Browsing by Academic Advisor Blair, David
Showing results 1 to 11 of 11
Class Year | Author(s) | Title | Advisor |
2005 | Clagett, Alidia | After the Fall: An Analysis of the Stock Market Bubbles of 1929, 1966-69, and 2000 | Blair, David |
2001 | Klemann, Gilbert | An Analysis of Inter-Industry Leverage Differences As Evidence of an Optimal Capital Structure at the Industry and Firm Levels | Blair, David |
2010 | Seigel, Jessica | Anticipatory Financial Contagion: An Empirical Analysis of U.S. Stock Market Spillovers to East Asia during the Financial Panic of 2007- 2009 | Blair, David |
2003 | Traub, Cassidy | A Century-and-a-Half of Global Investing: Is the Affair Over? | Blair, David |
2005 | Watson, Ryan Christopher | A Critical Analysis of Royalty Trusts and their Ability to Provide Superior Returns over Publicly-Traded, Integrated Oil Companies During Periods of Supply Disruption | Blair, David |
2003 | Einhorn, Thomas Christopher | Deconstructing the Internet Bubble: A Case for Rational Exuberance | Blair, David |
2001 | Kreter, David | The Effect of Margin Debt on Market Volatility 1926-2000 | Blair, David |
2004 | Tripicchio, Gianfranco | The Effects of Mortgage Convexity Hedging on Long-Term Interest Rates | Blair, David |
2006 | Grant, Gordon J. | The Georgia Fair Lending Act: The Cost of Exclusion from the National Secondary Mortgage Market | Blair, David |
2004 | Micsky, Jeffrey A. | Primary Market Pricing of High Yield Debt in a Recessionary Environment | Blair, David |
2006 | Roberts, David W. | Unlocking Value for Institutional Investors: The Effectiveness of the Proxy Fight | Blair, David |