Business & Economics
Book-to-market
69%
Equity Returns
64%
Capital Asset Pricing Model
58%
Firm Size
49%
Stock Returns
46%
Emerging Markets
45%
Risk Factors
36%
Equity
31%
Expected Returns
28%
Multifactor Asset Pricing Model
22%
Beta Risk
20%
Cross-section of Stock Returns
19%
Pricing Errors
18%
Multifactor Model
18%
Index Model
17%
Market Factors
15%
Cross Section
15%
Philippines
14%
Finance
13%
Hong Kong
12%
Korea
12%
Investing
11%
Premium
11%
Malaysia
10%
Assets
8%
Social Sciences
capital assets
50%
pricing
48%
equity
45%
firm
44%
market
31%
evidence
23%
finance theory
14%
assets
13%
premium
9%
Philippines
7%
Korea
7%
Malaysia
7%
Hong Kong
6%
Earth & Environmental Sciences
firm size
100%
equity
63%
market
40%
risk factor
16%
factor market
13%
cross section
12%
premium
9%
finance
9%