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Finance Research Articles

The sophistication of exports: Is China special?
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The adverse selection component of exchange traded funds
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Phase-transition behavior in the emerging market: Evidence from the KOSPI200 futures market
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The business cycle and the equity risk premium in real time
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Time-varying global and local sources of market and currency risks in Russian stock market
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Investment barriers and premiums on closed-end country funds
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Joint venture instability in developing countries under entry
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The profitability of momentum trading strategies: Empirical evidence from Hong Kong
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The Balassa-Samuelson model of purchasing power parity and Chinese exchange rates
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S-Curve dynamics of trade between U.S. and China
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Spatial externalities in China regional economic growth
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Stock return seasonalities and investor structure: Evidence from China's B-share markets
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Reducing China's regional disparities: Is there a growth cost?
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The effect of changes in index constitution: Evidence from the Korean stock market
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A life cycle analysis of Hunan's enterprises and their determinants
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Financial constraints in China: Firm-level evidence
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Bank productivity in China 1997-2007: Measurement and convergence
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Cigarette smoking and self-reported health in China
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Global talent management: Literature review, integrative framework, and suggestions for further research
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Do private firm valuations contain incremental information content over routine analyst valuations?
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Does volume help in predicting stock returns? An analysis of the Australian market
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Firm performance and international diversification: The internal and external competitive advantages
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How emerging market governments promote outward FDI: Experience from China
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The view from the field: A case study of the expatriate boundary-spanning role
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Insights into method triangulation and “paradigms” in interpretive management accounting research
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Japan's inflation under the Bretton Woods system: How large was the Balassa-Samuelson effect?
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Density estimation for nonlinear parametric models with conditional heteroscedasticity
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Robust confidence sets in the presence of weak instruments
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Speed of adjustment in cointegrated systems
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Forecasting with equilibrium-correction models during structural breaks
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Nonparametric/semiparametric estimation and testing of econometric models with data dependent smoothing parameters
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Efficient estimation of the semiparametric spatial autoregressive model
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Understanding aggregate crime regressions
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Aggregate insider trading: Contrarian beliefs or superior information?
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The determinants of shareholder value in European banking
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Portfolio performance gauging in discrete time using a Luenberger productivity indicator
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The coskewness puzzle
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Transmission mechanism of monetary policy in India
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Knowledge creation for practice in public sector management accounting by consultants and academics: Preliminary findings and directions for future research
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Empirical modeling of Japan's markup and inflation, 1976-2000
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A New Keynesian model for analysing monetary policy in Mainland China
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US-Thailand trade at the commodity level and the role of the real exchange rate
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Why is Chinese provincial output diverging?
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Accounting anomalies and fundamental analysis: An alternative view
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Effects of cost sharing on the demand for physician services in Japan: Evidence from a natural experiment
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Informational differences among institutional investors in an increasingly institutionalized market
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Optimal discretion in asylum lawmaking
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Punitive damages and the recklessness requirement with uninformed injurers
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Social dynamics and minority protection
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New evidence on the relation between stock liquidity and measures of trading activity
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One or two monies?
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Multi-dimensional skills, specialization, and oligopolistic competition in higher education
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Trading for the future: Signaling in permit markets
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Moonlighting politicians
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Health insurance and the labor supply decisions of older workers: Evidence from a U.S. Department of Veterans Affairs expansion
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An empirical analysis of European stock repurchases
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The paradox of interest rates of the Greenback Era: A reexamination
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Measuring consumption smoothing in CEX data
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Quantifying the risk-sharing welfare gains of social security
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Which bank is the “central” bank?
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When is discretion superior to timeless perspective policymaking?
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Is mark-to-market accounting destabilizing? Analysis and implications for policy
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Real price and wage rigidities with matching frictions
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Hourly wage rate and taxable labor income responsiveness to changes in marginal tax rates
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Does energy substitution affect carbon dioxide emissions - Income relationship?
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The hysteresis of currency substitution: Currency risk vs. network externalities
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The immoderate world economy
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Understanding the Backus-Smith puzzle: It's the (nominal) exchange rate, stupid
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Investigating M3 money demand in the euro area
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Inflation targeting: An indirect approach to assess the direct impact
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Financial firm bankruptcy and systemic risk
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Fundamentals of corporate currency exposure
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FDI in post-production services and product market competition
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Domestic productivity and variety gains from trade
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Foreign subsidization and excess capacity
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Offtaking agreements and how they impact the cost of funding for project finance deals: A clinical case study of the Quezon Power Ltd Co.
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30 Years of foreign direct investment to China: An interdisciplinary literature review
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Long-term orientation and international joint venture strategies in modern China
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The role of country-of-origin, ethnocentrism and animosity in promoting consumer trust. The moderating role of familiarity
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Host environmental uncertainty and equity-based entry mode dilemma: The role of market linking capability
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Assessing beliefs, attitudes, and behavioral responses toward online advertising in three countries
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Fusion of expertise among accounting faculty: towards an expertise model for academia in accounting
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Creating institutional meaning: Accounting and taxation law perspectives of carbon permits
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Accounting for competitive advantage: The resource-based view of the firm and the labour theory of value
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The contours of critical accounting
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Narrative accounting disclosure: Its role in the gold mining industry on the Gold Coast 1900–1949
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The housing price boom of the late 1990s: Did inflation targeting matter?
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The role of house prices in the monetary policy transmission mechanism in small open economies
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Variable reduction, sample selection bias and bank retail credit scoring
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Value at risk models for volatile emerging markets equity portfolios
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Estimating banking cost efficiency with the consideration of cost management
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Co-determination of capital structure and stock returns—A LISREL approach: An empirical test of Taiwan stock markets
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Why do firms cross-list? International evidence from the US market
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The effects of external and internal shocks on total factor productivity
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Market liquidity risk factor and financial market anomalies: Evidence from the Chinese stock market
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Does the nominal exchange rate regime affect the real interest parity condition?
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Strategic delegation and voting rules
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Do fiscal transfers alleviate business tax competition? Evidence from Germany
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The public management of risk: Separating ex ante and ex post monitors
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Do the GSEs expand the supply of mortgage credit? New evidence of crowd out in the secondary mortgage market
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