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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Testing the expectations hypothesis when interest rates are near integrated
Fulltext Access 10 Pages 2009
Are good or bad borrowers discouraged from applying for loans? Evidence from US small business credit markets
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Regime switching in the relationship between equity returns and short-term interest rates in the UK
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Great expectations: Banks as equity underwriters
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Explaining bank distress in Eastern European transition economies
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Organizational distance and use of collateral for business loans
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Do artificial income smoothing and real income smoothing contribute to firm value equivalently?
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Do analyst recommendations reflect shareholder rights?
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Information uncertainty and auditor reputation
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The dynamics of the volatility skew: A Kalman filter approach
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Health status and portfolio choice: Causality or heterogeneity?
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The slicing approach to valuing tax shields
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Extreme coexceedances in new EU member states' stock markets
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The role of bank monitoring in corporate governance: Evidence from borrowers' earnings management behavior
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Intervention policy of the BoJ: A unified approach
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Ineffective corporate governance: Director busyness and board committee memberships
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Competitive inventory management in Treasury markets
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Causality in quantiles and dynamic stock return-volume relations
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Private equity and regulatory capital
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Earnings management and initial public offerings: The case of the depository industry
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Do financial conglomerates create or destroy value? Evidence for the EU
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The capitalization of taxes in bond prices: Evidence from the market for Government of Canada bonds
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An evaluation of contingent immunization
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Macroeconomic sources of foreign exchange risk in new EU members
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Static hedging and pricing American options
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Executive compensation and competition in the banking and financial sectors
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Markov-switching models with endogenous explanatory variables II: A two-step MLE procedure
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On the distribution of estimated technical efficiency in stochastic frontier models
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Nonparametric inference of discretely sampled stable Lévy processes
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Testing the assumptions behind importance sampling
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Simulation based selection of competing structural econometric models
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Tests with correct size when instruments can be arbitrarily weak
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The role of beliefs in inference for rational expectations models
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Discrete choice modeling with nonstationary panels applied to exchange rate regime choice
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Assessing value at risk with CARE, the Conditional Autoregressive Expectile models
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An automatic Portmanteau test for serial correlation
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Learning, hubris and corporate serial acquisitions
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Intended use of proceeds and the long-run performance of seasoned equity issuers
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Trading activity, dealer concentration and foreign exchange market quality
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Demutualization: Determinants and consequences of the mutual holding company choice
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The identification of technology regimes in banking: Implications for the market power-fragility nexus
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Are New Tigers supplanting Old Mammoths in China's banking system? Evidence from a sample of city commercial banks
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Marketability, control, and the pricing of block shares
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Does the stock market affect firm investment in China? A price informativeness perspective
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Bank ownership reform and bank performance in China
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The impact of venture capital backing on the corporate governance of Australian initial public offerings
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Interaction between housing prices and household borrowing: The Finnish case
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Irreversible investment, managerial discretion and optimal capital structure
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Identifying volatility risk premia from fixed income Asian options
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What do investment banks charge to underwrite American Depositary Receipts?
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Fiscal and monetary rules for a currency union
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Policymakers' horizon and the sustainability of international cooperation
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Crowding out of private support to the elderly: Evidence from a demogrant in Mexico
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The response of firms to eligibility thresholds: Evidence from the Japanese value-added tax
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Price vs. quantity-based approaches to airport congestion management
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Family background and income during the rise of the welfare state: Brother correlations in income for Swedish men born 1932–1968
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Tax competition with parasitic tax havens
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Labor supply effects of the recent social security benefit cuts: Empirical estimates using cohort discontinuities
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Competitive rivalry, social disposition, and subjective well-being: An experiment
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Does the diversity of human capital increase GDP? A comparison of education systems
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Crude substitution: The cyclical dynamics of oil prices and the skill premium
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What do technology shocks tell us about the New Keynesian paradigm?
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The high-frequency impact of news on long-term yields and forward rates: Is it real?
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Optimal policy and the risk properties of human capital reconsidered
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Firm heterogeneity and the structure of U.S. multinational activity
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Exchange rate management in emerging markets: Intervention via an electronic limit order book
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On the origins of comparative advantage
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Firm export dynamics and the geography of trade
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Real-time effects of central bank intervention in the euro market
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Unions, competition and international trade in general equilibrium
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Strategic price complexity in retail financial markets
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Modelling the distribution of the extreme share returns in Singapore
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Default estimation for low-default portfolios
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Costly trade, managerial myopia, and long-term investment
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Evaluating stochastic discount factors from term structure models
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A real options approach for evaluating the implementation of a risk-sensitive capital rule in banks
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IPOs, clustering, indirect learning and filing independently
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Explaining international stock correlations with CPI fluctuations and market volatility
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Intellectual property, pharmaceutical MNEs and the developing world
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MNC strategies and linkage effects in developing countries
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Organizational slack and firm’s internationalization: A longitudinal study of high-technology firms
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Knowledge embeddedness and the transfer mechanisms in multinational corporations
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Internationalization of knowledge-intensive SMEs: The role of network relationships in the entry to a psychically distant market
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Institutional background as a determinant of boards of directors’ internal and external roles: The case of Russia
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Delivering ‘effortless experience’ across borders: Managing internal consistency in professional service firms
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Diversity management and the effects on employees’ organizational commitment: Evidence from Japan and Korea
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Export performance of emerging market firms
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Testing for effective market supervision of New Zealand banks
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Stock market development and economic growth: Evidence from seven sub-Sahara African countries
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The unsung impact of currency risk on the performance of international real property investment
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Empirical performance of multifactor term structure models for pricing and hedging Eurodollar futures options
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Common factors in international securitized real estate markets
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Performance differences in property-type diversified versus specialized real estate investment trusts (REITs)
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Pricing unexpected illiquidity
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Simultaneous versus sequential public good provision and the role of refunds — An experimental study
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The weighted average cost of capital is not quite right
Fulltext Access 11 Pages 2009
Federal budget deficits and long-term interest rates in USA
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Investigating the effectiveness of convertible bonds in reducing agency costs: A Monte-Carlo approach
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Firm entry, product repositioning and welfare
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Would a stock by any other ticker smell as sweet?
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