An international CAPM for partially integrated markets: Theory and empirical evidence Fulltext Access 21 Pages 2012
Bias in estimating the systematic risk of extreme performers: Implications for financial analysis, the leverage effect, and long-run reversals Fulltext Access 21 Pages 2012
Can a stock exchange improve corporate behavior? Evidence from firms' migration to premium listings in Brazil Fulltext Access 21 Pages 2012
One size does not fit all: Selling firms to private equity versus strategic acquirers Fulltext Access 21 Pages 2012
Expenditure on children: A Rothbarth-type method consistent with scale economies and parents' bargaining Fulltext Access 22 Pages 2012
Does eliminating the Form 20-F reconciliation from IFRS to U.S. GAAP have capital market consequences? Fulltext Access 22 Pages 2012
Do financial analysts' long-term growth forecasts matter? Evidence from stock recommendations and career outcomes Fulltext Access 22 Pages 2012
Evidence on the determinants and economic consequences of delegated monitoring Fulltext Access 22 Pages 2012
Net foreign assets, productivity and real exchange rates in constrained economies Fulltext Access 22 Pages 2012
Why do employees take more initiatives to improve their performance after co-developing performance measures? A field study Fulltext Access 22 Pages 2012
Wage inequality, segregation by skill and the price of capital in an assignment model Fulltext Access 22 Pages 2012
The impact of TFP growth on the unemployment rate: Does on-the-job training matter? Fulltext Access 22 Pages 2012
To liberalize or not to liberalize: Political and economic determinants of financial liberalization Fulltext Access 22 Pages 2012
Financial sector development and access to finance. Does size say it all? Fulltext Access 22 Pages 2012
Industry and country factors in emerging market returns: Did the Asian crisis make a difference? Fulltext Access 22 Pages 2012
Measuring the monetary policy stance of the People's bank of china: An ordered probit analysis Fulltext Access 22 Pages 2012
Product market relationships and cost of bank loans: Evidence from strategic alliances Fulltext Access 22 Pages 2012
Corporate bond liquidity before and after the onset of the subprime crisis Fulltext Access 22 Pages 2012
Semiparametric estimation of Markov decision processes with continuous state space Fulltext Access 22 Pages 2012
Estimation for spatial dynamic panel data with fixed effects: The case of spatial cointegration Fulltext Access 22 Pages 2012
Spanning tests in return and stochastic discount factor mean-variance frontiers: A unifying approach Fulltext Access 22 Pages 2012
Inference regarding multiple structural changes in linear models with endogenous regressors Fulltext Access 22 Pages 2012
Controlling shareholder, expropriations and firm's leverage decision: Evidence from Chinese Non-tradable share reform Fulltext Access 22 Pages 2012
SEC enforcement: Does forthright disclosure and cooperation really matter? Fulltext Access 22 Pages 2012
Does favorable investor sentiment lead to costly decisions to go public? Fulltext Access 22 Pages 2012
Can VAR models capture regime shifts in asset returns? A long-horizon strategic asset allocation perspective Fulltext Access 22 Pages 2012
Form versus substance: The effect of ownership structure and corporate governance on firm value in Thailand Fulltext Access 22 Pages 2012
Forecasting government bond yields with large Bayesian vector autoregressions Fulltext Access 22 Pages 2012
Do interbank customer relationships exist? And how did they function in the crisis? Learning from Italy Fulltext Access 22 Pages 2012
Migrant remittances, financial sector development and the government ownership of banks: Evidence from a group of non-OECD economies Fulltext Access 22 Pages 2012
Using survey data to resolve the exchange risk exposure puzzle: Evidence from U.S. multinational firms Fulltext Access 22 Pages 2012
Mean reversion in international stock markets: An empirical analysis of the 20th century Fulltext Access 22 Pages 2012
Securitization, risk-transferring and financial instability: The case of Spain Fulltext Access 22 Pages 2012
Identifying sources of macroeconomic and exchange rate fluctuations in the UK Fulltext Access 22 Pages 2012
Long-term effects of labor market conditions on family formation for Japanese youth Fulltext Access 22 Pages 2012
Mean reversion in long-horizon real exchange rates: Evidence from Latin America Fulltext Access 22 Pages 2012
A simple accounting framework for the effect of resource misallocation on aggregate productivity Fulltext Access 22 Pages 2012
The impact of laws, regulations, and culture on cross-border joint ventures Fulltext Access 22 Pages 2012
Alternative paths of convergence toward U.S. market and legal regulations: Cross-listing vs. merging with U.S. bidders Fulltext Access 22 Pages 2012
The relationship between aggregate managed fund flows and share market returns in Australia Fulltext Access 22 Pages 2012
Belief changes and expectation heterogeneity in buy- and sell-side professionals in the Japanese stock market Fulltext Access 22 Pages 2012
Related-party transactions and corporate governance: The evidence from the Taiwan stock market Fulltext Access 22 Pages 2012
Local economic effects of a government-owned depository institution: Evidence from a natural experiment in Japan Fulltext Access 22 Pages 2012
Export promotion programs: Their impact on companies’ internationalization performance and competitiveness Fulltext Access 22 Pages 2012
Corruption, soundness of the banking sector, and economic growth: A cross-country study Fulltext Access 23 Pages 2012
Nonparametric estimation and inference about the overlap of two distributions Fulltext Access 23 Pages 2012
Information effect of entry into credit ratings market: The case of insurers' ratings Fulltext Access 23 Pages 2012
Revitalising local democracy: A social capital analysis in the context of a New Zealand local authority Fulltext Access 23 Pages 2012
The influence of firm and executive characteristics on performance-vested stock option grants Fulltext Access 23 Pages 2012
Exchange rates and oil prices: A multivariate stochastic volatility analysis Fulltext Access 23 Pages 2012
Determinants of the guarantee circles: The case of Chinese listed firms Fulltext Access 23 Pages 2012
Investor type trading behavior and trade performance: Evidence from the Thai stock market Fulltext Access 23 Pages 2012
Decoupling the distressed banks and their clients, and coupling the distressed firms and their lending banks Fulltext Access 23 Pages 2012
Are the busiest really the best? Further evidence from frequent acquirers Fulltext Access 23 Pages 2012
Capital injection, restructuring targets and personnel management: The case of Japanese regional banks Fulltext Access 23 Pages 2012
Who times the foreign exchange market? Corporate speculation and CEO characteristics Fulltext Access 23 Pages 2012
Earnings announcements and attention constraints: The role of market design Fulltext Access 23 Pages 2012
The composition of top management with general counsel and voluntary information disclosure Fulltext Access 23 Pages 2012
Discretionary accounting choices and the predictive ability of accruals with respect to future cash flows Fulltext Access 23 Pages 2012
A careful re-examination of seasonality in international stock markets: Comment on sentiment and stock returns Fulltext Access 23 Pages 2012
Corporate governance in the 2007-2008 financial crisis: Evidence from financial institutions worldwide Fulltext Access 23 Pages 2012
The size, concentration and evolution of corporate R&D spending in U.S. firms from 1976 to 2010: Evidence and implications Fulltext Access 23 Pages 2012