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Finance Research Articles

Effect of exchange rate return on volatility spill-over across trading regions
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Funding liquidity and equity liquidity in the subprime crisis period: Evidence from the ETF market
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Portfolio frontiers with restrictions to tracking error volatility and value at risk
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Reducing informal payments in the health care system: Evidence from a large patient satisfaction survey
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Multi-dimensional deprivation in the awakening giants: A comparison of China and India on micro data
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Poverty impacts of natural resource revenues
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Evolutionary paths toward a region-wide economic agreement in Asia
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Productivity and convergence in India: A state-level analysis
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The dynamics of aggregate demand and supply shocks in ASEAN countries
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FDI and market entry/exit: Evidence from China
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Monetary integration in ASEAN+3: A perception survey of opinion leaders
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Physical capital accumulation in Asia 12: Past trends and future projections
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International monetary transmission in East Asia: Floaters, non-floaters, and capital controls
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Pitfalls in backtesting Historical Simulation VaR models
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Further evidence on property-casualty insurance premiums: Do multiple breaks and country characteristics matter?
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Contingent fee caps, screening, and the quality of legal services
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Explaining uniformity in rule design: The role of citizen participation in enforcement
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Corporate acquisition process: Is there an optimal cash-equity payment mix?
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Credit creation and social optimality
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Lessons from the Bank of England on 'quantitative easing' and other 'unconventional' monetary policies
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Does managerial entrenchment motivate the insurance decision?
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Asymmetries, causality and correlation between FTSE100 spot and futures: A DCC-TGARCH-M analysis
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Explaining aggregate credit default swap spreads
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The contrasting effects of board composition and structure on IPO firm underpricing in a developing context
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Volatility risk premium decomposition of LIFFE equity options
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Do investment banks listen to their own analysts?
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Globalization, exports, and effective exchange rate indices
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Time-varying correlation between stock market returns and real estate returns
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Semi-nonparametric estimation of independently and identically repeated first-price auctions via an integrated simulated moments method
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Risk aversion and asymmetry in procurement auctions: Identification, estimation and application to construction procurements
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Empirical implementation of nonparametric first-price auction models
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Bayesian averaging, prediction and nonnested model selection
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n-uniformly consistent density estimation in nonparametric regression models
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The validity of instruments revisited
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Econometric analysis of present value models when the discount factor is near one
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A Bayesian analysis of payday loans and their regulation
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Payout policy in Brazil: Dividends versus interest on equity
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Board quality and the cost of debt capital: The case of bank loans
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Corporate governance and cash holdings: A quantile regression approach
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The information content of trade credit
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Short selling of ADRs and foreign market short-sale constraints
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Price discovery and volatility spillovers in the European Union emissions trading scheme: A high-frequency analysis
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The effect of foreign bank presence on firm entry and exit in transition economies
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Valuing and pricing IPOs
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The home-institution bias
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Portfolio credit-risk optimization
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Coinsurance effect and bank lines of credit
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Investor sophistication and risk taking
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Multimarket trading and corporate bond liquidity
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False discoveries in volatility timing of mutual funds
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Valuing public goods using happiness data: The case of air quality
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Disparate association between alliance social capital and the global pharmaceutical firm's performance
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Blanket guarantee, deposit insurance and restructuring decisions for multinational banks
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Quantifying and explaining parameter heterogeneity in the capital regulation-bank risk nexus
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Regulatory capture and banking supervision reform
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Default cascades: When does risk diversification increase stability?
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Credit risk dynamics in response to changes in the federal funds target: The implication for firm short-term debt
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A comparative examination of currency risk pricing and market integration in the stock markets of Nigeria and South Africa
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Shock-dependent conditional skewness in international aggregate stock markets
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Will you civil union me? Taxation and civil unions in France
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Work incentives and the Food Stamp Program
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Tax competition among local governments: Evidence from a property tax reform in Finland
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Do unemployed workers benefit from enterprise zones? The French experience
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Proactive management of political risk and corporate performance: The case of Spanish multinational enterprises
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Optimal taxation, critical-level utilitarianism and economic growth
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The private provision of excludable public goods: An inefficiency result
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Short-run money demand
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Lumpiness, capital adjustment costs and investment dynamics
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Testing the incentive effects in tournaments with a superstar
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Carbon emissions, trade liberalization, and the Japan–ASEAN interaction: A group-wise examination
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Yen-synchronization of floating East Asian currencies: A regime-switching regression model and micro-structural analysis
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Risk and the cross section of stock returns
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A meta-analysis of the equity premium
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Stock return autocorrelations revisited: A quantile regression approach
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On the transmission of economic fluctuations from the USA to EU-15 (1960–2011)
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The role of independent intermediaries: The case of small and medium-sized exporters
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Wealth effects in emerging market economies
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Insider trading with different market structures
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Bilateral exports from euro zone countries to the US - Does exchange rate variability play a role?
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The comovement between exchange rates and stock prices in the Asian emerging markets
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The portfolio strategy and hedging: A spectrum perspective on mean-variance theory
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Optimal nonlinear income taxation with productive government expenditure
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The European fiscal reform and the plight of the euro
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Investor sentiment and stock returns: Wenchuan Earthquake
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Communication in intergroup conflicts
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Resurrecting the weak credibility hypothesis in models of exchange-rate-based stabilization
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How national and international financial development affect industrial R&D
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Global excess liquidity and asset prices in emerging countries: A PVAR approach
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A multiple adaptive wavelet recurrent neural network model to analyze crude oil prices
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Understandings of accountability: an autoethnographic account using metaphor
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Cultural interpretations of destructive acts and trust in Japanese supply channel relationships
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Islamic finance and market segmentation: Implications for the cost of capital
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Organizational values and knowledge sharing in multinational corporations: The Danisco case
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Diversity & internationalization: The case of boards and TMT's
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Identity, knowledge and strategy in the UK subsidiary of an Anglo-German automobile manufacturer
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The liability of foreignness reconsidered: New insights from the alternative research context of transforming economies
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The influence of experiential, inherited and external knowledge on the internationalization of venture capital firms
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Policy-driven clusters, interfirm interactions and firm internationalisation: Some insights from Malaysia's Multimedia Super Corridor
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The impact of individualism on buyer–supplier relationship norms, trust and market performance: An analysis of data from Brazil and the U.S.A.
Fulltext Access 12 Pages 2012
The complexity of the business network context and its effect on subsidiary relational (over-) embeddedness
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