|
Prof. Itzhak Venezia
Articles
Working Papers
Articles
-
"An
Optimal Tax Incentive Scheme for a Decentralized Multi-Product Firm,"
Management Science, 22, 1976, 1034-1042.
-
"Are
Defense Budgets Too Large?" Public Finance, 31, 1976,
406-413.
-
"Optimal
Policies of Stage Construction for Transportation Facilities Under
Uncertainty," Transportation Research, 11, 1977,
377-384.
-
"On
the Aggregation Across Subjects in Analyzing Individual Choice Behavior,"
Journal of Mathematical Psychology, 16, 1977, 60-67 (with Z
Shapira).
-
"The
Effects of Type of Forecasting and Aggregation Procedure on the Accuracy
of Managerial Manpower Predictions," Behavioral Science, 23, 1978,
187-194.
-
"A
Decision-Theoretic Approach to the Aggregation Problems in the
Pre-Data-Collection Stage," Journal of the American Statistical
Association, 73, 1978, 552-558.
-
"The
Optimal Duration of Growth Investments and Search," Journal of
Business, 52, 1979, 393-407 (with M.
Brenner).
-
"A
Mean-Variance Approach to the Optimal Machine Maintenance and Replacement
Problem," Operational Research Quarterly, 30, 1979, 466-477 (with
C. Tapiero).
-
"On
the Theory of the Competitive Firm with Utility Defined on Profits and
Regret," European Economic Review, 12, 1979, 292-303 (with J.
Paroush).
-
"Optimal
Insurance Premium Rates When the Distribution of Claims is Unknown,
Journal of Applied Probability, 16, 1979,
678-84.
-
"The
Optimal Frequency of Information Purchases," European Journal of
Operations Research 4, 1980, 118-123.
-
"Optimal
Aggregation of Input-Output Coefficients - A Decision Theoretic Approach,"
Communications in Statistics, 19, 1980,
557-570.
-
"Optimal
Claims in Automobile Insurance," Review of Economic Studies, 47,
1980, 539-549.
-
"Adaptive
Credit Granting Policies," Journal of Banking and Finance, 4, 1980,
269-281.
-
"The
Effect of Increased Variance on the Duration of Search: A Note,"
Journal of Economic Theory, 23, 1980,
127-129.
-
"How
Similar are the Different Results?"
Quality and Quantity, 14, 1980, 727-742 (with Z. Maimon and
J. Lingoes).
-
"The
Effect of Increased Risk on the Expected Proceeds and Sale Strategy of a
Machine," Operational Research Quarterly, 31, 1980,
839-844.
-
"Optimal
Stopping in Non Stationary Series," Organizational Behavior and Human
Performance, 27, 1981, 32-45 (with Z.
Shapira).
-
"The
Covariance Structure of Sequential Forecasts Obtained by Regression
Analysis," Journal of Statistical Planning and Inference, 5, 1981,
121-132.
-
"Optimal
Sequencing of Capacity Expansion Projects Under Uncertainty," RAIRO -
Operations Research, 16, 1982, 287-307.
-
"On
the Adequacy of Government Budgets," Atlantic Economic Journal, 10,
1982, 6-11 (with J. Paroush).
-
"The
Effects of Inflation and Taxes on Growth Investments and Replacement
Policies," The Journal of Finance, 38, 1983, 1519-1528 (with M.
Brenner).
-
"A
Bayesian Approach to the Optimal Growth Period Problem: A Note," The
Journal of Finance, 38, 1983, 237-246.
-
"Optimal
Multi-Period Insurance Contracts," Insurance: Mathematics and
Economics, 2, 1983, 199-208 (with H.
Levy).
-
"Aspects
of Optimal Automobile Insurance," Journal of Risk and Insurance,
51, 1983, 63-79.
-
"Determinants
of Management Styles in Business and Non-Business Organizations,"
Journal of Applied Psychology, 69, 1984, 437-447 (with G.
Chitayat).
-
"Optimal
Investments in Market Research," European Journal of Operations
Research, 18, 1984, 198-207.
-
"On
the Statistical Origins of the Learning Curve," European Journal of
Operations Research, 19, 1985, 191-200.
-
"Learning
and Manufacturing Reliability," Proceedings of Production Systems:
Scientific, Economic, Strategic Approach Conference INRIA: Centre de
Rockuencourt, 1985, 21-30.
-
"Partial
Exercise of Loan Commitments Under Adaptive Pricing," The Journal of
Financial Research, 8, 1985, 251-263 (with S. Greenbaum).
-
"On
the Economic Advantages of the Coinsurance Clause," The Journal of Risk
and Insurance, 55, 1988, 307-314.
-
"Tying
Whole Life and Savings Decisions: A Multi-Period Expected Utility
Approach," Studies of Banking and Finance, 6, 1988,
193-229.
-
"Leadership
styles of Senior Executives in Business and Government Organizations: A
Comparative Study," South African Journal of Business Management,
19, 1988, 68-74 (with G. Chitayat).
-
"Equilibrium
Pricing Under the Bank-Client Relationship," Journal of Banking and
Finance, 13, 1989, 221-235 (with Greenbaum and Kanatas).
-
"Earnings
Information and the Determination of Dividend Policy," Journal of
Economics and Business, 1991, 43, 197-214 (with S. Bar Yosef).
-
"Loan
Commitments and the Management of Uncertain Credit Demand," The Journal
of Real Estate Finance and Economics, 4, 1991, 351-366 (with Greenbaum
and Kanatas).
-
"Tie-in
of Life Insurance and Savings, an Economic Rationale," Journal of Risk
and Insurance, 58, 1991, 383-396.
-
"Size
and Frequency of Prizes as Determinants of the demand for Lotteries,"
Organizational Behavior and Human Decision Processes, 52, 1992,
307-318 (with Z. Shapira).
-
"Term
vs. Whole Life Insurance: A Note," The Journal of Accounting
Auditing and Finance, 7, 1992, 241-250 (with E.
Berkovitch).
-
"The
structure of Prizes in Lotteries and its Effect on the Demand: Theory and
Findings from the Israeli Lottery Market. Economics Quarterly, 40,
1993, 215-228 (Hebrew, with Z. Shapira).
-
"The
Determinants of Bond Call Premia: A Signaling Approach," Journal of
Financial Services Research, 8, 1994, 243-256 (with E.
Schwartz).
-
"The
LIFO/FIFO Choice as a Signal of Future Costs,” Journal of Management
Accounting Research, 7, 1995, 52-65 (with S. Bar-Yosef and P.
Hughes).
-
“The
Velocity Puzzle Revisited: The Effects of the Housing and Stock Markets,”
Journal of Economics and Business 1996, 48, 23-32 (with M. Levi,
and Y. Zhang).
-
"Exclusive vs. Independent Agents: A Separating
Equilibrium Approach," The Journal of Economic Behavior and
Organization, 1999, 40, 443-456 (With Dan Galai and Zur
Shapira).
-
"Experimental
Tests of Self Selection and Screening in Insurance Decisions," The
Geneva Papers on Risk and Insurance Theory, 1999, 24, 139-158 (with
Zur Shapira).
-
"Patterns
of Behavior of Professionally Managed and Independent Investors”,
Journal of Banking and Finance, Vol. 25 (8). p 1573-87, August 2001
(with Zur Shapira).
-
“Comparative
Exploration of Behavior and Profitability of Professionally Managed and
Independent Investors”, Forthcoming, The Israeli Quarterly Journal of
Economics (Hebrew) 2002 (with Zur
Shapira).
-
"The Implications of Standard SFAS 131 on Segment
Reporting on the informativeness of Financial Statements”, Forthcoming,
The Accounting Journal (Israel) , 2002, (with Sasson
Bar-Yosef).
Back
Working Papers
-
Ravid, S. A., A. Ofer, V. Pons, I. Venezia and S. Zuta, 2004, "When Are Preferred Shares Preferred? Theory and Empirical Evidence", Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
-
Bar-Yosef, S., R. Chen, O. Palmon and I. Venezia, 2004, "Optimal Strike Prices of Managerial Stock Options", Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
-
Shapira, Z. and I. Venezia, 2004, "An Experimental Explanation of the Full Coverage Puzzle", Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
-
Shapira, Z. and I. Venezia, 2004, "Do Professional Investors Behave Differently than Amateurs after the Weekend?", Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
-
Bar-Yosef, S. and I. Venezia, 2004, "Experimental Study of the Implications of SFAS 131: The Effects of the New Standard on the Informativeness of Segment Reporting" Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
-
Shapira, Z. and I. Venezia, 2004, "On Timing and Herding: Do Professional Investors Behave Differently than Amateurs?", Working Paper, School of Business Administration, The Hebrew University of Jerusalem.
Back
|