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Daneshyari Finance Journas Latest Articles

Finance Research Articles

A decomposition of gains from trade in a differentiated oligopoly
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Information acquisition and financial contagion
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Influence of disclosure and governance on risk of US financial services firms following Sarbanes-Oxley
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The performance effect of managerial ownership: Evidence from China
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A revisited and stable Fourier transform method for affine jump diffusion models
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The dynamics of operational loss clustering
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Computing the market price of volatility risk in the energy commodity markets
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Indonesian economic development: Mirage or miracle?
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China trade: Busting gravity's bounds
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Trade, foreign firms and economic policy in Indonesian and Thai manufacturing
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Consumer preferences and cost of living in Taiwan
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Disclosure policy: A discussion of Leuz, Triantis and Wang (2008) on “going dark”
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Exchange rate and pricing behavior: Comparison of Taiwan with Japan for manufacturing industries
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The optimal structure of PD buckets
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How do insolvency codes affect a firm's investment?
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Behavioral currency hedging for international portfolios
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Stock market bubbles, inflation and investment risk
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Significant issuance date returns in seasoned equity offerings: An options-based resolution of a puzzle
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Firm performance, asset acquisition and the method of controlling rights transfer: Evidence from the Chinese market
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Exchange-rate volatility in Latin America and its impact on foreign trade
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On the inflation-uncertainty hypothesis in Jordan, Philippines and Turkey: A long memory approach
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Domestic and foreign influences on Canadian prices
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Factor growth and equalized factor prices
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Factor mobility, wage inequality and welfare
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Golden parachutes and shark repellents and shareholders' interests: Some new evidence
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Do banks overstate their Value-at-Risk?
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Leverage and investment under a state-owned bank lending environment: Evidence from China
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ESO compensation: The roles of default risk, employee sentiment, and insider information
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Credit ratings and IPO pricing
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Hedging index exchange traded funds
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Bank failures and bank fundamentals: A comparative analysis of Latin America and East Asia during the nineties using bank-level data
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Cross-country determinants of bank income smoothing by managing loan-loss provisions
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Asymmetric effect of basis on dynamic futures hedging: Empirical evidence from commodity markets
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The Samuelson hypothesis in futures markets: An analysis using intraday data
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Investment principles for individual retirement accounts
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The value of shorting
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What drives credit dollarization in transition economies?
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Share reacquisitions, surplus cash, and agency problems
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The Stambaugh bias in panel predictive regressions
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Do Euro exchange rates follow a martingale? Some out-of-sample evidence
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Bounds and prices of currency cross-rate options
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Decomposing liquidity along the limit order book
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How important is asymmetric covariance for the risk premium of international assets?
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Split bond ratings and rating migration
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The cyclical behaviour of European bank capital buffers
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US ADR and Hong Kong H-share discounts of Shanghai-listed firms
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Backtesting trading risk of commercial banks using expected shortfall
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Can tax convexity be ignored in corporate financing decisions?
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Determinants of corporate cash holdings: Evidence from spin-offs
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The causal effect of board size in the performance of small and medium-sized firms
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Nowcasting: The real-time informational content of macroeconomic data
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Optimal taxation in a growth model with public consumption and home production
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Does reducing unemployment insurance generosity reduce job match quality?
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Capital–skill complementarity and the redistributive effects of Social Security Reform
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Political careers or career politicians?
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When the Joneses' consumption hurts: Optimal public good provision and nonlinear income taxation
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The marginal utility of income
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Choices, situations, and happiness
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Reliability of individual valuations of public and private goods: Choice consistency, response time, and preference refinement
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Money, banking, and monetary policy
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Risk and concentration in payment and securities settlement systems
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Differences in pay between owner and non-owner CEOs: Evidence from Israel
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The extreme-value dependence of Asia-Pacific equity markets
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Interregional redistribution and budget institutions under asymmetric information
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Monetary policy with signal extraction from the bond market
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Structural change, Engel's consumption cycles and Kaldor's facts of economic growth
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A model of the interactions between banking crises and currency crises
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Global monetary conditions versus country-specific factors in the determination of emerging market debt spreads
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Efficiency in emerging markets-Evidence from the MENA region
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Market timing: A global endeavor
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Long-run PPP in a system context: No favorable evidence after all for the U.S., Germany, and Japan
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Financial integration and the wealth effect of exchange rate fluctuations
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Do high interest rates defend currencies during speculative attacks? New evidence
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The expected value premium
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Does intraday technical analysis in the U.S. equity market have value?
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The rapid internationalization of high technology firms created through the commercialization of academic research
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The return to value in Asian stock markets
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Dual-edged tools of trade: How international joint ventures help and hinder capability building of Chinese firms
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A 10-year retrospective on the determinants of Russian stock returns
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FDI chaos and control in China
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Managing the human side of cross-border acquisitions in South Korea
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Social capital among corporate upper echelons and its impacts on executive promotion in Korea
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Developing trust in vertical product development partnerships: A comparison of South Korea and Austria
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Enforcement and performance: The role of ownership, legalism and trust in international joint ventures
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The configuration of employee retention practices in multinational corporations’ foreign subsidiaries
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Finance-specific factors as drivers of cross-border investment—An empirical investigation
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Small firm internationalization through experiential learning: The moderating role of socialization tactics
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Introduction
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The relationship between culture and tax evasion across countries: Additional evidence and extensions
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Education regulation as an instrument of income distribution: The case of Ceara
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Fiscal decentralization, regional inequality and bail-outs: Lessons from Brazil's debt crisis
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Infrastructure regulation and poverty reduction in developing countries: A review of the evidence and a research agenda
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Modeling common volatility characteristics and dynamic risk premia in European equity markets
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Auctions versus book-built IPOs in Japan: A comparison of aftermarket volatility
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Fiscal convergence in the European Union
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Bank interest margins in OECD countries
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Prosperity without conflict
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The employment effect of stricter rules for eligibility for DI: Evidence from a natural experiment in Sweden
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Evaluating the impact of the French tax credit on the employment rate of women
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Justice as a rationale for the controllability principle: A study of managers’ opinions
Fulltext Access 13 Pages 2008
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