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Finance Research Articles

Non-concave dynamic programming
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Incentive mechanisms for international public goods under uncertainty of production costs
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The Forbes 400 and the Pareto wealth distribution
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On the speed of adjustment in ESTAR models when allowance is made for bias in estimation
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Financing constraints and firm inventory investment: A reexamination
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On the aggregation of eurozone data
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Comprehensive NNP, social welfare, and the rate of return
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Do tax havens divert economic activity?
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Tinbergen and Theil meet Nash: Controllability in policy games
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Discrimination and growth: The distribution across skills matters
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Testing to confirm that Leontief-Sraffa matrix equations for input/output must obey constancy of returns to scale
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Estimation of a binary choice model with grouped choice data
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Measuring the degree of assortative mating
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An alternative approach to estimation of structural vector error correction models with long-run restrictions
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The suboptimality of optimal punishments in Cournot supergames
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Analytical prediction of transition probabilities in the conditional logit model
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On the social efficiency of conflict
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Borderplex menu evidence for the law of one price
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Discontinuous extraction of a nonrenewable resource
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Entry barriers and growth
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Endogenous preemption on both sides of a market
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The economics of microfinance
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Political business cycles in local employment: Evidence from Portugal
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What drives trade-related R&D spillovers? Decomposing knowledge-diffusing trade flows
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Utility analysis, luxuries and risk
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Introduction: Special section on operational risk
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A note on the Wang and Wang measure of the quality of the compass rose
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Adoption of corporate social responsibility codes by multinational companies
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Pro-poor economic growth: Role of small and medium sized enterprises
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How higher education in rural India helps human rights and entrepreneurship
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ACKNOWLEDGEMENT TO OUR REFEREES
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Asset trading volume in infinite-horizon economies with dynamically complete markets and heterogeneous agents: Comment
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A note on generalized distortion risk measures
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A note on the relationship between industry returns and inflation through a multiscaling approach
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Decomposing the contribution of smaller shocks to the stabilization of GDP
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Informational rent, publicly known firm type, and 'closeness' in relationship finance
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Factor mobility and wage inequality in the presence of specialisation-based external economies
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Frequency domain bootstrap for the fractional cointegration regression
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Are expectations on inflation and election outcomes connected? An empirical analysis
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Bootstrap tests of multiple inequality restrictions on variance ratios
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Sequential auctions for stochastically equivalent complementary objects
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Learning-by-doing and aggregate fluctuations: Does the form of the accumulation technology matter?
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The informational value of unemployment statistics: A note on the time series properties of participation rates
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Bargaining and waning commitments
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An analytical solution to the inverse consumption function with liquidity constraints
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Negative assortative matching of risk-averse agents with transferable expected utility
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Does it pay to go to the corners? An empirical evaluation of the bipolar view of exchange rate regimes
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Profit sharing and the financial performance of firms: Evidence from Germany
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Deflation and recession: Finding the empirical link
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Foreign exchange markets: Overview of the special issue
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Comment on: “Globalization, returns to accumulation and the world distribution of output”
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The paradox of Indian growth: A comment on Kochhar et al.
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Comment on: “An options-based approach to evaluating the risk of Fannie Mae and Freddie Mac”
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Consumption smoothing and the welfare consequences of social insurance in developing economies
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On the sequencing of regional integration: General considerations and an application to Asia
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Recent regional agreements in the large population, rapidly growing non-OECD countries
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The equilibrium locations of three stores with different selections of differentiated products
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The Becker-DeGroot-Marschak mechanism is not necessarily incentive compatible, even for non-random goods
Fulltext Access 6 Pages 2006
Small sample corrections for linear restrictions on cointegrating vectors: A Monte Carlo comparison
Fulltext Access 7 Pages 2006
Voracity vs. scale effect in a growing economy without secure property rights
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Bank ownership and lending behavior
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The impact of unemployment insurance generosity on match quality distribution
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Quasi-fixity and multiproduct firms
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Forecasting using predictive likelihood model averaging
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The term structure of interest rates under regime shifts and jumps
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A meta-analysis of the export growth hypothesis
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Investment and conditional uncertainty: The role of market power, irreversibility, and returns-to-scale
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Properties of recursive trend-adjusted unit root tests
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New capital estimates for China: Comments
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Asymmetric adjustment in the prime lending–deposit rate spread
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Superstardom in the US popular music industry revisited
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The political economy of sequencing: Monetary versus trade regionalism
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Profile likelihood estimation of partially linear panel data models with fixed effects
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Explaining inertia in closed-end fund prices
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Work incentives and household insurance: Sequential contracting with altruistic individuals and moral hazard
Fulltext Access 7 Pages 2006
Bootstrap bias-adjusted GMM estimators
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How fast did developing country poverty fall during the 1990s? Capabilities-based tests of rival estimates
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Comments on: David Dollar and Aart Kraay, Neither a borrower nor a lender: Does China's zero net foreign asset position make economic sense?”
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Mechanism design for arbitrary type spaces
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Okun's law, asymmetries and jobless recoveries in the United States: A Markov-switching approach
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Openness in services trade and economic growth
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Identification for difference in differences with cross-section and panel data
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Generalized adding-up in systems of regression equations
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Is the Zipf law spurious in explaining city-size distributions?
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Comparing downside risk measures for heavy tailed distributions
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An alternative test of purchasing power parity
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Minimum wages, inequality and unemployment
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Wage and effort dispersion
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A new approach to robust inference in cointegration
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Bewley's limiting approach to infinite dimensional economies with l.s.c. preferences
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Sample selection models with a common dummy endogenous regressor in simultaneous equations: A simple two-step estimation
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Different time preferences and non-stationary contracts in negotiations
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On the profitability of reducing competition in all-pay auctions with risk averse bidders
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Black market exchange rate and the productivity bias hypothesis
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Determining long-run neutrality in a partially nonstationary model
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What explains the deviations of purchasing power parity across countries? International evidence from macro data
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Capital controls and stock market volatility in frequency domain
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Optimal taxation and finite horizon
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Privatisation and liberalisation in an industry with network externalities
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Does quality of openness affect corruption?
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