James C. Van Horne
Stanford University
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Featured researches published by James C. Van Horne.
Journal of Business Research | 1979
James C. Van Horne
Abstract The question addressed in this paper is whether default-risk premiums for short-term and for long-term securities behave differently over time. The question is important because it affects decisions by corporations and state and local governments as to the maturity structure of their debt. It also affects decisions by investors as to the maturity and the type and grade of security in which they invest. Several hypotheses have been advanced about the behavior of default-risk premiums for different maturities. The purpose of this paper is to test these hypotheses empirically with a set of data heretofore unused. In so doing, new insights are gained into the behavior of default-risk premiums for different maturities.
The Engineering Economist | 1969
James C. Van Horne
Abstract In this paper, a method is proposed by which management is able to analyze the risk-return tradeoff for various levels of liquid assets for the firm and for different maturity compositions of its debt. Together, these factors determine its working-capital position. Certain probability concepts are employed; and information is provided about the risk of cash insolvency for alternative strategies. In addition, the opportunity costs of these strategies are determined. With the framework proposed, more rational working-capital decisions are possible. The firm is able to achieve a working-capital position that provides the appropriate margin of safety in relation to the cost involved in attaining that position
Journal of Finance | 1985
James C. Van Horne
Management Science | 1966
James C. Van Horne
Management Science | 1969
James C. Van Horne
The Engineering Economist | 1972
James C. Van Horne
The Journal of Portfolio Management | 1980
James C. Van Horne
Journal of Applied Corporate Finance | 2004
Edward I. Altman; George J. Benston; Gerald O. Bierwag; Marshall E. Blume; Richard A. Brealey; Willard T. Carleton; Andrew H. Chen; Elroy Dimson; Franklin R. Edwards; Robert A. Eisenbeis; Wayne E. Ferson; Mark J. Flannery; Charles Goodhart; Nils H. Hakansson; Kose John; Edward J. Kane; George G. Kaufman; Richard Herring; Alan Kraus; Dennis Logue; Stewart C. Myers; Stephen M. Schaefer; Eduardo S. Schwartz; Kenneth E. Scott; Lemma W. Senbet; William F. Sharpe; Jeremy J. Siegel; Seymour Smidt; Marti G. Subrahmanyam; James C. Van Horne
The Journal of Portfolio Management | 1987
James C. Van Horne
Journal of Finance | 1983
James C. Van Horne; Hal B. Heaton