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Fama, E. F. "Efficient Capital Markets: A Review of Theory and Empirical Work." Joum of Finance 25, May 1970.

Fama, E. F. "Efficient Capital Markets II." Journal of Finance 46, December 1991. Meulbroek, L. K. "An Empirical Analysis of Insider Trading." Journal of Finance 47 De cember, 1992.

Samuelson, P. A. "Proof That Properly Anticipated Prices Fluctuate Randomly." Industrie Management Review6, Spring 1965.

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Bodie,Z., A. Kane, and A. Marcus. Investments, 4th Ed. Boston: Irwin/McGraw-Hill, 1999. Fabozzi,F. J., and T. D. Fabozzi, eds. The Handbook of Fixed Income Securities 4th Ed Bui Ridge, 111.: Irwin, 1995.

Sundaresan, S. Fixed Income Markets and Their Derivatives. Cincinnati: Southwestern Collee Publishing, 1997.

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BodieZ., A. Kane, and A. Marcus. Investments. 4th Ed. Boston: Irwin/McCraw-Hill, 1999.

Copeland,Т., Т. Koller, and J. Murrin. Valuation: Measuring and Managing the Value с

Companies. 2nd Ed. New York: John Wiley & Sons, 1994.

Miller, M,. and F. Modigliani. Dividend Policy, Growth and the Valuation of Shares." Jour

nal of Business 34, October 1961.

Miller, M., and M. S. Scholes. "Dividends and Taxes." Journal of Financial Economics 6

December 1978. •

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Arrow, K. J. "The Role Of Securities in the Optimal Allocation of Risk Bearing." Review о Economic Studies 31, April 1964. Перевод с французского статьи 1953 года. Beaver, W. H., and G. Parker, eds. Risk Management: Problems and Solutions. Stanford Stanford University Press, McGraw-Hill, 1995.

Bodie,Z., A. Kane, and A. Marcus. Investments. 4th Ed. Boston: Irwin/McGraw-Hill, 1999. Merton,R. C., and Z. Bodie. "On the Management of Financial Guarantees." Financia Management 21, Winter 1992.

Shapiro,A. C., and S. Titman. "An Integrated Approach to Corporate Financial Management." Midland Corporate Finance Journal 3, Summer 1985.

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Bodie,Z., A. Kane, and A. Marcus. Investments. 4th Ed. Boston: Irwin/McGraw-Hill, 1999. Breeden, D. T. "Futures Markets and Commodity Options: Hedging and Optimality in Incomplete Markets." Journal of Economic Theory 32, April 1984. Figlewski, S., with K. John and J. Merrick. Hedging with Financial Futures for Institutional Investors: From Theory to Practice. Cambridge: Ballinger, 1986. Smithson, C. H., and C. W. Smith with D. S. Wilford. Managing Financial Risk, Burr Ridge. 111.: Irwin 1995.

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