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Finance Research Articles

Does trading volume really explain stock returns volatility?
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Capital structure with risky foreign investment
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Board size and the variability of corporate performance
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Geography and acquirer returns
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Bank capital structure and credit decisions
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Probability weighting and loss aversion in futures hedging
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Delisted firms and momentum profits
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North-South trade and directed technical change
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Firm heterogeneity and lobby participation
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Welfare gains from Foreign Direct Investment through technology transfer to local suppliers
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Poverty effects of Russia's WTO accession: Modeling “real” households with endogenous productivity effects
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Credit derivatives, capital requirements and opaque OTC markets
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Informed trading, noise trading and the cost of equity
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Choice of flexible production technologies under strategic delegation
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Bank management and market discipline
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Point and Figure charting: A computational methodology and trading rule performance in the S&P 500 futures market
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The effects of changes in index composition on stock prices and volume: Evidence from the Istanbul stock exchange
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Stock returns and volatility following the September 11 attacks: Evidence from 53 equity markets
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The implementation of monetary policy in New Zealand: What factors affect the 90-day bank bill rate?
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The profitability of regression-based trading rules for the Shanghai stock market
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Stochastic dominance analysis of Asian hedge funds
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The impact of geographic diversification on firm performance
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Liquidity and market efficiency
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Does corporate governance matter in China?
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The ordered qualitative model for credit rating transitions
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The choice of formal or informal finance: Evidence from Chengdu, China
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State and local anti-predatory lending laws: The effect of legal enforcement mechanisms
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Predatory lending practices and subprime foreclosures: Distinguishing impacts by loan category
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Diagnostic testing for cointegration
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Human capital investments in asymmetric corporate tournaments
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Advisors and asset prices: A model of the origins of bubbles
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A dynamic analysis of the impact of uncertainty on import- and/or export-led growth: The experience of Japan and the Asian Tigers
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Firm-specific information and the efficiency of investment
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How common are common return factors across the NYSE and Nasdaq?
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Ex-dividend day trading: Who, how, and why? : Evidence from the Finnish market
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Do boards pay attention when institutional investor activists “just vote no”?
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Un Essai de Modelisation de L'Impact Des Modes de Gouvernance Syndicale Sur La Taxation Des Salaires
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Financial crisis and stock market efficiency: Empirical evidence from Asian countries
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Being “pulled up short”: Creating moments of surprise and possibility in accounting education
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The timeliness of accounting disclosures in international security markets
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Choice of exchange rate regime and currency zones
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Fundamental pitfalls of exchange market pressure-based approaches to identification of currency crises
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China's segmented stock market: An application of the conditional international capital asset pricing model
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Trade and business cycle synchronization in OECD countries-A re-examination
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Exporting, productivity and agglomeration
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Growth outside the stable path: Lessons from the European reconstruction
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ADRs under momentum and contrarian strategies
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Financial integration, information and communication technology, and macroeconomic volatility: Evidence from ten Asian economies
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Liquidity distribution in the limit order book on the stock exchange of Thailand
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Japanese FDI into U.S. service industries: Exchange rate changes and services tradability
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Investment responses to Japanese tax reforms: A cross-industry comparison
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International linkages of the Japanese stock market
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Tick size change and liquidity provision for Japanese stock trading near ¥1000
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The measurement of financial intermediation in Japan
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Japanese vocal intervention and the yen/dollar exchange rate
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Demographic changes, saving, and current account: An analysis based on a panel VAR model
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The price of ethics and stakeholder governance: The performance of socially responsible mutual funds
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Regression discontinuity designs: A guide to practice
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Examining bias in estimators of linear rational expectations models under misspecification
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Difference in difference meets generalized least squares: Higher order properties of hypotheses tests
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Household search and health insurance coverage
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Weak identification robust tests in an instrumental quantile model
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Local rank tests in a multivariate nonparametric relationship
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Striking oil: Another puzzle?
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Managerial contracting and corporate social responsibility
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Evaluating policy interventions with general equilibrium externalities
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Crime and punishment in the “American Dream”
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Trade, production sharing, and the international transmission of business cycles
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Search and matching frictions and optimal monetary policy
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Monetary factors and inflation in Japan
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The impact of production fragmentation on skill upgrading: New evidence from Japanese manufacturing
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Corporate governance and firm cash holdings in the US
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Why do firms pay dividends? International evidence on the determinants of dividend policy
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Helping hand or grabbing hand? : Politicians, supervision regime, financial structure and market view
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Can real options explain financing behavior?
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Liquidity and conditional portfolio choice: A nonparametric investigation
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Overreaction to stock market news and misevaluation of stock prices by unsophisticated investors: Evidence from the option market
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Estimation of an adaptive stock market model with heterogeneous agents
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Do interventions in foreign exchange markets modify investors' expectations? The experience of Japan between 1992 and 2004
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Forecasting stock market volatility with macroeconomic variables in real time
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A multiperiod evaluation of returns following seasoned equity offerings
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Changes in the informational content of term spreads: Is monetary policy becoming less effective?
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Structuration and middle-range theory—A case study of accounting during organizational change from different theoretical perspectives
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Bounded entrepreneurship and internationalisation of indigenous Chinese private-owned firms
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The impact of horizontal and vertical FDI on host's country economic growth
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Country-of-origin, animosity and consumer response: Marketing implications of anti-Americanism and Francophobia
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Firm value and its relation to equity retention levels, forecast earnings disclosures and underpricing in initial public offerings in Hong Kong
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The relations between transactional characteristics, trust and risk in the start-up phase of a collaborative alliance
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Entrepreneurial decision-making in internationalization: Propositions from mid-size firms
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The value-relevance of adopting IFRS: Evidence from 145 NGAAP restatements
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The culpability of accounting practice in promoting slavery in the British Empire and antebellum United States
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Intertwined coordination mechanisms in interorganizational relationships with dominated suppliers
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Environmental disclosures: electric utilities and Phase 2 of the Clean Air Act
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Auditor changes and audit satisfaction: Client perceptions in the Sarbanes-Oxley era of legislative restrictions and involuntary auditor change
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Market switching in shipping — A real option model applied to the valuation of combination carriers
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Institutions and economic development in Brazil
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S&P Global Sector survivals: Momentum effects in sector indices underlying iShares
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The informal financial sector in the U.S.: The role of remittances
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Behavioral explanations of trading volume and short-horizon price patterns: An investigation of seven Asia-Pacific markets
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Assessing the effects of U.S. shocks on the Canadian economy using alternative identification methods
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