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Finance Research Articles

Micro vs macro explanations of post-war US unemployment movements
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Monetary policy flexibility, risk management, and financial disruptions
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Discussion of: “Acquisition profitability and timely loss recognition” by J. Francis and X. Martin
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Paradigms in accounting research: A view from North America
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The chilling effect of Sarbanes-Oxley: A discussion of Sarbanes-Oxley and corporate risk-taking
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The effect of learning varies according to locality: Micro data analysis of the lawyer market in Japan
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Repeat offenders: If they learn, we punish them more severely
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Welfare effects of unanticipated policy changes with complete asset markets
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Cost-based access regulation and collusion in a differentiated duopoly
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Violent conflict and economic growth: Some time-series evidence
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How should the auditors be audited? Comparing the PCAOB Inspections with the AICPA Peer Reviews
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Can the Fed predict the state of the economy?
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Availability of financial services and income inequality: The evidence from many countries
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Martingalized historical approach for option pricing
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Some properties of subjective probabilities induced by optimal expectations
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Understanding the risk of leveraged ETFs
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Labor skills and factor proportions trade in the gulf cooperation council
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Analysis of efficiency for Shenzhen stock market: Evidence from the source of multifractality
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Forecasting the yield curve: A statistical model with market survey data
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Bubbles in China
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The effect of bank ownership and deposit insurance on monetary policy transmission
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Is the veil of ignorance only a concept about risk? An experiment
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Comment on: “Bordo and Haubrich”
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Bootstrapping I(1) data
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Modeling and forecasting trading volume index: GARCH versus TGARCH approach
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Comment on: “Financial globalization, financial crises, and contagion” by Enrique G. Mendoza and Vincenzo Quadrini
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Does firm heterogeneity lead to differences in relative executive compensation?
Fulltext Access 6 Pages 2010
Inventory management effects, isolated: Evidence from the federal funds market
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Incentive effects on risk attitude in small probability prospects
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An analysis of portfolio selection with background risk
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Public goods provision, redistributive taxation, and wealth accumulation
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Smoothing local-to-moderate unit root theory
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The leverage of hedge funds
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Hedging in a HJM model
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Legal change and the social value of lawsuits
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Risk-shifting and investment asymmetry
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Investigating the asymptotic properties of import elasticity estimates
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Exploring an efficient investment regime: The case of SP100 companies
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Applying a factor copula to value basket credit linked notes with issuer default risk
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Precision of Investor Information and Financial Disclosure
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Index of Authors Volume 19
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Skilled-unskilled wage inequality and offshore outsourcing with asymmetric adjustment costs
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A simple model of service trade with time zone differences
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Non-extensive properties, multifractality, and inefficiency degree of the Athens Stock Exchange General Index
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Estimating panel data models in the presence of endogeneity and selection
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Venture capital, private equity, IPOs, and banking: An introduction and agenda for future research
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Corporate compensation policies and audit fees
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Interaction of market and credit risk
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Can mutual funds time risk factors?
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A resolution to the NPV–IRR debate?
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Project financing: Deal or no deal
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Government guarantees and risk sharing in public–private partnerships
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An overview of project finance binomial loan valuation
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Stock returns and investment trust flows in the Japanese financial market: A system approach
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The misconception of the option value of deposit insurance and the efficacy of non-risk-based capital requirements in the literature on bank capital regulation
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The social risk–rent thesis: A reply to Harney
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Order aggressiveness and the diagonal effect in experimental double auction markets
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The roles and effects of paradigms in accounting research
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The influence of academic interactions on stock selection and performance: Evidence from Japan
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Asymmetric effects of federal funds target rate changes on S&P100 stock returns, volatilities and correlations
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Acknowledgement
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Home equity commitment and long-term care insurance demand
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Homicide trials in Classical Athens
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Short communicationProduction of laws and delays in court decisions
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Vertical aspects of male-female disparity in the labor market
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Testing hypotheses about interaction terms in nonlinear models
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The effects of dynamic feedbacks on LS and MM estimator accuracy in panel data models: Some additional results
Fulltext Access 7 Pages 2010
A likelihood ratio test for stationarity of rating transitions
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Least squares model averaging by Mallows criterion
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Convex costs and the hedging paradox
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Incentives at the counter: An empirical analysis of surcharging card payments and payment behaviour in the Netherlands
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A note on Phillips (1991): “A constrained maximum likelihood approach to estimating switching regressions”
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The relationship between house prices and house purchase loans: The Spanish case
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Costs of short-term credit for small and large firms
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Do tariffs matter for the extensive margin of international trade? An empirical analysis
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Dollarization does promote trade
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Testing the transparency benefits of inflation targeting: Evidence from private sector forecasts
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What explains Manhattan's declining share of residential construction?
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Did Japan's shopping coupon program increase spending?
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Managerial talent, motivation, and self-selection into public management
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Inefficient policies and incumbency advantage
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The interaction between potential criminals' and victims' demands for guns
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Disentangling the sources of pro-socially motivated effort: A field experiment
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Rent seeking and rent dissipation: A neutrality result
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Rank-ordering of risk preferences with conventional and discrete measures
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Wavelet domain correlation between the futures prices of natural gas and oil
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Is there a difference in performance by the legal status of microfinance institutions?
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Fluctuation dynamics in US interest rates and the role of monetary policy
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Delivery options and convexity in Treasury bond and note futures
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Measuring potential market risk
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International business, corporate social responsibility and sustainable development
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MNEs and policy networks: Institutional embeddedness and strategic choice
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Exploring sustainability management for telecommunications services: A case study of two Korean companies
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Exploring corporate entrepreneurship in privatized firms
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Management Accounting Research: 20 years on
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Turn-of-the-month and intramonth effects in government bond markets: Is there a role for macroeconomic news?
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The barriers to effective global talent management: The example of corporate élites in MNEs
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Developing the local competence of expatriate managers for emerging markets: A knowledge-based approach
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Stationarity and mixing properties of the dynamic Tobit model
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Market symmetry in time-changed Brownian models
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