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Finance Research Articles

Financial conditions indexes for the United States and euro area
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Model Innovation System for Economical Development using Entrepreneurship Education
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Modeling Cloud Architecture in Banking Systems
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Financial Reporting–the Old Age Tussle between Legality and Quality in Context of Earnings Management
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Considerations on the Development of a Refactoring-based Navigation Model for On-line Transaction Systems
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The use of the Black-Scholes Model in the Field of Weather Derivatives
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Developing a Scale to Measure Customer Loyalty
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How does FDI React to Fiscal Policy? The Case of Romania
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Changes in the second-moment properties of disaggregated capital flows
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Macro Prudential Supervision Tools in the European Banking System
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A Factor Analysis Approach of International Portfolio Diversification: Does it Pay Off?
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A New Cold War in the Horizon – Reconfiguration of the World Order
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The Influence of the Employee's Performance on the Company's Growth - A Managerial Perspective
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Corporate Governance and Bank Performance in the Romanian Banking Sector
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Why fiat money is a safe asset
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Profitable candlestick trading strategies—The evidence from a new perspective
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Business cycle synchronization during US recessions since the beginning of the 1870s
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The effect of management team characteristics on risk-taking and style extremity of mutual fund portfolios
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Convergence clubs in incomes across Indian states: Is there evidence of a neighbours' effect?
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A fiscal stimulus with deep habits and optimal monetary policy
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Paradigms, theory and management accounting practice: A comment on Parker (forthcoming) “Qualitative management accounting research: Assessing deliverables and relevance”
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Accountability and Accounterability
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HAC estimation in spatial panels
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Does innovation help the good or the poor performing firms?
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A simple test for linearity against exponential smooth transition models with endogenous variables
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The consequences of protecting audit partners' personal assets from the threat of liability: A discussion
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Barrier option pricing for exchange rates under the Levy-HJM processes
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The Coase theorem reconsidered: The role of alternative activities
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Trade intensity and business cycle synchronization: East Asia versus Europe
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A decision-theoretic foundation for reward-to-risk performance measures
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International banking during the Global Financial Crisis: U.K. and U.S. perspectives
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Monetary policy credibility: A Phillips curve view
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Biology-induced effects on investor psychology and behavior
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How do skilled traders change the structure of the market
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A multiscale entropy approach for market efficiency
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Index of Author
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The effect of financial deepening on inequality: Some international evidence
Fulltext Access 7 Pages 2012
On the amplification role of collateral constraints
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Hahn-Hausman test as a specification test
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Advertising as a predictor of investment
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Financial crises in efficient markets: How fundamentalists fuel volatility
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Political connection and leverage: Some Malaysian evidence
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On the severity of economic downturns: Lessons from cross-country evidence
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When are path-dependent payoffs suboptimal?
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Bias in dynamic panel models under time series misspecification
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Negotiating M&As under uncertainty: The influence of managerial flexibility on the first-mover advantage
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Nonlinear adjustment to purchasing power parity for ASEAN countries
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The impact of affinity on world economic integration: The case of Japanese foreign direct investment
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Aggregate demand gap based on a simple structural VAR model
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Is the honeymoon effect valid in the presence of both exchange rate and output expectations? A graphical analysis
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Goods allocation by queuing and the occurrence of violence: A probabilistic analysis
Fulltext Access 7 Pages 2012
The determinants of corruption in transition economies
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Estimating the financial crisis' impact on potential output
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Environmental control, wage inequality and national welfare in a tourism economy
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Empirical bias in intraday volatility measures
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The roles of news and volatility in stock market correlations during the global financial crisis
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Are exchange rates serially correlated? New evidence from the Euro FX markets
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GARCH processes with skewed and leptokurtic innovations: Revisiting the Johnson Su case
Fulltext Access 7 Pages 2012
Risk aversion under preference uncertainty
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Evolution of Multivariate Copulas in Discrete Processes
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Determinants in Accounting Regulation for Micro-Entities-a Romanian Perspective
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A Multiple Regression Model for Selecting Audit Team Members
Fulltext Access 7 Pages 2012
Stochastic Methods for Prediction of the Bankruptcy Risk of SMEs
Fulltext Access 7 Pages 2012
Fair Value Measurement in Financial Reporting
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A Research Study on Estimation of TQM ‘Factors Ratings’ Through Analytical Hierarchy Process
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Assessing Credit Risk: An Application of Data Mining in a Rural Bank
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An empirical analysis of the relation between bank charter value and risk taking
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Productivity Measurement of Hi-tech Industry of China Malmquist Productivity Index – DEA Approach
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Does The Recent Spike in Food Prices Have Any Economic Benefit?
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Does Non-Farm Income Improve the Poverty and Income Inequality Among Agricultural Household in Rural Kedah?
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Smart Specialization Concept and the Status of Its Implementation in Romania
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Frontier of Econometrics Time Series Analysis in ICT's Stock Market of Thailand: Maximum Entropy Bootstrap Approach
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On the Devaluation of Merit. An Economic Analysis of Spanish Premial Law
Fulltext Access 7 Pages 2012
Genuine saving and the social cost of taxation
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Nature of human capital, technology and ownership of public goods
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Redistribution and the notion of social status
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How important is the intensive margin of labor adjustment?
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The effects of Bank of Japan’s liquidity provision on the year-end premium
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Guest editorial, emerging markets finance: Overview of the special issue
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A proportionality assumption and measurement biases in the factor content of trade
Fulltext Access 7 Pages 2012
A study of Environmental Disclosures by Thai listed Companies on Websites
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The great synchronization of international trade collapse
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Impact of CEPA on the labor market of Hong Kong
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Humanistic leadership: Lessons from Latin America
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Commentary on Parker: Groundhog Day and optimism
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Provisioning rules and bank lending: A theoretical model
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International differences in production techniques: Implications for the factor content of trade
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Volume, volatility and information linkages in the stock and option markets
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Banking industry liberalisation in Ghana
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Irrigation, Farm Productivity and Poverty Reduction in KPK: Understanding Direct and Indirect Impacts and Linkages
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Exchange rate undervaluation and economic growth: Díaz Alejandro (1965) revisited
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Preemptive bidding in takeover auctions with affiliated values
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Simulation and Optimization in Supply Chain
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Impact of Property Taxes on Commercial Real Estate Competition in Romania
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Fiscal Policy and Performance of Banking Systems Interactions: The case of Romania
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Study on the Alignment of the Accounting Regulatory Framework on the IFRS for Credit Institutions in Romania
Fulltext Access 7 Pages 2012
Marketing Study Regarding the Consumers Behavior Towards the Auchan Hypermarkets from Romania
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Causes and Effects of Crises on Financial System Stability in Emerging Countries
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Can Stock Market Development Boost Economic Growth? Empirical Evidence from Emerging Markets in Central and Eastern Europe
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Product Perception in the Case of Frequent Online Buyers–Empirical Evidence
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