The relationship between short- and longer-term moving averages has strong predictive power for share price returns
Private equity investors weigh the total cost of capital — not just debt, but equity as well — when pursuing buyouts
Data back to 1870 show similarities in the worst banking system shocks — focusing on loose lending before a meltdown
The case for using rising market volatility as a signal to pare back on stocks — does higher risk always mean higher return?
The government’s floating rate notes feature an added measure of security: higher interest earnings in times of rising rates
“Uh, I already bought a house”: Tech workers spend ahead of actual stock sales
Rigid adherence to scoring systems can reduce consumer spending when it’s most needed
When bad times hit, highly indebted companies often have to sell operations and equipment at fire-sale prices
Cost burdens affect half of U.S. households that rent, as housing shortage worsens
A predictive model employs credit default swaps across currencies
A 12-month high in local unemployment triggers savings behavior
Doing worse than mom and dad is a drag on the entire economy
Welcome to UCLA Anderson Review's quiz, in which we aim to extract business and life lessons from faculty research we cover each month.
Individuals using the Robinhood trading app appear to beat the market
The same gift, with a message on saving the recipient time, is more welcome
Local currency sovereign bonds transfer risk from issuer to buyer