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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Do underwriters matter? The impact of the near failure of an equity underwriter
Fulltext Access 23 Pages 2012
Shareholder composition, share turnover, and returns in volatile markets: The case of international REITs
Fulltext Access 23 Pages 2012
Asymmetric benchmarking in bank credit rating
Fulltext Access 23 Pages 2012
Country-specific equity market characteristics and foreign equity portfolio allocation
Fulltext Access 23 Pages 2012
What lures cross-border venture capital inflows?
Fulltext Access 23 Pages 2012
Has the euro affected the choice of invoicing currency?
Fulltext Access 23 Pages 2012
Destructive effects of constructive ambiguity in risky times
Fulltext Access 23 Pages 2012
Asymmetric information among lending syndicate members and the value of repeat lending
Fulltext Access 23 Pages 2012
Factors determining European bank risk
Fulltext Access 23 Pages 2012
Stock returns’ sensitivities to crisis shocks: Evidence from developed and emerging markets
Fulltext Access 23 Pages 2012
What drives delistings of foreign firms from U.S. Exchanges?
Fulltext Access 23 Pages 2012
Return and volatility spillovers among CIVETS stock markets
Fulltext Access 23 Pages 2012
Crisis, internal governance mechanisms and pension fund performance: Evidence from Poland
Fulltext Access 23 Pages 2012
Seeking safety: The relation between CEO inside debt holdings and the riskiness of firm investment and financial policies
Fulltext Access 23 Pages 2012
Longevity risk, retirement savings, and financial innovation
Fulltext Access 23 Pages 2012
The underpricing of IPOs on the Stock Exchange of Mauritius
Fulltext Access 23 Pages 2012
Time series momentum
Fulltext Access 23 Pages 2012
Global terrorism and adaptive expectations in financial markets: Evidence from Japanese equity market
Fulltext Access 23 Pages 2012
When did firms become more different? Time-varying firm-specific volatility in Japan
Fulltext Access 24 Pages 2012
Temptation and social security in a dynastic framework
Fulltext Access 24 Pages 2012
Financial development and the evolution of property rights and legal institutions
Fulltext Access 24 Pages 2012
Family firms and financial performance: The cost of growing
Fulltext Access 24 Pages 2012
Central bank announcements of asset purchases and the impact on global financial and commodity markets
Fulltext Access 24 Pages 2012
When more is less: Using multiple constraints to reduce tail risk
Fulltext Access 24 Pages 2012
Capital inputs in the Chinese economy: Estimates for the total economy, industry and manufacturing
Fulltext Access 24 Pages 2012
The current account as a dynamic portfolio choice problem
Fulltext Access 24 Pages 2012
Does Regulation FD work? Evidence from analysts' reliance on public disclosure
Fulltext Access 24 Pages 2012
The choice of organizational form under intrafirm bargaining rules
Fulltext Access 24 Pages 2012
Three types of ambiguity
Fulltext Access 24 Pages 2012
Labor supply and government programs: A cross-country analysis
Fulltext Access 24 Pages 2012
Dynamic capital structure adjustment: US MNCs & DCs
Fulltext Access 24 Pages 2012
Trading off generations: Equity, discounting, and climate change
Fulltext Access 24 Pages 2012
An empirical examination of jump risk in asset pricing and volatility forecasting in China's equity and bond markets
Fulltext Access 24 Pages 2012
Recent trends in measures to manage capital flows in emerging economies
Fulltext Access 24 Pages 2012
Blockholding and market reactions to equity offerings in China
Fulltext Access 24 Pages 2012
Inside trading, public disclosure and imperfect competition
Fulltext Access 24 Pages 2012
Firm Market Performance and Volatility in a National Real Estate Sector
Fulltext Access 24 Pages 2012
Volatility spillovers between the Chinese and world equity markets
Fulltext Access 24 Pages 2012
Bond risk premia, macroeconomic fundamentals and the exchange rate
Fulltext Access 24 Pages 2012
Staged investments in entrepreneurial financing
Fulltext Access 24 Pages 2012
IQ, trading behavior, and performance
Fulltext Access 24 Pages 2012
Do controlling shareholders' expropriation incentives imply a link between corporate governance and firm value? Theory and evidence
Fulltext Access 24 Pages 2012
Estimation of semiparametric locally stationary diffusion models
Fulltext Access 24 Pages 2012
Cash holdings, risk, and expected returns
Fulltext Access 24 Pages 2012
The effect of board structure on firm value: A multiple identification strategies approach using Korean data
Fulltext Access 24 Pages 2012
Payment systems, inside money and financial intermediation
Fulltext Access 24 Pages 2012
Tax avoidance, tax management and corporate social responsibility
Fulltext Access 24 Pages 2012
When does investor sentiment predict stock returns?
Fulltext Access 24 Pages 2012
The effects of randomizing the opening time on the performance of a stock market under stress
Fulltext Access 24 Pages 2012
The effect of a common currency on the volatility of the extensive margin of trade
Fulltext Access 24 Pages 2012
Real estate prices: An international study of seasonality's sentiment effect
Fulltext Access 24 Pages 2012
Endogenous networks in investment syndication
Fulltext Access 24 Pages 2012
The efficiency of the buy-write strategy: Evidence from Australia
Fulltext Access 24 Pages 2012
Loan supply shocks during the financial crisis: Evidence for the Euro area
Fulltext Access 24 Pages 2012
Information disclosure and depositor discipline in the Chinese banking sector
Fulltext Access 24 Pages 2012
Is corporate governance risk valued? Evidence from directors' and officers' insurance
Fulltext Access 24 Pages 2012
Option trading: Information or differences of opinion?
Fulltext Access 24 Pages 2012
Risk-premia, carry-trade dynamics, and economic value of currency speculation
Fulltext Access 25 Pages 2012
Equity home bias and corporate disclosure
Fulltext Access 25 Pages 2012
Financial development and the allocation of external finance
Fulltext Access 25 Pages 2012
Building vintage and electricity use: Old homes use less electricity in hot weather
Fulltext Access 25 Pages 2012
Is momentum really momentum?
Fulltext Access 25 Pages 2012
Taking stock or cashing in? Shareholder style preferences, premiums and the method of payment
Fulltext Access 25 Pages 2012
International market links and volatility transmission
Fulltext Access 25 Pages 2012
Underidentification?
Fulltext Access 25 Pages 2012
Causes of banking crises: Deregulation, credit booms and asset bubbles, then and now
Fulltext Access 25 Pages 2012
Capital structure and large investment projects
Fulltext Access 25 Pages 2012
Entrepreneurs' financing choice between independent and bank-affiliated venture capital firms
Fulltext Access 25 Pages 2012
Credit spread interdependencies of European states and banks during the financial crisis
Fulltext Access 25 Pages 2012
What drives the valuation premium in IPOs versus acquisitions? An empirical analysis
Fulltext Access 25 Pages 2012
Short sales, long sales, and the Lee-Ready trade classification algorithm revisited
Fulltext Access 25 Pages 2012
Economic freedom and cross-border venture capital performance
Fulltext Access 25 Pages 2012
Does information vault Niagara Falls? Cross-listed trading in New York and Toronto
Fulltext Access 25 Pages 2012
The option to stock volume ratio and future returns
Fulltext Access 25 Pages 2012
The politics of government investment
Fulltext Access 25 Pages 2012
Testing conditional factor models
Fulltext Access 25 Pages 2012
Predictive regressions with time-varying coefficients
Fulltext Access 25 Pages 2012
Econometric measures of connectedness and systemic risk in the finance and insurance sectors
Fulltext Access 25 Pages 2012
The high volume return premium: Cross-country evidence
Fulltext Access 25 Pages 2012
Institutional determinants of capital structure adjustment speeds
Fulltext Access 25 Pages 2012
Stock returns after major price shocks: The impact of information
Fulltext Access 25 Pages 2012
Currency momentum strategies
Fulltext Access 25 Pages 2012
Pricing of commercial real estate securities during the 2007–2009 financial crisis
Fulltext Access 25 Pages 2012
“Down but Not Out” mutual fund manager turnover within fund families
Fulltext Access 25 Pages 2012
Macroprudential capital requirements and systemic risk
Fulltext Access 25 Pages 2012
Bank board structure and performance: Evidence for large bank holding companies
Fulltext Access 25 Pages 2012
Stock option contract adjustments: The case of special dividends
Fulltext Access 25 Pages 2012
Diversification evidence from international equity markets using extreme values and stochastic copulas
Fulltext Access 25 Pages 2012
Who benefits from capital account liberalization? Evidence from firm-level credit ratings data
Fulltext Access 25 Pages 2012
Global liquidity risk in the foreign exchange market
Fulltext Access 25 Pages 2012
Emerging economies in the 2000s: Real decoupling and financial recoupling
Fulltext Access 25 Pages 2012
What determines mutual fund trading in foreign stocks?
Fulltext Access 25 Pages 2012
Life-cycle search, match quality and Japan's labor market
Fulltext Access 25 Pages 2012
Hot and cold IPO markets: The case of the Stock Exchange of Mauritius
Fulltext Access 25 Pages 2012
Managerial entrenchment of anti-takeover devices: Quasi-experimental evidence from Korea
Fulltext Access 25 Pages 2012
Bank-based and market-based financial systems: Time-series evidence
Fulltext Access 25 Pages 2012
Determinants of corporate hedging decision: Evidence from Croatian and Slovenian companies
Fulltext Access 25 Pages 2012
Can emerging market central banks bail out banks? A cautionary tale from Latin America
Fulltext Access 25 Pages 2012
Emerging markets research: Trends, issues and future directions
Fulltext Access 25 Pages 2012
A model-based indicator of the fiscal stance
Fulltext Access 26 Pages 2012
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