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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Earnouts: A study of financial contracting in acquisition agreements
Fulltext Access 20 Pages 2011
Strategic trading by index funds and liquidity provision around S&P 500 index additions
Fulltext Access 20 Pages 2011
Policy choice: Theory and evidence from commitment via international trade agreements
Fulltext Access 20 Pages 2011
The effect of SOX on small auditor exits and audit quality
Fulltext Access 20 Pages 2011
International portfolio diversification is better than you think
Fulltext Access 20 Pages 2011
The subprime asset-backed securities market and the equity prices of large complex financial institutions
Fulltext Access 20 Pages 2011
Real exchange rate dynamics: The role of elastic labor supply
Fulltext Access 20 Pages 2011
The going public decision and the structure of equity markets
Fulltext Access 20 Pages 2011
International comovements in inflation rates and country characteristics
Fulltext Access 20 Pages 2011
Do delays in expected loss recognition affect banks' willingness to lend?
Fulltext Access 20 Pages 2011
Are momentum profits driven by the cross-sectional dispersion in expected stock returns?
Fulltext Access 20 Pages 2011
The unintended consequences of PCAOB auditing Standard Nos. 2 and 3 on the reliability of preliminary earnings releases
Fulltext Access 20 Pages 2011
Exchange rate response to macronews: Through the lens of microstructure
Fulltext Access 20 Pages 2011
International diversification and industry-related labor income risk
Fulltext Access 20 Pages 2011
Current account imbalances and financial integration in the euro area
Fulltext Access 20 Pages 2011
Financial reporting quality and idiosyncratic return volatility
Fulltext Access 20 Pages 2011
Does court-supervised reorganization work? Evidence from post-confirmation firm failure
Fulltext Access 20 Pages 2011
World betas, consumption growth, and financial integration
Fulltext Access 20 Pages 2011
Banks’ Net Interest Margin in the 2000s: A Macro-Accounting international perspective
Fulltext Access 20 Pages 2011
The accountancy profession and the ambiguities of globalisation in a post-colonial, Middle Eastern and Islamic context: Perceptions of accountants in Syria
Fulltext Access 20 Pages 2011
Financial stress and economic contractions
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Do the SEC's enforcement preferences affect corporate misconduct?
Fulltext Access 20 Pages 2011
Corporate governance and risk-taking: Evidence from Japanese firms
Fulltext Access 20 Pages 2011
Prospect theory and the effectiveness of price limits
Fulltext Access 20 Pages 2011
Stock price volatility and overreaction in a political crisis: The effects of corporate governance and performance
Fulltext Access 20 Pages 2011
Optimal dividend policy, debt policy and the level of investment within a multi-period DCF framework
Fulltext Access 20 Pages 2011
Financial constraints and investment efficiency: Internal capital allocation across the business cycle
Fulltext Access 20 Pages 2011
L’intention entrepreneuriale des jeunes diplômés
Fulltext Access 20 Pages 2011
Style analysis and Value-at-Risk of Asia-focused hedge funds
Fulltext Access 20 Pages 2011
The effect of leadership style on the information receivers’ reaction to management accounting change
Fulltext Access 20 Pages 2011
An assessment of another decade of capital controls in Colombia: 1998–2008
Fulltext Access 20 Pages 2011
Stock market volatility and exchange rates in emerging countries: A Markov-state switching approach
Fulltext Access 21 Pages 2011
Asymmetric convergence and risk shift in the TED spreads
Fulltext Access 21 Pages 2011
Asset pricing and foreign exchange risk
Fulltext Access 21 Pages 2011
Organization structure, competition and performance measurement systems and their joint effects on performance
Fulltext Access 21 Pages 2011
Are GCC stock markets predictable?
Fulltext Access 21 Pages 2011
How individuals choose health insurance: An experimental analysis
Fulltext Access 21 Pages 2011
The role of strategic uncertainty in games: An experimental study of cheap talk and contracts in the Nash demand game
Fulltext Access 21 Pages 2011
The recent boom-bust cycle: The relative contribution of capital flows, credit supply and asset bubbles
Fulltext Access 21 Pages 2011
Integration of financial and management accounting systems: The mediating influence of a consistent financial language on controllership effectiveness
Fulltext Access 21 Pages 2011
Should investors include commodities in their portfolios after all? New evidence
Fulltext Access 21 Pages 2011
Multivariate realised kernels: Consistent positive semi-definite estimators of the covariation of equity prices with noise and non-synchronous trading
Fulltext Access 21 Pages 2011
Predictive density construction and accuracy testing with multiple possibly misspecified diffusion models
Fulltext Access 21 Pages 2011
Large panels with common factors and spatial correlation
Fulltext Access 21 Pages 2011
Estimating a common deterministic time trend break in large panels with cross sectional dependence
Fulltext Access 21 Pages 2011
Model selection criteria in multivariate models with multiple structural changes
Fulltext Access 21 Pages 2011
Restricting CEO pay
Fulltext Access 21 Pages 2011
Institutional trading, information production, and the choice between spin-offs, carve-outs, and tracking stock issues
Fulltext Access 21 Pages 2011
Does shareholder approval requirement of equity compensation plans matter?
Fulltext Access 21 Pages 2011
Do private equity consortiums facilitate collusion in takeover bidding?
Fulltext Access 21 Pages 2011
Family control and investment-cash flow sensitivity: Empirical evidence from the Euro zone
Fulltext Access 21 Pages 2011
Utilizing financial market information in forecasting real growth, inflation and real exchange rate
Fulltext Access 21 Pages 2011
Are foreign banks more profitable than domestic banks? Home- and host-country effects of banking market structure, governance, and supervision
Fulltext Access 21 Pages 2011
Fiscal policy and financial market movements
Fulltext Access 21 Pages 2011
Conditional beta pricing models: A nonparametric approach
Fulltext Access 21 Pages 2011
Understanding analysts' use of stock returns and other analysts' revisions when forecasting earnings
Fulltext Access 21 Pages 2011
The effect of cash flow forecasts on accrual quality and benchmark beating
Fulltext Access 21 Pages 2011
Panacea, Pandora's box, or placebo: Feedback in bank mortgage-backed security holdings and fair value accounting
Fulltext Access 21 Pages 2011
Hometown advantage: The effects of monitoring institution location on financial reporting discretion
Fulltext Access 21 Pages 2011
Consistency in meeting or beating earnings expectations and management earnings forecasts
Fulltext Access 21 Pages 2011
Forecasting exchange rates: The multi-state Markov-switching model with smoothing
Fulltext Access 21 Pages 2011
Hedge funds, managerial skill, and macroeconomic variables
Fulltext Access 21 Pages 2011
Interest rate sensitivity of the European stock markets before and after the euro introduction
Fulltext Access 21 Pages 2011
Conventional mutual index funds versus exchange-traded funds
Fulltext Access 21 Pages 2011
Regulation of multinational banks: A theoretical inquiry
Fulltext Access 21 Pages 2011
Liquidity management and corporate demand for hedging and insurance
Fulltext Access 21 Pages 2011
Improving the predictability of real economic activity and asset returns with forward variances inferred from option portfolios
Fulltext Access 21 Pages 2011
The liquidity risk of liquid hedge funds
Fulltext Access 21 Pages 2011
The dark side of financial innovation: A case study of the pricing of a retail financial product
Fulltext Access 21 Pages 2011
Recent trends in trading activity and market quality
Fulltext Access 21 Pages 2011
The impact of governance reform on performance and transparency
Fulltext Access 21 Pages 2011
A further contribution towards explaining why disinflation through currency pegging may cause a boom
Fulltext Access 21 Pages 2011
Exchange trading rules and stock market liquidity
Fulltext Access 21 Pages 2011
Time-varying short-horizon predictability
Fulltext Access 21 Pages 2011
Missing the marks? Dispersion in corporate bond valuations across mutual funds
Fulltext Access 21 Pages 2011
Accelerated share repurchases
Fulltext Access 21 Pages 2011
Short-term termination without deterring long-term investment: A theory of debt and buyouts
Fulltext Access 21 Pages 2011
CEO ownership, external governance, and risk-taking
Fulltext Access 21 Pages 2011
Equity grants to target CEOs during deal negotiations
Fulltext Access 21 Pages 2011
Testing conditional factor models: A nonparametric approach
Fulltext Access 21 Pages 2011
Firm level return–volatility analysis using dynamic panels
Fulltext Access 21 Pages 2011
World-consistent equilibrium exchange rates
Fulltext Access 21 Pages 2011
Accounting for human rights: Doxic health and safety practices – The accounting lesson from ICL
Fulltext Access 21 Pages 2011
Regulatory risk, market uncertainties, and firm financing choices: Evidence from U.S. Electricity Market Restructuring
Fulltext Access 21 Pages 2011
Do liquidity or credit effects explain the behavior of the BKBM–LIBOR differential?
Fulltext Access 21 Pages 2011
Connected transactions and firm value: Evidence from China-affiliated companies
Fulltext Access 21 Pages 2011
Estimating Taylor rules in a credit channel environment
Fulltext Access 21 Pages 2011
Bank monitoring, profit efficiency and the commercial lending business model
Fulltext Access 21 Pages 2011
Current trends in the analysis of Canadian productivity growth
Fulltext Access 21 Pages 2011
Start-up subsidies for the unemployed: Long-term evidence and effect heterogeneity
Fulltext Access 21 Pages 2011
Bayesian analysis of time-varying parameter vector autoregressive model for the Japanese economy and monetary policy
Fulltext Access 21 Pages 2011
Governing cooperation hazards of outsourced municipal low contractibility transactions: An exploratory configuration approach
Fulltext Access 21 Pages 2011
Optimal reserve composition in the presence of sudden stops
Fulltext Access 21 Pages 2011
Consolidation in banking and the lending channel of monetary transmission: Evidence from Asia and Latin America
Fulltext Access 21 Pages 2011
International trade and finance: Complementaries in the United Kingdom 1870–1913 and the United States 1920–1930
Fulltext Access 21 Pages 2011
Bank lending and commercial property cycles: Some cross-country evidence
Fulltext Access 21 Pages 2011
The timeless perspective vs. discretion: Theory and monetary policy implications for an open economy
Fulltext Access 21 Pages 2011
The choice between bookbuilding and fixed-price offering: Evidence from SEOs in Taiwan
Fulltext Access 21 Pages 2011
Determinants of bank profitability before and during the crisis: Evidence from Switzerland
Fulltext Access 21 Pages 2011
The effects of asymmetric information between borrowers and lenders in an open economy
Fulltext Access 21 Pages 2011
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