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Finance Research Articles

Coordination failure among multiple lenders and the role and effects of public policy
Fulltext Access 16 Pages 2009
Japanese foreign exchange intervention and the yen-to-dollar exchange rate: A simultaneous equations approach using realized volatility
Fulltext Access 16 Pages 2009
The UK equity market around the ex-split date
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Ready for capital account convertibility?
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Admissible monetary aggregates for the euro area
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Corporate fraud and the audit expectations gap: A study among business managers
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Budgetary accounting and reporting practices in Bahraini governmental units: An empirical study
Fulltext Access 16 Pages 2009
An analysis of the companies’ compliance with the EU disclosure requirements and corporate characteristics influencing it: A case study of Turkey
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Mythical representations of trust in auditors and the preservation of social order in the financial community
Fulltext Access 16 Pages 2009
Bondholders’ wealth effects in domestic and cross-border bank mergers
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Stock market liberalization and international risk sharing
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Analysis of regional productivity growth in China: A generalized metafrontier MPI approach
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Long-run underperformance following private equity placements: The role of growth opportunities
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The stock performance of America's 100 Best Corporate Citizens
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Has the Chinese economy become more sensitive to interest rates? Studying credit demand in China
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How are pension integration and pension benefits related?
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The non-relevance of the elusive holy grail of asset pricing tests: The “true” market portfolio does not alter CAPM validity conclusions
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An analysis of the opening mechanisms of Exchange Traded Fund markets
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An event time study of the price reaction to large retail trades
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Sentiment effects on Chinese share prices and savings deposits: The post-2003 experience
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Policies and international trade agreements on technical compatibility for industries with network externalities
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Knowledge flow and boundary crossing at the periphery of a MNC
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Do as the large enterprises do?: Expatriate selection and overseas performance in emerging markets: The case of Taiwan SMEs
Fulltext Access 16 Pages 2009
Rating versus ranking: What is the best way to reduce response and language bias in cross-national research?
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Cultural distance, political risk, or governance quality? Towards a more accurate conceptualization and measurement of external uncertainty in foreign entry mode research
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The impact of outward FDI on the home country's labour demand and skill composition
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The underpricing of private targets
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Inference, arbitrage, and asset price volatility
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The impact of corporate governance on auditor choice: Evidence from China
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Forward interest rate premium and asymmetric adjustment: Evidence from 16 countries
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External commitment mechanisms, institutions, and FDI in GCC countries
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Convergence in banking efficiency across European countries
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Emerging market hedge funds: Do they perform like regular hedge funds?
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Policy coordination and risk premium in foreign exchange markets for major EU currencies
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Central bank FOREX interventions assessed using realized moments
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Speculative trading and stock returns: A stochastic dominance analysis of the Chinese A-share market
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Random walk and efficiency tests in the Asia-Pacific foreign exchange markets: Evidence from the post-Asian currency crisis data
Fulltext Access 17 Pages 2009
Interorganizational cost management in the exchange process
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Determinants of contract terms for professional services
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Why is research on management accounting change not explicitly evolutionary? Taking the next step in the conceptualisation of management accounting change
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International financial integration in Asian bond markets
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An empirical analysis of Mexican and US closed-end mutual fund IPOs
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The excess burden of tax evasion-An experimental detection-concealment contest
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Why do insiders trade? Evidence based on unique data on Swedish insiders
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The relationship between incentive compensation and performance related CEO turnover
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Delay times of sequential procedures for multiple time series regression models
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Semiparametric binary regression models under shape constraints with an application to Indian schooling data
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Predictable returns and asset allocation: Should a skeptical investor time the market?
Fulltext Access 17 Pages 2009
On the statistical identification of DSGE models
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Granger causality in risk and detection of extreme risk spillover between financial markets
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Extracting a common stochastic trend: Theory with some applications
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Multivariate location-scale mixtures of normals and mean-variance-skewness portfolio allocation
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Information economy and inequality: Wage polarization, unemployment, and occupation transition in Taiwan since 1980
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A tale of Asian exchange rate management: Romance of the three currencies
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Sell-side debt analysts
Fulltext Access 17 Pages 2009
Corporate financial policies and the exchange rate regime: Evidence from Brazil
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The distribution of realized variances: Marginal behaviors, asymmetric dependence and contagion effects
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Credit rating impact on CDO evaluation
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Stock split size, signaling and earnings management: Evidence from the Spanish market
Fulltext Access 17 Pages 2009
The diversification cost of large, concentrated equity stakes. How big is it? Is it justified?
Fulltext Access 17 Pages 2009
Innovation management in organizations
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Parameter estimation and bias correction for diffusion processes
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Who to punish? Individual decisions and majority rule in mitigating the free rider problem
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The impact of bargaining on markets with price takers: Too many bargainers spoil the broth
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Currency crises and foreign credit in emerging markets: Credit crunch or demand effect?
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A theory of participatory democracy based on the real case of Porto Alegre
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Outside options: Another reason to choose the first-price auction
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Share issuance and cross-sectional returns: International evidence
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Let's take a break: Trends and cycles in US real GDP
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Does the law of one price hold better under a flexible exchange rate system?
Fulltext Access 17 Pages 2009
Managing mutual funds or managing expense ratios? Evidence from the Greek fund industry
Fulltext Access 17 Pages 2009
Revisiting the supply side effects of government spending
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Common and uncommon sources of growth in Asia Pacific
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Monetary and financial integration: Evidence from the EMU
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Bank governance, regulation and risk taking
Fulltext Access 17 Pages 2009
Deductio’ ad absurdum: CEOs donating their own stock to their own family foundations
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Debt maturity structure and the 1997 Asian financial crisis
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Employment risk, compensation incentives, and managerial risk taking: Evidence from the mutual fund industry
Fulltext Access 17 Pages 2009
Subsidiary debt, capital structure and internal capital markets
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Cross-section of option returns and volatility
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Negative earnings, positive earnings and stock return predictability: An empirical examination of market timing
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A diagnostic m-test for distributional specification of parametric conditional heteroscedasticity models for financial data
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Sample selection and event study estimation
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Monetary policy and U.S. long-term interest rates: How close are the linkages?
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Investment bank reputation and shareholder wealth effects in mergers and acquisitions
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The Italian hedge funds industry: An empirical analysis of performance and persistence
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Love, hate and murder: Commitment devices in violent relationships
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Are there lasting impacts of aid to poor areas?
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The effect of information on the bidding and survival of entrants in procurement auctions
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Do European capital flows comove?
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Determinants of capital structure choice: A structural equation modeling approach
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Homeownership and mixed-asset portfolio allocations
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Has bank consolidation in Korea lessened competition?
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Short-term spot rate models with nonparametric deterministic drift
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The impact of individual and institutional investor sentiment on the market price of risk
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Bank profitability and the business cycle
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Cultivating imagination: Ethics, education and literature
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Corporate cash holdings, uncertainty avoidance, and the multinationality of firms
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Mary Douglas, risk and accounting failures
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Why do transnational approaches to international innovation fail?
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