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Finance Research Articles

How risky should an R&D program be?
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On the counter-cyclicality of prices and markups in a Cournot model of entry
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Employment targeting
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The overall effect of volatility on investment
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Productivity spillovers through vertical linkages: Evidence from 17 OECD countries
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Industrial fatigue Redux
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Maximal loss from collusion in IPV symmetric auctions
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International capital mobility: Evidence from panel cointegration tests
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The taste for leisure, career choice, and the returns to education
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Revenue maximizing auctions with market interaction and signaling
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Indescribability and asymmetric information at the contracting stage
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Investigating the intertemporal risk-return relation in international stock markets with the component GARCH model
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Specification testing under moment inequalities
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Short communicationEmployment discrimination in Northern Ireland and the Good Friday Agreement
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A dynamic auction for differentiated items under price rigidities
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Age-specific job flows and worker flows using a national dataset
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Who chooses to inflation target?
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Interim bribery in auctions
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Lost protection and wages: Some time series evidence for the US
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Characterization of the support of the mixed strategy price equilibria in oligopolies with heterogeneous consumers
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GMM with more moment conditions than observations
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Calibration of normalised CES production functions in dynamic models
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Direct estimates of household production
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Untangling supply and demand in occupational choice
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Monetary tightening cycles and the predictability of economic activity
Fulltext Access 5 Pages 2008
Non-convex optimal portfolio sets and constant relative risk aversion
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Equilibrium in a dynamic game of capital accumulation with the overtaking criterion
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De Facto exchange rate arrangement tightness and bilateral trade flows
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Interior optima and the Inada conditions
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Seemingly unrelated nonparametric models with positive correlation and constrained error variances
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Cross-national trends in earnings inequality and instability
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Testing heterogeneity within the euro area
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New exact ML estimation and inference for a Gaussian MA(1) process
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Math skills and risk attitudes
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Modeling pairwise convergence: A Bayesian approach with an application to Greek inflation
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Forecasting the ECB's main refinancing rate. A field experiment
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Asymptotic bias of GMM and GEL under possible nonstationary spatial dependence
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Intergenerational talent transmission, inequality, and social mobility
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Human capital and ethnic self-identification of immigrants
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The Feldstein-Horioka hypothesis versus the long-run solvency constraint model: A critical assessment
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Welfare equivalent NNP and habit formation
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The incidence of sin taxes
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Discussion of “Annual report readability, current earnings, and earnings persistence”
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Tests of microeconomic foundations of Asian common currency areas
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A tribute to Seiji Naya
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A note on educational performance of economics graduate programs in East and Southeast Asia
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Financial services in an increasingly integrated global financial market
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The Beveridge-Nelson decomposition in retrospect and prospect
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A complete asymptotic series for the autocovariance function of a long memory process
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The changing Chinese culture and business behaviour
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Retail sweep programs and monetary asset substitution
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Copula-based tests for cross-sectional independence in panel models
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Measuring business cycles: A wavelet analysis of economic time series
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Durable goods with quality differentiation
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Testing against nonstationary volatility in time series
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Double-Length Regression tests for testing functional forms and spatial error dependence
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Testing for unit roots in three-dimensional heterogeneous panels in the presence of cross-sectional dependence
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Delegated contracting, information, and internal control
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Uncertainty and information accuracy in adverse selection
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Can health insurance coverage explain the generic competition paradox?
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Chinese learner: My lived experiences of studying in Mainland China and Australia
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Market competition, social welfare in an entry-constrained differentiated-good oligopoly
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Seeking the relevance of interpretive research: A contribution to the polyphonic debate
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Panel comments
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Supervisory perspectives
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Monetary policy and financial markets
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The aging population and the size of the welfare state: Is there a puzzle?
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Behavioral economics
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Comment on: “New Keynesian perspectives on labor market dynamics” by Tommy Sveen and Lutz Weinke
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Comment on: “Optimal saving distortions with recursive preferences” by Emmanuel Fahri and Iván Werning
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Product specialization in international trade: A further investigation
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Issues in financial contracting and financial system architecture
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Darden conference issue: Capital raising in emerging economies
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Social capital and windfalls: Empirical evidence
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On decentralization and life satisfaction
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Outward FDI and domestic investment in two industrialized countries
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Systematic small sample bias in two regime SETAR model estimation
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Ethnic and religious diversity and corruption
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Barriers to exit
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Age dynamics and economic growth: Revisiting the nexus in a nonparametric setting
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Monetary policy and monetary asset substitution
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Organizing multiple related tasks into jobs: Diversification vs. competition
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How to divide the possession of a football?
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Are all democracies equally good? The role of interactions between political environment and inequality for rule of law
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Announcements and credibility under inflation targeting
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A note on the accuracy of Markov-chain approximations to highly persistent AR(1) processes
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First evidence of asymmetric cost pass-through of EU emissions allowances: Examining wholesale electricity prices in Germany
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Subjective income and employment expectations and preferences for redistribution
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Conceptual frameworks and experimental design in simultaneous equations
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A stochastic variance factor model for large datasets and an application to S&P data
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Domestic burglaries and the real price of audio-visual goods: Some time series evidence for Britain
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Secure implementation in economies with indivisible objects and money
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Monetary non-neutrality in the Sidrauski model under uncertainty
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On the marginal effects of variables in the log-transformed sample selection models
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An extension of the Blinder-Oaxaca decomposition to a continuum of comparison groups
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Welfare implications of Calvo vs. Rotemberg-pricing assumptions
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Unequal skill premiums and trade liberalization: Is education the missing link?
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Past financial crises, the current financial turmoil, and the need for a new macrofinancial stability framework
Fulltext Access 6 Pages 2008
Market quality changes in the London Stock Market
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A note on Chui, Gai and Haldane's “Sovereign liquidity crisis: Analytics and implications for public policy”
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