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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Payout taxes and the allocation of investment
Fulltext Access 24 Pages 2013
The economics of hedge funds
Fulltext Access 24 Pages 2013
The deep-pocket effect of internal capital markets
Fulltext Access 24 Pages 2013
Allocation of decision rights and the investment strategy of mutual funds
Fulltext Access 24 Pages 2013
Do monetary policy announcements affect stock prices in emerging market countries? The case of Thailand
Fulltext Access 24 Pages 2013
Directors' and officers' liability insurance and loan spreads
Fulltext Access 24 Pages 2013
Flow and stock effects of large-scale treasury purchases: Evidence on the importance of local supply
Fulltext Access 24 Pages 2013
The acquisitiveness of youth: CEO age and acquisition behavior
Fulltext Access 24 Pages 2013
Labor unions and tax aggressiveness
Fulltext Access 24 Pages 2013
“When the cat's away the mice will play”: Does regulation at home affect bank risk-taking abroad?
Fulltext Access 24 Pages 2013
Macroprudential stress testing of credit risk: A practical approach for policy makers
Fulltext Access 24 Pages 2013
Pyramidal ownership and the creation of new firms
Fulltext Access 24 Pages 2013
Growth to value: Option exercise and the cross section of equity returns
Fulltext Access 25 Pages 2013
Rare event risk and emerging market debt with heterogeneous beliefs
Fulltext Access 25 Pages 2013
Is there price discovery in equity options?
Fulltext Access 25 Pages 2013
Optimal incentives and securitization of defaultable assets
Fulltext Access 25 Pages 2013
A new perspective of equity market performance
Fulltext Access 25 Pages 2013
When do characteristics-sorted factors mechanically explain returns?
Fulltext Access 25 Pages 2013
Nontraditional banking activities and bank failures during the financial crisis
Fulltext Access 25 Pages 2013
On the predictive role of large futures trades for S&P500 index returns: An analysis of COT data as an informative trading signal
Fulltext Access 25 Pages 2013
The impact of government ownership on bank risk
Fulltext Access 25 Pages 2013
Stock price synchronicity and liquidity
Fulltext Access 25 Pages 2013
The market microstructure approach to foreign exchange: Looking back and looking forward
Fulltext Access 25 Pages 2013
Bank monitoring incentives and optimal ABS
Fulltext Access 25 Pages 2013
Friedman's monetary economics in practice
Fulltext Access 25 Pages 2013
Capital ratios and bank lending: A matched bank approach
Fulltext Access 25 Pages 2013
The banking bailout of the subprime crisis: Was the bang worth the buck?
Fulltext Access 25 Pages 2013
The perils of a central bank's capital control: How substantial is the effect on firm value?
Fulltext Access 25 Pages 2013
The appeal of private targets in international acquisitions
Fulltext Access 25 Pages 2013
Price discovery in government bond markets
Fulltext Access 25 Pages 2013
Prospect theory, the disposition effect, and asset prices
Fulltext Access 25 Pages 2013
Exploring uncharted territories of the hedge fund Industry: Empirical characteristics of mega hedge fund firms
Fulltext Access 25 Pages 2013
Alternative econometric implementations of multi-factor models of the U.S. financial markets
Fulltext Access 25 Pages 2013
The dynamic interactions among the stock, bond and insurance markets
Fulltext Access 25 Pages 2013
Predictability of currency carry trades and asset pricing implications
Fulltext Access 25 Pages 2013
Sources of time-varying trade balance and real exchange rate dynamics in East Asia
Fulltext Access 25 Pages 2013
Externalities of public firm presence: Evidence from private firms' investment decisions
Fulltext Access 25 Pages 2013
On returns differentials
Fulltext Access 25 Pages 2013
Human capital, capital structure, and employee pay: An empirical analysis
Fulltext Access 25 Pages 2013
To give or to forgive? Aid versus debt relief
Fulltext Access 25 Pages 2013
Vertical debt spillovers in EMU countries
Fulltext Access 25 Pages 2013
Valuation of VIX derivatives
Fulltext Access 25 Pages 2013
Real exchange rates, trade balance and capital flows in Africa
Fulltext Access 25 Pages 2013
Institutional trading and stock resiliency: Evidence from the 2007–2009 financial crisis
Fulltext Access 25 Pages 2013
Does stock market development always improve firm-level financing? Evidence from Tunisia
Fulltext Access 26 Pages 2013
Is corporate governance relevant during the financial crisis?
Fulltext Access 26 Pages 2013
Bank competition, crisis and risk taking: Evidence from emerging markets in Asia
Fulltext Access 26 Pages 2013
The venture capital certification role in R&D: Evidence from IPO underpricing in Korea
Fulltext Access 26 Pages 2013
Dynamic relationships between industry returns and stock market returns
Fulltext Access 26 Pages 2013
Monetary policy and stock market dynamics across monetary regimes
Fulltext Access 26 Pages 2013
Fiscal stimulus and labor market dynamics in Japan
Fulltext Access 26 Pages 2013
Financial globalization, convergence and growth: The role of foreign direct investment
Fulltext Access 26 Pages 2013
Behind closed doors: Revealing the ECB's decision rule
Fulltext Access 26 Pages 2013
Political uncertainty and risk premia
Fulltext Access 26 Pages 2013
Learning and the disappearing association between governance and returns
Fulltext Access 26 Pages 2013
The leverage effect puzzle: Disentangling sources of bias at high frequency
Fulltext Access 26 Pages 2013
A new approach to predicting analyst forecast errors: Do investors overweight analyst forecasts?
Fulltext Access 26 Pages 2013
The realized forward term premium in the repo market
Fulltext Access 26 Pages 2013
Sharing information in the credit market: Contract-level evidence from U.S. firms
Fulltext Access 26 Pages 2013
Microstructure-based manipulation: Strategic behavior and performance of spoofing traders
Fulltext Access 26 Pages 2013
Central bank reserves and interbank market liquidity in the euro area
Fulltext Access 26 Pages 2013
Are small firms less vulnerable to overpriced stock offers?
Fulltext Access 26 Pages 2013
Causes of the great recession of 2007-2009: The financial crisis was the symptom not the disease!
Fulltext Access 26 Pages 2013
Bank competition and stability: Cross-country heterogeneity
Fulltext Access 27 Pages 2013
How central banks prepare for financial crises – An empirical analysis of the effects of crises and globalisation on international reserves
Fulltext Access 27 Pages 2013
Relational venture capital financing of serial founders
Fulltext Access 27 Pages 2013
Credit vs. demand constraints: The determinants of US firm-level investment over the business cycles from 1977 to 2011 ⿿
Fulltext Access 27 Pages 2013
The role of cross-sectional heterogeneity for magnitude and timing of the euro's trade effect
Fulltext Access 27 Pages 2013
The role of shorting, firm size, and time on market anomalies
Fulltext Access 27 Pages 2013
Political activism, information costs, and stock market participation
Fulltext Access 27 Pages 2013
Financial liberalization and economic growth: A meta-analysis
Fulltext Access 27 Pages 2013
Who said large banks don't experience scale economies? Evidence from a risk-return-driven cost function
Fulltext Access 27 Pages 2013
Investor herds and regime-switching: Evidence from Gulf Arab stock markets
Fulltext Access 27 Pages 2013
Ex-dividend prices and investor trades: Evidence from Taiwan
Fulltext Access 27 Pages 2013
Cross-border bank lending: Empirical evidence on new determinants from OECD banking markets
Fulltext Access 27 Pages 2013
The term structure of interbank risk
Fulltext Access 27 Pages 2013
Liquidity provision in a limit order book without adverse selection
Fulltext Access 27 Pages 2013
How does the relationship between multiple large shareholders affect corporate valuations? Evidence from China
Fulltext Access 28 Pages 2013
Separating Information Maximum Likelihood estimation of the integrated volatility and covariance with micro-market noise
Fulltext Access 28 Pages 2013
The U.S. left behind? Financial globalization and the rise of IPOs outside the U.S.
Fulltext Access 28 Pages 2013
Political connections, founder-managers, and their impact on tunneling in China's listed firms
Fulltext Access 28 Pages 2013
Enterprise unions and downsizing in Japan before and after 1997
Fulltext Access 28 Pages 2013
The other side of value: The gross profitability premium
Fulltext Access 28 Pages 2013
Enhancing stakeholder interaction through environmental risk accounts
Fulltext Access 28 Pages 2013
Is the relationship between prices and exchange rates homogeneous?
Fulltext Access 28 Pages 2013
The cross section of conditional mutual fund performance in European stock markets
Fulltext Access 28 Pages 2013
Predicting financial crises: The (statistical) significance of the signals approach
Fulltext Access 28 Pages 2013
The market for borrowing corporate bonds
Fulltext Access 28 Pages 2013
Money growth and inflation: A regime switching approach
Fulltext Access 28 Pages 2013
Investing in Chapter 11 stocks: Trading, value, and performance
Fulltext Access 28 Pages 2013
Short-term residual reversal
Fulltext Access 28 Pages 2013
Commodity price shocks and the business cycle: Structural evidence for the U.S.
Fulltext Access 29 Pages 2013
The determinants of equity agency conflicts between managers and shareholders: Evidence from Australia
Fulltext Access 29 Pages 2013
The information content of stock markets around the world: A cultural explanation
Fulltext Access 29 Pages 2013
Leverage and preemptive selling of financial institutions
Fulltext Access 29 Pages 2013
High frequency trading and the new market makers
Fulltext Access 29 Pages 2013
Do mutual fund managers time market liquidity?
Fulltext Access 29 Pages 2013
Robustness and exchange rate volatility
Fulltext Access 29 Pages 2013
Windfalls, structural transformation and specialization
Fulltext Access 29 Pages 2013
Is warrant really a derivative? Evidence from the Chinese warrant market
Fulltext Access 29 Pages 2013
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