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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Incorporating the dynamics of leverage into default prediction
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Regime-switching analysis of ADR home market pass-through
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Does ownership matter in mergers? A comparative study of the causes and consequences of mergers by family and non-family firms
Fulltext Access 11 Pages 2011
Asset-liability management under time-varying investment opportunities
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Global equity fund performance, portfolio concentration, and the fundamental law of active management
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Convergent synergies in the global market for corporate control
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Short-sale constraints and price bubbles
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Implications of bank ownership for the credit channel of monetary policy transmission: Evidence from India
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Managerial ownership and the disposition effect
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Home country bias: Does domestic experience help investors enter foreign markets?
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Optimal VWAP trading under noisy conditions
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Pitfalls and remedies in testing the calibration quality of rating systems
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The relationship between asset growth and the cross-section of stock returns
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Habit-based asset pricing with limited participation consumption
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The impact of taxation on bank profits: Evidence from EU banks
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On the irrelevance of insider trading for managerial compensation
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Myopia, redistribution and pensions
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Mergers and partial ownership
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Analysing interconnectivity among economies
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Circular migration, or permanent stay? Evidence from China's rural-urban migration
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Rural to urban land conversion in China - How large is the over-conversion and what are its welfare implications?
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Extensive margin, quantity and price in China's export growth
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“The effects of market liberalization and privatization on Chinese telecommunications”
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Correlation dynamics in equity markets: evidence from India
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Global trends in real risk free rates
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Firm specific and macro herding by professional and amateur investors and their effects on market volatility
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Volatility forecast comparison using imperfect volatility proxies
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Measuring R&D curtailment among short-horizon CEOs
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The power of bad: The negativity bias in Australian consumer sentiment announcements on stock returns
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Financial integration and emerging markets capital structure
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Revisiting the expectations hypothesis of the term structure of interest rates
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The diversification effects of volatility-related assets
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Market discipline, financial crisis and regulatory changes: Evidence from Indonesian banks
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Do ESOPs enhance firm performance? Evidence from China's reform experiment
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Volatility components, leverage effects, and the return-volatility relations
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Price determinants of Aboriginal art, and its role as an alternative asset class
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Capital requirements under the credit risk-based framework
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A computational approach to pricing a bank credit line
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Currency risk exposure of Chinese corporations
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Do market capitalization and stocks traded converge? New global evidence
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Foreign banks in syndicated loan markets
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Foreign bank entry and firms' access to bank credit: Evidence from China
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A theory of optimal expropriation, mergers and industry competition
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Can pure play internet banking survive the credit crisis?
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Analyst characteristics, timing of forecast revisions, and analyst forecasting ability
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A tale of values-driven and profit-seeking social investors
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Insider trading law enforcement and gross spreads of ADR IPOs
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Joint effect of financial fragility and macroeconomic shocks on bank loan losses: Evidence from Europe
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International variations in expected equity premia: Role of financial architecture and governance
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Crash risk of the euro in the sovereign debt crisis of 2009-2010
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Intraindustry trade and the skill premium: Theory and evidence
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Inflation expectations from index-linked bonds: Correcting for liquidity and inflation risk premia
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Monetary policy regimes in macroeconomic data: An application of fractal analysis
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The efficiency of internal capital markets: Evidence from the Annual Capital Expenditure Survey
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Corporate debt maturity choice in emerging financial markets
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Short-term market overreaction on the Frankfurt stock exchange
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Asymmetric convergence in US financial credit default swap sector index markets
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Nonlinear effects of monetary policy on stock returns in a smooth transition autoregressive model
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Valuation effects with transitory and trend productivity shocks
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Estimating vertical spillovers from FDI: Why results vary and what the true effect is
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Volatility due to offshoring: Theory and evidence
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Infant industry protection and industrial dynamics
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Good jobs, bad jobs, and trade liberalization
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Independent component analysis for realized volatility: Analysis of the stock market crash of 2008
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Innovation and trade with heterogeneous firms
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Lobbying costs and trade policy
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Does services liberalization benefit manufacturing firms?
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Power laws in firm size and openness to trade: Measurement and implications
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Currency crises with the threat of an interest rate defence
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Information asymmetry and self-selection bias in bank loan announcement studies
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Structural breaks, parameter uncertainty, and term structure puzzles
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Long memory and nonlinearity in conditional variances: A smooth transition FIGARCH model
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Measuring the effects of geographical distance on stock market correlation
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Modeling structural changes in the volatility process
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Evaluating alternative methods for testing asset pricing models with historical data
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Designing the social software
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Explaining underpricing of IPOs in frontier markets: Evidence from the Nigeria Stock Exchange
Fulltext Access 11 Pages 2011
Loose coupling in asset management systems in the NHS
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Man-made disasters: A cross-national analysis
Fulltext Access 11 Pages 2011
Impact of interpersonal influences, brand origin and brand image on luxury purchase intentions: Measuring interfunctional interactions and a cross-national comparison
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Strategic decision-making processes in internationalization: Does national culture of the focal firm matter?
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Managerial ties, knowledge acquisition, realized absorptive capacity and new product market performance of emerging multinational companies: A case of China
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Risk management in the internationalization process of the firm: A note on the Uppsala model
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Global talent management and global talent challenges: Strategic opportunities for IHRM
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Lebanon: From cataclysm to opportunity—Crisis management lessons for MNCs in the tourism sector of the Middle East
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The antecedents and effects of national corruption: A meta-analysis
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Business and human development in the base of the pyramid: Exploring challenges and opportunities with market heat maps
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HRM in Mozambique: Homogenization, path dependence or segmented business system?
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The contagion effect of default risk insurer downgrades: The impact on insured municipal bonds
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Tax fairness in Canadian government budgets: How fair is ‘fair’?
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Co-evolution of global sourcing: The need to understand the underlying mechanisms of firm-decisions to offshore
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Diaspora entrepreneurs as institutional change agents: The case of Thamel.com
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Chinese immigrants in network marketing business in Western host country context
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Public secrecy in government auditing revisited
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Regulations, competition and bank risk-taking in transition countries
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The cost of being late? The case of credit card penalty fees
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Exploring governance of the new European Banking Authority—A case for harmonization?
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Why falling information costs may increase demand for index funds
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Dividends, maturity, and acquisitions: Evidence from a sample of bank IPOs
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Revisiting the composition puzzles of the household portfolio: New evidence
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