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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Impacts of the Doha Round on Brazilian, Chinese and Indian agribusiness
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Effectiveness and commitment to inflation targeting policy: Evidence from Indonesia and Thailand
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Executive pay and “independent” compensation consultants
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Will a departure from tax-based accounting encourage tax noncompliance? Archival evidence from a transition economy
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Market demand for conservative analysts
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Time varying size and liquidity effects in South Asian equity markets: A study of blue-chip industry stocks
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Cross-listing premium in the US and the UK destination
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Communication in repeated monetary policy games
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Entry deterrence through credit denial
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International capital mobility: An alternative test based on intertemporal current account models
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Tariffs versus anti-dumping duties
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Impacts of trade liberalisation on aggregate import in Bangladesh: An ARDL Bounds test approach
Fulltext Access 16 Pages 2010
Investigation of the “China effect” on crowding out of Japanese FDI: An industry-level analysis (1990-2004)
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The effect of board composition on the informativeness and quality of annual earnings: Empirical evidence from Greece
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Budgeting practices and performance in small healthcare businesses
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Country equity: Conceptualization and empirical evidence
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Applying broader strokes: Extending institutional perspectives and agendas for international entrepreneurship research
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Internal audit department characteristics/activities and audit fees: Some evidence from Hong Kong firms
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The neoliberal project—Local taxation intervention in Scotland
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Performance auditing: Improving the quality of political and democratic processes?
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Performance measurement systems and their relation to strategic learning: A case study in a software-developing organization
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Accounting for privatisation in Africa? Reflections from a critical interdisciplinary perspective
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The choice of equity selling mechanisms: PIPEs versus SEOs
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Identification and nonparametric estimation of a transformed additively separable model
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Jumps and betas: A new framework for disentangling and estimating systematic risks
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Stochastic model specification search for Gaussian and partial non-Gaussian state space models
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Likelihood inference for a nonstationary fractional autoregressive model
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Quasi-maximum likelihood estimation of volatility with high frequency data
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Profile quasi-maximum likelihood estimation of partially linear spatial autoregressive models
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Work absences and doctor visits during an illness episode: The differential role of preferences, production, and policies among men and women
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Regression models with mixed sampling frequencies
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Do corporate governance characteristics influence tax management?
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Investment timing, liquidity, and agency costs of debt
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Determinants of CEO severance contracts and their components and the effects of severance contracts on executive turnover
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A dynamic analysis of executive stock options: Determinants and consequences
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Tax reform and payout policy: Do shareholder clienteles or payout policy adjust?
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Does cross-listing facilitate changes in corporate ownership and control?
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Conditionally fitted Sharpe performance with an application to hedge fund rating
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Does information drive trading in option strategies?
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Illegal buyouts
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The level and quality of Value-at-Risk disclosure by commercial banks
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A multi-horizon comparison of density forecasts for the S&P 500 using index returns and option prices
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Inflation risk and international asset returns
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What's in a name? What leads a firm to change its name and what the new name foreshadows
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Unpacking sources of comparative advantage: A quantitative approach
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Interest rate pass-through, monetary policy rules and macroeconomic stability
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Can trade costs in goods explain home bias in assets?
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Why does sovereign risk differ for domestic and external debt? Evidence from Scandinavia, 1938–1948
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Coordination between monetary policy and fiscal policy for an inflation targeting emerging market
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Cagan's paradox and money demand in hyperinflation: Revisited at daily frequency
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Emerging floaters: Pass-throughs and (some) new commodity currencies
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Does better information about foreign shocks improve monetary policy?
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Time-shift asymmetric correlation analysis of global stock markets
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International competitiveness, job creation and job destruction-An establishment-level study of German job flows
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Home bias and high turnover: Dynamic portfolio choice with incomplete markets
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The Phillips curve and the Italian lira, 1861–1998
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Costly arbitrage and idiosyncratic risk: Evidence from short sellers
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Renegotiation of cash flow rights in the sale of VC-backed firms
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Bailouts, the incentive to manage risk, and financial crises
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Board interlocks and the propensity to be targeted in private equity transactions
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Do subjective expectations explain asset pricing puzzles?
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CEOs versus CFOs: Incentives and corporate policies
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A hybrid bankruptcy prediction model with dynamic loadings on accounting-ratio-based and market-based information: A binary quantile regression approach
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Is there a symmetric nonlinear causal relationship between large and small firms?
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Tracking a changing copula
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Capital structure and earnings manipulation
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Determinants of households' inflation expectations in Japan and the United States
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The appropriateness of default investment options in defined contribution plans: Australian evidence
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An examination of the impact of India's performance in one-day cricket internationals on the Indian stock market
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Asian sovereign debt and country risk
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Understanding the flattening Phillips curve
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Causes of banking crises revisited
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The typology of partial credit guarantee funds around the world
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Optimal production of transplant care services
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Work values, endogenous sentiments redistribution
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An empirical analysis of the gender earnings gap between the public and private sectors in Korea: A comparative study with the US
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Integrated foreign exchange risk management: The role of import in medium-sized manufacturing firms
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How to reduce unemployment: A new policy proposal
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Labor-dependent capital income taxation
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Aggregate and welfare effects of redistribution of wealth under inflation and price-level targeting
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Estimation of DSGE models when the data are persistent
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Trade integration, competition, and the decline in exchange-rate pass-through
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Optimal taxation in the presence of bailouts
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Financial globalization, financial crises and contagion
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In search of a theory of debt management
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Understanding gross worker flows across U.S. states
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Banking panics and policy responses
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Estimating a tournament model of intra-firm wage differentials
Fulltext Access 17 Pages 2010
Non-negativity conditions for the hyperbolic GARCH model
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Robust methods for detecting multiple level breaks in autocorrelated time series
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An improved bootstrap test of stochastic dominance
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Short and long run causality measures: Theory and inference
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Likelihood-based inference for cointegration with nonlinear error-correction
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Efficient semiparametric estimation of multi-valued treatment effects under ignorability
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No-arbitrage macroeconomic determinants of the yield curve
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A flexible approach to parametric inference in nonlinear and time varying time series models
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GMM estimation of social interaction models with centrality
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Maternal employment, migration, and child development
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An efficient GMM estimator of spatial autoregressive models
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Akaike-type criteria and the reliability of inference: Model selection versus statistical model specification
Fulltext Access 17 Pages 2010
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