management: A Book of Readings. (1967) (3)
- Financial management and policy - 12/e. (2003) (3)
- Call risk in municipal bonds (1987) (3)
- Fundamentals of Financial Management = Prinsip - prinsip Manajemen Keuangan Ed. 12.; BUKU-2 (2007) (2)
- Government Security Dealers' Positions, Information and Interest-Rate Expectations: A Note (1983) (2)
- The valuation of small-bank stocks (1966) (2)
- LIQUIDITY PREFERENCE, INTEREST-RATE RISK, AND THE TERM STRUCTURE OF INTEREST RATES† (1965) (2)
- The Controversy Over Executive Compensation (2004) (2)
- The Cost of Leasing with Capital Market Imperfections (1977) (1)
- The Expectations Hypothesis, the Yield Curve, and Monetary Policy: Comment (1965) (1)
- [Outlook for the Securities Industry]: Discussion (1972) (0)
- The Liquidity Impact of Debt Management: Reply (1972) (0)
- A Test of the Segmented Markets Hypothesis (2016) (0)
- SECURITIES INVENTORIES AND EXCESS RETURNS (1983) (0)
- SESSION TOPIC: THE ALLOCATION OF WEALTH TO RISKY ASSETS (1975) (0)
- Prinsip iprinsip manajemen keuanagan : fundamentals of financial management buku 1 (2016) (2016) (0)
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