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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Banking 3.0-Designing financial regulation systems: The case for simple rules
Fulltext Access 6 Pages 2011
Language as a resource to assess cross-cultural equivalence in quantitative management research
Fulltext Access 6 Pages 2011
Enlightenment and emancipation: Reflections for critical accounting research
Fulltext Access 6 Pages 2011
Are stock returns still mean-reverting?
Fulltext Access 6 Pages 2011
Credit market equilibrium theory and evidence: Revisiting the structural versus reduced form credit risk model debate
Fulltext Access 6 Pages 2011
Extendible options: The general case
Fulltext Access 6 Pages 2011
A framework for journal assessment: The case of the Journal of Banking & Finance
Fulltext Access 6 Pages 2011
Financial intermediation in the theory of the risk-free rate
Fulltext Access 6 Pages 2011
On European monetary integration and the persistence of real effective exchange rates
Fulltext Access 6 Pages 2011
Possible solutions to the forward bias paradox
Fulltext Access 6 Pages 2011
A comment on: “The solution to the forward-bias puzzle”
Fulltext Access 6 Pages 2011
On the (in)feasibility of covered interest parity as a solution to the forward bias puzzle
Fulltext Access 6 Pages 2011
The forward-bias puzzle: Still unsolved
Fulltext Access 6 Pages 2011
Size, productivity, and international banking
Fulltext Access 6 Pages 2011
The genesis of the 2008 global financial crisis and challenges to the neoclassical paradigm of finance
Fulltext Access 6 Pages 2011
Hate groups and hate crime
Fulltext Access 7 Pages 2011
Welfare enhancing regulation exemptions
Fulltext Access 7 Pages 2011
Does it pay to pollute? Shareholder wealth consequences of corporate environmental lawsuits
Fulltext Access 7 Pages 2011
Global outsourcing or foreign direct investment: Why apple chose outsourcing for the iPod
Fulltext Access 7 Pages 2011
Medical malpractice and physician liability under a negligence rule
Fulltext Access 7 Pages 2011
Share price clustering in Mexico
Fulltext Access 7 Pages 2011
What drives the volume-volatility relationship on Euronext Paris?
Fulltext Access 7 Pages 2011
Private benefits in corporate control transactions
Fulltext Access 7 Pages 2011
Modeling investment guarantees in Japan: A risk-neutral GARCH approach
Fulltext Access 7 Pages 2011
Are broad market shocks anticipated by investors? Evidence from major equity and index options markets
Fulltext Access 7 Pages 2011
Purchasing power parity for fifteen Latin American countries: Stationary test with a Fourier function
Fulltext Access 7 Pages 2011
Forecasting the yield curve with linear factor models
Fulltext Access 7 Pages 2011
Determinants of futures contract success: Empirical examinations for the Asian futures markets
Fulltext Access 7 Pages 2011
Listings from the emerging economies: An opportunity for reputable stock exchanges
Fulltext Access 7 Pages 2011
Discussion of “Are voluntary disclosures that disavow the reliability of mandated fair value information informative or opportunistic?”
Fulltext Access 7 Pages 2011
Risk behavior in the presence of government programs
Fulltext Access 7 Pages 2011
Regression with imputed covariates: A generalized missing-indicator approach
Fulltext Access 7 Pages 2011
Tighter bounds in triangular systems
Fulltext Access 7 Pages 2011
Asymmetrical return on equity mean reversion and catering
Fulltext Access 7 Pages 2011
Rethinking the liquidity puzzle: Application of a new measure of the economic money stock
Fulltext Access 7 Pages 2011
Interest on bank reserves and optimal sweeping
Fulltext Access 7 Pages 2011
The information content of cash dividend announcements in a unique environment
Fulltext Access 7 Pages 2011
Border effects in the variability of rice price in the Indian subcontinent: Results from a natural experiment
Fulltext Access 7 Pages 2011
Technology and torts: Memory costs, nondurable precautions and interference effects
Fulltext Access 7 Pages 2011
Towards a theory of accounting regulation: A discussion of the politics of disclosure regulation along the economic cycle
Fulltext Access 7 Pages 2011
The effects of the social norm on cigarette consumption: Evidence from Japan using panel data
Fulltext Access 7 Pages 2011
R&D intensity and domestic and cross-border M&A of Japanese firms before domestic M&A deregulation
Fulltext Access 7 Pages 2011
Examining nonlinear dynamics of exchange rates and forecasting performance based on the exchange rate parity of four Asian economies
Fulltext Access 7 Pages 2011
Revisiting the evidence on trade policy preferences
Fulltext Access 7 Pages 2011
The Korean stock market volatility during the currency crisis and the credit crisis
Fulltext Access 7 Pages 2011
A model of local crime displacement
Fulltext Access 7 Pages 2011
Semi-collusion in media markets
Fulltext Access 7 Pages 2011
Collective intentionality and aggressive earnings management: Developing Norman Macintosh's arguments in the debate over principles- versus rules-based accounting standards
Fulltext Access 7 Pages 2011
Review of Allan H. Meltzer's A history of the Federal Reserve, Volume 2, University of Chicago Press, 2009
Fulltext Access 7 Pages 2011
How do local governments decide on public policy in fiscal federalism? Tax vs. expenditure optimization
Fulltext Access 7 Pages 2011
Do the ASEAN countries and Taiwan form a common currency area?
Fulltext Access 7 Pages 2011
Interior matching equilibria in a public good economy: An aggregative game approach
Fulltext Access 7 Pages 2011
Is poor fitness contagious? : Evidence from randomly assigned friends
Fulltext Access 7 Pages 2011
Pippenger's CIP-based solution to the forward-bias puzzle: A rejoinder
Fulltext Access 7 Pages 2011
Relative versus absolute income, joy of winning, and gender: Brain imaging evidence
Fulltext Access 7 Pages 2011
On tax competition, public goods provision and jurisdictions' size
Fulltext Access 7 Pages 2011
Small matches and charitable giving: Evidence from a natural field experiment
Fulltext Access 7 Pages 2011
A test of the expectations hypothesis in very short-term international rates in the presence of preferred habitat for liquidity
Fulltext Access 7 Pages 2011
The effect of leverage on the tax-cut versus investment-subsidy argument
Fulltext Access 7 Pages 2011
Did the introduction of fixed-rate federal deposit insurance increase long-term bank risk-taking?
Fulltext Access 7 Pages 2011
Explaining ethnic entrepreneurship: An evolutionary economics approach
Fulltext Access 7 Pages 2011
The dictatorship of love: A response to “A spiritual reflection on emancipation and accounting” by Pala Molisa
Fulltext Access 7 Pages 2011
Gaining legitimacy through hiring local workforce at a premium: The case of MNEs in the United Arab Emirates
Fulltext Access 7 Pages 2011
The composition of human capital and economic growth: Evidence from China using dynamic panel data analysis
Fulltext Access 7 Pages 2011
The effects of imperfect auditing on managerial compensation
Fulltext Access 7 Pages 2011
Testing the managerial timing ability: Evidence from stock repurchases in Japan
Fulltext Access 7 Pages 2011
The critical stock price for the American put option
Fulltext Access 7 Pages 2011
A note on reward-risk portfolio selection and two-fund separation
Fulltext Access 7 Pages 2011
Computing American option prices in the lognormal jump-diffusion framework with a Markov chain
Fulltext Access 7 Pages 2011
CAPM option pricing
Fulltext Access 7 Pages 2011
Fast approximations of bond option prices under CKLS models
Fulltext Access 7 Pages 2011
The Lewis model applied to China: Editorial introduction to the symposium
Fulltext Access 7 Pages 2011
A similarity-based approach to prediction
Fulltext Access 8 Pages 2011
The distortion of information to support an emerging evaluation of risk
Fulltext Access 8 Pages 2011
The effects of information about health hazards in food on consumers' choice process
Fulltext Access 8 Pages 2011
Estimation of fractional integration under temporal aggregation
Fulltext Access 8 Pages 2011
Semi-nonparametric test of second degree stochastic dominance with respect to a function
Fulltext Access 8 Pages 2011
Do high-frequency measures of volatility improve forecasts of return distributions?
Fulltext Access 8 Pages 2011
Are investors moonstruck? Further international evidence on lunar phases and stock returns
Fulltext Access 8 Pages 2011
Generalized method of moments (GMM) based inference with stratified samples when the aggregate shares are known
Fulltext Access 8 Pages 2011
Variance dynamics: Joint evidence from options and high-frequency returns
Fulltext Access 8 Pages 2011
Causality effects in return volatility measures with random times
Fulltext Access 8 Pages 2011
Bank capital regulation and credit supply
Fulltext Access 8 Pages 2011
Banks' exposure to interest rate risk, their earnings from term transformation, and the dynamics of the term structure
Fulltext Access 8 Pages 2011
Credit risk transfer activities and systemic risk: How banks became less risky individually but posed greater risks to the financial system at the same time
Fulltext Access 8 Pages 2011
Testing for rational bubbles in the presence of structural breaks: Evidence from nonstationary panels
Fulltext Access 8 Pages 2011
The use of bank lines of credit in corporate liquidity management: A review of empirical evidence
Fulltext Access 8 Pages 2011
International evidence on bond risk premia
Fulltext Access 8 Pages 2011
Value and capacity of tax shields: An analysis of the slicing approach
Fulltext Access 8 Pages 2011
Sufficient conditions for expected utility to imply drawdown-based performance rankings
Fulltext Access 8 Pages 2011
Asymmetric information and price competition in small business lending
Fulltext Access 8 Pages 2011
The liquidity effect for open market operations
Fulltext Access 8 Pages 2011
History-based price discrimination and entry in markets with switching costs: A welfare analysis
Fulltext Access 8 Pages 2011
Insider rates versus outsider rates in lending
Fulltext Access 8 Pages 2011
Corporate risk management and dividend signaling theory
Fulltext Access 8 Pages 2011
Measuring price discovery: The variance ratio, the R2, and the weighted price contribution
Fulltext Access 8 Pages 2011
The chicken or the egg? A note on the dynamic interrelation between government bond spreads and credit default swaps
Fulltext Access 8 Pages 2011
Financial volatility forecasting with range-based autoregressive volatility model
Fulltext Access 8 Pages 2011
Liquidity constraints and occupational choice
Fulltext Access 8 Pages 2011
Business, ethics, and profit: Are they compatible under corporate governance in our global economy?
Fulltext Access 8 Pages 2011
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