reviewTop 1% cited
EFFICIENT CAPITAL MARKETS: A REVIEW OF THEORY AND EMPIRICAL WORK*
The Journal of Finance · 1970 · Vol. 25(2) · pp. 383–417
Financial Markets and Investment StrategiesHousing Market and EconomicsMonetary Policy and Economic ImpactSession (web analytics)CitationEconomicsClassicsLibrary scienceHistoryComputer scienceWorld Wide Web
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References
CAPITAL ASSET PRICES: A THEORY OF MARKET EQUILIBRIUM UNDER CONDITIONS OF RISK*
The Journal of Finance · 1964 · 17,333 citations
Liquidity Preference as Behavior Towards Risk
The Review of Economic Studies · 1958 · 3,872 citations
Brownian Motion in the Stock Market
Operations Research · 1959 · 943 citations
THE PERFORMANCE OF MUTUAL FUNDS IN THE PERIOD 1945–1964
The Journal of Finance · 1968 · 4,393 citations
Capital Asset Prices: A Theory of Market Equilibrium under Conditions of Risk
The Journal of Finance · 1964 · 7,506 citations
The Valuation of Risk Assets and the Selection of Risky Investments in Stock Portfolios and Capital Budgets
The Review of Economics and Statistics · 1965 · 6,869 citations
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