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Finance Research Articles

Short CommunicationA note on takeover success prediction
Fulltext Access 8 Pages 2008
Effects of regional integration on FDI: An empirical approach
Fulltext Access 8 Pages 2008
The bilateral J-curve: Turkey versus her 13 trading partners
Fulltext Access 8 Pages 2008
Singapore's recurrent budget surplus: The role of conservative growth forecasts
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Earnings management and earnings quality
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Client participation in paid sex markets under alternative regulatory regimes
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Liability and manufacturer warnings
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Incentives, criminal defence lawyers and plea bargaining
Fulltext Access 8 Pages 2008
Regression analysis of proportions in finance with self selection
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Liquidity in auction and specialist market structures: Evidence from the Italian bourse
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The Feldstein-Horioka puzzle across EU members: Evidence from the ARDL bounds approach and panel data
Fulltext Access 8 Pages 2008
Vol. 17 Index/Author/Title
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The existence theorem of approximate multibeta representation for multifactor pricing models with unobservable omitted variables: A technical note
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A simple nonparametric approach to low-dimension, shortfall-based portfolio selection
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Consumption growth and time-varying expected stock returns
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Modeling duration clusters with dynamic copulas
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Positivity constraints on the conditional variances in the family of conditional correlation GARCH models
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Liability and food safety provision: Empirical evidence from the US
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Combining fair pricing and capital requirements for non-life insurance companies
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Corporate restructuring in Japan: Who monitors the monitor?
Fulltext Access 8 Pages 2008
Bayesian inference for issuer heterogeneity in credit ratings migration
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Information acquisition, coordination, and fundamentals in a financial crisis
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Opacity of young businesses: Evidence from rating disagreements
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The significance of a world government in the process of globalization in the 21st century
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On the empirics of international smoothing
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Globalisation, growth and institutions
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Relative deviation metrics and the problem of strategy replication
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A note on foreign bank ownership and monitoring: An international comparison
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Cross-country variation in household access to financial services
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Nonparametric tests of collectively rational consumption behavior: An integer programming procedure
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Dynamic quantile models
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The wild bootstrap, tamed at last
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Semiparametric estimation of a binary response model with a change-point due to a covariate threshold
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Changes in risk and the demand for saving
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Dollar-weighted returns to stock investors: A new look at the evidence
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Dynamic IS curves with and without money: An international comparison
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The value of embedded real options: Evidence from consumer automobile lease contracts-A note
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The technology transfer paradox
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Long memory in the volatility of an emerging equity market: The case of Turkey
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Perverse committee appointments may foster divide and rule
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Pricing IMF liquidity provision: The value of the IMF liquidity commitment
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How are preferences revealed?
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The link between residual income and value created for levered firms: A note
Fulltext Access 8 Pages 2008
Applying a typology of management accounting change: A research note
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On Haezendonck risk measures
Fulltext Access 9 Pages 2008
Why 'Basel II' may need a leverage ratio restriction
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Credit to government and banking sector performance
Fulltext Access 9 Pages 2008
Nonparametric, conditional pricing of higher order multivariate contingent claims
Fulltext Access 9 Pages 2008
Efficiency enhancing taxation in two-sided markets
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The stocks at stake: Return and risk in socially responsible investment
Fulltext Access 9 Pages 2008
Optimal delegated portfolio management with background risk
Fulltext Access 9 Pages 2008
Income taxes, property values, and migration
Fulltext Access 9 Pages 2008
Loan pricing under Basel II in an imperfectly competitive banking market
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Does corporate international diversification destroy value? Evidence from cross-border mergers and acquisitions
Fulltext Access 9 Pages 2008
The subprime crisis and its consequences
Fulltext Access 9 Pages 2008
Accounting and capital market measures of risk: Evidence from Asian banks during 1998-2003
Fulltext Access 9 Pages 2008
The long swings in the spot exchange rates and the complex unit roots hypothesis
Fulltext Access 9 Pages 2008
Portfolio choice and mortality-contingent claims: The general HARA case
Fulltext Access 9 Pages 2008
Ex-dividend returns: The Mexican puzzle
Fulltext Access 9 Pages 2008
Deviations from optimal CEO ownership and firm value
Fulltext Access 9 Pages 2008
Explaining the European exchange rates deviations: Long memory or non-linear adjustment?
Fulltext Access 9 Pages 2008
Are corporate governance and bank monitoring substitutes: Evidence from the perceived value of bank loans
Fulltext Access 9 Pages 2008
Least-squares forecast averaging
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Bank runs, foreign exchange reserves and credibility: When size does not matter
Fulltext Access 9 Pages 2008
Estimating demand with distance functions: Parameterization in the primal and dual
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Estimation of collective household models with Engel curves
Fulltext Access 9 Pages 2008
Explaining individual response using aggregated data
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Foreign Direct Investment and mark-up dynamics: Evidence from Spanish firms
Fulltext Access 9 Pages 2008
Sovereign defaults: Information, investment and credit
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The optimality of contingent fees in the agency problem of litigation
Fulltext Access 9 Pages 2008
Estimation error in the average correlation of security returns and shrinkage estimation of covariance and correlation matrices
Fulltext Access 9 Pages 2008
Patterns in cross market liquidity
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On measuring concentration in banking systems
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Impact of outsiders and disclosed insider trades
Fulltext Access 9 Pages 2008
Maximizing utility of consumption subject to a constraint on the probability of lifetime ruin
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The international lender of last resort and selective bail-out
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Is there a tradeoff between average patent pendency and examination errors?
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The predictability of exchange rate volatility
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Seasonality in outliers of daily stock returns: A tail that wags the dog?
Fulltext Access 9 Pages 2008
A characterization of invariant tests for identification in linear structural equations
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The ex-date impact of special dividend announcements: A note
Fulltext Access 9 Pages 2008
Efficiency and fairness: Compensation for takings
Fulltext Access 9 Pages 2008
Optimal agency contracts: The effect of vicarious liability and judicial error
Fulltext Access 9 Pages 2008
Testing for discrete choice models
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The welfare cost of macroeconomic uncertainty in the post-war period
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Are regional asymmetries detrimental to tax coordination in a repeated game setting?
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Identifying the socio-economic and demographic determinants of crime across Spanish provinces
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On the measurement of product quality in intra-industry trade: An empirical test for China
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How liable should an exporter be?
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Change of control and the success of China's share-issue privatization
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Some differences in GDP measurements between China's practice and 1993 SNA guideline
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Do accounting measurement regimes matter? A discussion of mark-to-market accounting and liquidity pricing
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IT, enterprise reform, and productivity in Chinese manufacturing firms
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The Washington Consensus: A post-mortem
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Ethics in education: The Chinese Learner and post-Enron ethics
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East Asian rankings of economics departments
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Macroeconomic impact of monetary policy shocks: Evidence from recent experience in Thailand
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Option prices as probabilities
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Random walk and breaking trend in financial series: An econometric critique of unit root tests
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Determinants of yield spread dynamics: Euro versus US dollar corporate bonds
Fulltext Access 9 Pages 2008
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