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Finance Research Articles

Do Chinese domestic firms benefit from FDI inflow?: Evidence of horizontal and vertical spillovers
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What broad banks do, and markets don't: Cross-subsidization
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Recovering from bond market distress: Good luck and good policy
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Heterogeneity of sovereign rating migrations in emerging countries
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The reversibility of different types of capital flows to emerging markets
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The tail risk of emerging stock markets
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The “value” effect and the market for Chinese stocks
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Soil and water conservation investments and rural development in China
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Villages where China's ethnic minorities live
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China's new Labour Contract Law: No harm to employment?
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Intraday information efficiency on the Chinese equity market
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Foreign direct investment, processing trade, and the sophistication of China's exports
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The effects of governance changes on bank efficiency in China: A stochastic distance function approach
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The effects of government spending shocks on consumption under optimal stabilization
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Do Chinese publicly listed companies adjust their capital structure toward a target level?
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Subjective well-being and its determinants in rural China
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R&D intensity for innovative and adaptive purposes in overseas subsidiaries: Evidence from Japanese multinational enterprises
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Interactions between control and organizational learning in the case of a municipality: A comparative study with Kloot (1997)
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Performance measurement design within its organisational context—Evidence from China
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The impact of cultural environment on entry-level auditors’ abilities to perform analytical procedures
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Tax risk management and the multinational enterprise
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A longitudinal examination of partnership governance in offshoring: A moving target
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Strategic choice during economic crisis: Domestic market position, organizational capabilities and export flexibility
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Are there demonstration-related spillovers from FDI? : Evidence from Switzerland
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Psychic distance in exporter–importer relationships: A grounded theory approach
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An examination of IPO secondary market returns
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Efficient estimation of semiparametric conditional moment models with possibly nonsmooth residuals
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A nonparametric test for equality of distributions with mixed categorical and continuous data
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Fixed effects estimation of structural parameters and marginal effects in panel probit models
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Two estimators of the long-run variance: Beyond short memory
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Identification of peer effects through social networks
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Dynamics of state price densities
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Forecasts of US short-term interest rates: A flexible forecast combination approach
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The Wishart Autoregressive process of multivariate stochastic volatility
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Structural estimation of jump-diffusion processes in macroeconomics
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The short-term timing of initial public offerings
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Were internal capital markets affected by the 'perfect' pension storm?
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Governance with multiple objectives: Evidence from top executive turnover in China
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Regional determinants of inward FDI distribution in Poland
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Varying risk premia in international bond markets
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Effects of the volatility smile on exchange settlement practices: The Hong Kong case
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Getting PPP right: Identifying mean-reverting real exchange rates in panels
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American GARCH employee stock option valuation
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Market power in local banking monopolies
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Financial reforms and time-varying microstructures in emerging equity markets
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The impact of the CSRC Regulation No. 12-1996 on the credibility of Chinese IPO earnings forecasts
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Single-stock futures: Evidence from the Indian securities market
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Impact of heterogeneous managerial productivity on executive hedge markets in an asymmetric information environment
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Experiments on unemployment benefit sanctions and job search behavior
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Irrationality and monopolistic competition: An evolutionary approach
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Liquidity risk and syndicate structure
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The role of private information in return volatility, bid-ask spreads and price levels in the foreign exchange market
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RIP and the shift toward a monetary union: Looking for a “euro effect” by a structural break analysis with panel data
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Identification of a loan supply function: A cross-country test for the existence of a bank lending channel
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Foreign exchange exposure: Evidence from the U.S. insurance industry
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European bank equity risk: 1995-2006
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Further on nonlinearity, persistence, and integration properties of real exchange rates
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Do trade costs in goods market lead to home bias in equities?
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Remittances and the Dutch disease
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Agglomeration spillovers and wage and housing cost gradients across the urban hierarchy
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On the international transmission of technology shocks
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Prohibitions on punishments in private contracts
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Performance evaluation and self-designated benchmark indexes in the mutual fund industry
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Price synchronicity: The closing call auction and the London stock market
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Individual investor mutual fund flows
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A censored stochastic volatility approach to the estimation of price limit moves
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Pricing of credit default index swap tranches with one-factor heavy-tailed copula models
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Which power variation predicts volatility well?
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L-performance with an application to hedge funds
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Price discovery in foreign exchange markets: A comparison of indicative and actual transaction prices
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Investigation of the costly-arbitrage model of price formation around the ex-dividend day in Norway
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Understanding the relationship between founder–CEOs and firm performance
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Timing the investment grade securities market: Evidence from high quality bond funds
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Investor sentiment and stock returns: Some international evidence
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Correlation risk
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Optimal social security in a dynastic model with human capital externalities, fertility and endogenous growth
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Institutionalisation of control and accounting for bonded labour in colonial plantations: A historical analysis
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Accounting for People: A real step forward or more a case of wishing and hoping?
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Renegotiation and the pricing structure of sovereign bank loans: Empirical evidence
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Hedge funds and financial stability: Regulating prime brokers will mitigate systemic risks
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Deregulation and liberalization of the Chinese stock market and the improvement of market efficiency
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An exploratory study of FDA new drug review times, prescription drug user fee acts, and R&D spending
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Hysteresis versus NAIRU and convergence versus divergence: The behavior of regional unemployment rates in Brazil
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Beyond monetary credibility: The impact of globalisation on the output-inflation trade-off in euro-area countries
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Hybrid allocation mechanisms for publicly provided goods
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Tax incentives and the decision to purchase long-term care insurance
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Two-sector perspectives on the effects of payroll tax cuts and their financing
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The limit of oversight in policing: Evidence from the 2001 Cincinnati riot
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Instrument rules in monetary policy under heterogeneity in currency trade
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The long-run determinants of inequality: What can we learn from top income data?
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Corruption perceptions vs. corruption reality
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Market liberalization and foreign equity portfolio selection in Korea
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Stock market liberalization and return volatility: Evidence from the emerging market of Sri Lanka
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Who benefits from bond tender offers in Europe?
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A structural decomposition of the US yield curve
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What is the relationship between investor protection legislation and target takeover returns? Evidence from Europe
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Liquidity minimization and cross-listing choice: Evidence based on Canadian shares cross-listed on U.S. venues
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Foreign-exchange intervention strategies and market expectations: insights from Japan
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Bank modelling methodologies: A comparative non-parametric analysis of efficiency in the Japanese banking sector
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Year-end and quarter-end effects in the term structure of sterling repo and Eurepo rates
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