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Daneshyari Finance Journas Latest Articles

Finance Research Articles

The Effect of Data Revisions on the Basic New Keynesian Model
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Crises in Asia: Recovery and policy responses
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The 'Triple-alliance' perspective for new industry creation: Lessons from the flat panel industry in Taiwan
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Political considerations in the decision of Chinese SOEs to list in Hong Kong
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Managerial reporting, overoptimism, and litigation risk
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Earnings restatements and differential timeliness of accounting conservatism
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The costs of avoiding accidents: Selective compliance and the 'Peltzman effect' in Italy
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Unjust laws and illegal norms
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Does competition stimulate drug utilization? The impact of changes in market structure on US drug prices, marketing and utilization
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The impact of real income on insurance premiums: Evidence from panel data
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Time-changed GARCH versus the GARJI model for prediction of extreme news events: An empirical study
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Dividend policy and business groups: Evidence from Indian firms
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Dynamics of underwriting profits: Evidence from the U.S. insurance market
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Are FDI spillovers regional? Firm-level evidence from China
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Exchange rate misalignments in frequency domain
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The global financial crisis, financial linkages and correlations in returns and volatilities in emerging MENA stock markets
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Cross-sectional determinants of bank performance under deposit dollarization in emerging markets
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Financial market development and the effectiveness of R&D investment: Evidence from developed and emerging countries
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Financial integration of GCC banking markets: A non-parametric bootstrap DEA estimation approach
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A conceptual development of Simons’ Levers of Control framework
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Complementary effect of entrepreneurial and market orientations on export new product success under differing levels of competitive intensity and financial capital
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Is ‘Good’ governance good for business? A cross-national analysis of firms in African countries
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The influence of social institutions on managers’ concept of trust: Implications for trust-building in Sino-German relationships
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Banking industry volatility and economic growth
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The impact of corporate governance and external audit on compliance to mandatory disclosure requirements in China
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Confidence intervals for the quantile of treatment effects in randomized experiments
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Cash flows and leverage adjustments
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The short of it: Investor sentiment and anomalies
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Nonparametric estimation of scalar diffusion models of interest rates using asymmetric kernels
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Estimation of market power in the presence of firm level inefficiencies
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The effect of job flexibility on female labor market outcomes: Estimates from a search and bargaining model
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Segmenting mean-nonstationary time series via trending regressions
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Bayesian modeling of joint and conditional distributions
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Nonparametric identification in nonseparable panel data models with generalized fixed effects
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Regularization of nonparametric frontier estimators
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Dynamic misspecification in nonparametric cointegrating regression
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Asymptotics of the principal components estimator of large factor models with weakly influential factors
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Semiparametric inference in a GARCH-in-mean model
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Regional integration and the international strategies of large European firms
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Simple and powerful GMM over-identification tests with accurate size
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Model selection criteria for the leads-and-lags cointegrating regression
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Asymptotics for LS, GLS, and feasible GLS statistics in an AR(1) model with conditional heteroskedasticity
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Tikhonov regularization for nonparametric instrumental variable estimators
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Optimal inference for instrumental variables regression with non-Gaussian errors
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Maximum likelihood estimation of stochastic frontier models by the Fourier transform
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Pseudo conditional maximum likelihood estimation of the dynamic logit model for binary panel data
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Semiparametric trending panel data models with cross-sectional dependence
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Evaluating DSGE model forecasts of comovements
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Local GMM estimation of time series models with conditional moment restrictions
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Inference in regression models with many regressors
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Getting beyond carry trade: What makes a safe haven currency?
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Sequential exporting
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The effect of the Uruguay round on the intensive and extensive margins of trade
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The role of expenditure switching in the global imbalance adjustment
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Globalization and the empowerment of talent
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Tools for managing financial-stability risks from capital inflows
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Dollar illiquidity and central bank swap arrangements during the global financial crisis
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Labor market institutions, firm-specific skills, and trade patterns
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Equilibrium parallel import policies and international market structure
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Do trade policy differences induce sorting? Theory and evidence from Bangladeshi apparel exporters
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Temporary trade and heterogeneous firms
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Cross-border banking, credit access, and the financial crisis
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The use of foreign currency derivatives, corporate governance, and firm value around the world
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The economics of trade agreements in the linear Cournot delocation model
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Does it matter who pays for bond ratings? Historical evidence
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Optimal clearing arrangements for financial trades
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The sources of value destruction in acquisitions by entrenched managers
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Some nonstandard stochastic volatility models and their estimation using structured hidden Markov models
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The investment value of the frequency of analyst recommendation changes for the ordinary investor
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Does the weather have impacts on returns and trading activities in order-driven stock markets? Evidence from China
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Time-varying performance of international mutual funds
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Global style momentum
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Market linkage and information spillover: Evidence from pre-crisis, crisis, and recovery periods
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Real aggregate activity and stock returns
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The information content of the Banking Regulatory Agencies and the Depository Credit Intermediation Institutions
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Liquidity creation without a central bank: Clearing house loan certificates in the banking panic of 1907
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Path dependence view of export behaviour: A relationship between static patterns and dynamic configurations
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Value creation through production offshore–inshore strategies in a footwear industry cluster: A coevolutionary perspective
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GLOBE: A twenty year journey into the intriguing world of culture and leadership
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Factors influencing the propensity to export: A study of UK and Portuguese textile firms
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Headquarters involvement and efficiency of innovation development and transfer in multinationals: A matter of sheer ignorance?
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Affects of alliance entrepreneurship on common vision, alliance capability and alliance performance
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Does international experience help firms to be green? A knowledge-based view of how international experience and organisational learning influence proactive environmental strategies
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Exploring the animosity domain and the role of affect in a cross-national context
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The impact of increases in subsidiary autonomy and network relationships on performance
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A macro stress test model of credit risk for the Brazilian banking sector
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‘Engines of Extravagance’: The privatised British railway rolling stock industry
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E-business audit: Advisory jurisdiction or occupational invasion?
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The value of Value-at-Risk: A theoretical approach to the pricing and performance of risk measurement systems
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Internet financial reporting, infrastructures and corporate governance: An international analysis
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When does uncovered interest parity hold?
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Does inequality lead to a financial crisis?
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Changing integration of EMU public property markets
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The integration of the credit default swap markets during the US subprime crisis: Dynamic correlation analysis
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A general theory of controllability and expectations anchoring for small-open economies
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Purchasing power parity and structural instability in the US/UK exchange rate
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Which demands affect optimal international portfolio choices?
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Equity financing capacity and stock returns: Evidence from China
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Foreign exchange volatility and stock returns
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Trade disputes, quality choice, and economic integration
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