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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Environmental accounting as workplace activism
Fulltext Access 20 Pages 2007
Sustaining multilateral cooperation among asymmetric countries: Does MFN help?
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Development in North East People's Republic of China: An analysis of enterprise performance 1995-2002
Fulltext Access 20 Pages 2007
Comparing the performance of Chinese banks: A principal component approach
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Market integration and currency risk in Asian emerging markets
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Corporate governance and the timeliness of corporate internet reporting by U.K. listed companies
Fulltext Access 20 Pages 2007
An investigation of ethical position and budgeting systems: Egyptian managers in US and Egyptian firms
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Finance theory: A house without windows
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Imperialism of influence and the state–profession relationship: The formation of the Greek auditing profession in the post-WWII era
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Investor interest, trading volume, and the choice of IPO mechanism in France
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What are the drivers of channel length? Distribution reform in The People's Republic of China
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The impact of national culture and communication on exporter–distributor relations and on export performance
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History repeats itself: The failure of rational choice models in corporate governance
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Are ICTs promoting government accountability?: A comparative analysis of e-governance developments in 19 OECD countries
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Accounting for the dark side of corporate history: Organizational culture perspectives and the Bertelsmann case
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Dynamic market entry and the value of flexibility in transitional international joint ventures
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Executive compensation, firm performance, and Chaebols in Korea: Evidence from new panel data
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The choice of the inflation rate as a target in an economy with pricing-to-market
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Daily Rp/USD stochastic volatility and the policy implication lesson
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Measuring financial market contagion using dually-traded stocks of Asian firms
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Asymmetric responses of East Asian currencies to the US dollar depreciation for reducing the US current account deficits
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An East Asian currency union?: The empirical nature of macroeconomic shocks in East Asia
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Examination of the efficient market hypothesis-the case of post-crisis Asia Pacific countries
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Voluntary disclosure of information when firms are uncertain of investor response
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Was the Sarbanes-Oxley Act of 2002 really this costly? A discussion of evidence from event returns and going-private decisions
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The determinants of location choice of South Korean FDI in China
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Trade intensity and business cycle synchronization: Are developing countries any different?
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The comparative law and economics of pure economic loss
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Long-horizon event studies and event firm portfolio weights: Evidence from U.K. rights issues re-visited
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Dynamic linkages between emerging European and developed stock markets: Has the EMU any impact?
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The identification of acquisition targets in the EU banking industry: An application of multicriteria approaches
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Common stochastic trends among Far East stock prices: Effects of the Asian financial crisis
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The Spanish privatisation process: Implications on the performance of divested firms
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The behavior of government of Canada real return bond returns
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Disclosure standards and market efficiency: Evidence from analysts' forecasts
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Liquidity and firm characteristics: Evidence from mergers and acquisitions
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Trade policy, trade volumes and plant-level productivity in Colombian manufacturing industries
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Global monetary policy under a dollar standard
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Can compensation save free trade?
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Dumping as a signal of innovation
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Financial liberalization and banking crises in emerging economies
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The effectiveness of foreign exchange intervention in emerging market countries: Evidence from the Czech koruna
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Voluntary use of independent valuation advice by target firm boards in takeovers
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Integration and competition in the European financial markets
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What prompts Japan to intervene in the Forex market? A new approach to a reaction function
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Intraday evidence of efficacy of 1991-2004 Yen intervention by the Bank of Japan
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Government debt spillovers in a monetary union
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Contagion in global equity markets in 1998: The effects of the Russian and LTCM crises
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Capital account liberalization and foreign direct investment
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The postbellum deflation and its lessons for today
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Institutions and moral hazard in open economies
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Moving up or moving out? A unified theory of R&D, FDI, and trade
Fulltext Access 20 Pages 2007
How smart is money? An investigation into investor behaviour in the Australian managed fund industry
Fulltext Access 20 Pages 2007
Covariance complexity and rates of return on assets
Fulltext Access 21 Pages 2007
An analysis of the disposition of assets in a joint venture
Fulltext Access 21 Pages 2007
Privatization as an agency problem: Auctions versus private negotiations
Fulltext Access 21 Pages 2007
Mutual fund flows and investor returns: An empirical examination of fund investor timing ability
Fulltext Access 21 Pages 2007
Guess what: It's the settlements! Vertical integration as a barrier to efficient exchange consolidation
Fulltext Access 21 Pages 2007
Financial contagion and the role of the central bank
Fulltext Access 21 Pages 2007
Shareholder value efficiency in European banking
Fulltext Access 21 Pages 2007
The determinants of bank margins in European banking
Fulltext Access 21 Pages 2007
The incentive to give incentives: On the relative seniority of debt claims and managerial compensation
Fulltext Access 21 Pages 2007
Daily mutual fund flows and redemption policies
Fulltext Access 21 Pages 2007
Mean-variance portfolio selection with 'at-risk' constraints and discrete distributions
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Joint size and ownership specialization in bank lending
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Does sovereign debt ratings news spill over to international stock markets?
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A dynamic model of active portfolio management with benchmark orientation
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Diversification and the cost of debt of bank holding companies
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Theory and evidence on the dynamic interactions between sovereign credit default swaps and currency options
Fulltext Access 21 Pages 2007
Risk assessment for credit portfolios: A coupled Markov chain model
Fulltext Access 21 Pages 2007
The Euro and European financial market dependence
Fulltext Access 21 Pages 2007
Stock returns, dividend yield, and book-to-market ratio
Fulltext Access 21 Pages 2007
Debt, R&D investment and technological progress: A panel study of Japanese manufacturing firms' behavior during the 1990s
Fulltext Access 21 Pages 2007
Conditions on option prices for absence of arbitrage and exact calibration
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Does China have an impact on foreign direct investment to Latin America?
Fulltext Access 21 Pages 2007
The real impact of stock market mispricing — Evidence from Australia
Fulltext Access 21 Pages 2007
Going public to pursue acquisitions
Fulltext Access 21 Pages 2007
Post-euro EU and US interest rates and foreign exchange rates: Are they in harmony or in disarray?
Fulltext Access 21 Pages 2007
The effects of government transfers on monthly cycles in drug abuse, hospitalization and mortality
Fulltext Access 21 Pages 2007
Voting over type and generosity of a pension system when some individuals are myopic
Fulltext Access 21 Pages 2007
Are policy platforms capitalized into equity prices? Evidence from the Bush/Gore 2000 Presidential Election
Fulltext Access 21 Pages 2007
Is the household demand for in-home services sensitive to tax reductions? The French case
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Patience among children
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Insuring consumption and happiness through religious organizations
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COPS and crime
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Inequality and informality
Fulltext Access 21 Pages 2007
A behavioral model of work-trip mode choice in Shanghai
Fulltext Access 21 Pages 2007
Corporate diversification, performance, and restructuring in the largest Japanese manufacturers
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Pension design when fertility fluctuates: The role of education and capital mobility
Fulltext Access 21 Pages 2007
On technical efficiency of China's insurance industry after WTO accession
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The general equilibrium incidence of environmental taxes
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Portfolio selection with skewness in emerging market industries
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Income distribution, borrowing constraints and redistributive policies
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Buyer power and supplier incentives
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Distance and trade: Disentangling unfamiliarity effects and transport cost effects
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North, South and distance in the gravity model
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A microfoundation for increasing returns in human capital accumulation and the under-participation trap
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Bank loan portfolios and the monetary transmission mechanism
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Sticky information and sticky prices
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Exchange rate regimes, banking and the non-tradable sector
Fulltext Access 21 Pages 2007
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