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Finance Research Articles

Foreign debt and financial hedging: Evidence from Australia
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Knowledge spillovers from foreign direct investment in R&D: Evidence from Japanese firm-level data
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Costly arbitrage and the myth of idiosyncratic risk
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Current account: mean-reverting or random walk behavior?
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Does inflation cause poor long-term growth performance?
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A theory of commodity bundling in final product markets: Professor Hirshleifer meets Professor Becker
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Salvation as a selective incentive
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Characterization of efficient simple liability rules with multiple tortfeasors
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Futures trading volume as a determinant of prices in different momentum phases
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A test of risk arbitrage profitability
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Liquidity and stock returns: Evidence from a pure order-driven market using a new liquidity proxy
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Interrelationships among stock prices of Taiwan and Japan and NTD/Yen exchange rate
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Endogenous contract structure and monetary policy
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Alternative theories of wage dispersion
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European Union enlargement and equity markets in accession countries
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International equity portfolios: Selecting the right benchmark for emerging markets
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Risks of investing in the Russian stock market: Lessons of the first decade
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Changes in the dynamic behavior of emerging market volatility: Revisiting the effects of financial liberalization
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Profitability of Korean banks: Test of market structure versus efficient structure
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Is currency union a feasible option in East Asia?: A multivariate structural VAR approach
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Monetary policy rules and their application in Russia
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The incremental information content of non-US GAAP earnings disclosures: Evidence from UK firms
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Monetary transmission via the administered interest rates channel
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A semi-parametric estimator for censored selection models with endogeneity
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The interaction among multiple governance mechanisms in young newly public firms
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Taxes and dividend clientele: Evidence from trading and ownership structure
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Analysis of criteria VaR and CVaR
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Applying CVaR for decentralized risk management of financial companies
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Valuation impact of Sarbanes-Oxley: Evidence from disclosure and governance within the financial services industry
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Bank loan supply and monetary policy transmission in Germany: An assessment based on matching impulse responses
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Effects of large shareholding on information asymmetry and stock liquidity
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Scale economies, X-efficiency, and convergence of productivity among bank holding companies
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Capital structure and political patronage: The case of Malaysia
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Precautionary saving and consumption growth in Taiwan
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Pricing growth-indexed bonds
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Decomposing the effects of financial liberalization: Crises vs. growth
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Fiscal adjustment in EU countries: A balance sheet approach
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What is in it for us? Network effects and bank payment innovation
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Retail deposit fees and multimarket banking
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Institutional ownership changes and returns around analysts' earnings forecast release events: Evidence from Taiwan
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A smooth ride: Terms of trade, volatility and GDP growth
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Do external funds yield lower returns?
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The paradox of limited deposit insurance under the amakudari practice in the Japanese banking system
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Valuing the health impacts of air pollution in Hong Kong
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Growth, revenue, and welfare effects of tariff and tax reform: Win–win–win strategies
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Real options and games: Competition, alliances and other applications of valuation and strategy
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The long-run performance of initial public offerings: Stochastic dominance criteria
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Impact study on the interest rate futures market
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Security markets and the information content of monetary policy turning points
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Revealed stock preferences of individual investors: Evidence from Chinese equity markets
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Insider trading in Hong Kong: Some stylized facts
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Does the method of entry matter? Evidence from Indian ADRs and GDRs
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The equity premium in an overlapping-generations economy
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The nonprofit sector and industry performance
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Building and managing facilities for public services
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Education, redistributive taxation and confidence
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Corruption and the costs of redistribution: Micro evidence from Indonesia
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In search of a residual dividend policy
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The dynamics of municipal fiscal adjustment
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Financial constraints and entrepreneurial investment
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Empirical evidence concerning incentives to hedge transaction and translation exposures
Fulltext Access 18 Pages 2006
Adverse selection and the financial accelerator
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Birth of the Federal Reserve: Crisis in the womb
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Free entry and business cycles under the influence of animal spirits
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Optimal monetary policy with the cost channel
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House prices and rents: An equilibrium asset pricing approach
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Local risk factors in emerging markets: Are they separately priced?
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Managed floating as a strategy to achieve selected monetary policy objectives
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Strategic delegation and mergers in oligopolistic contests
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Conditional risk, return and contagion in the banking sector in asia
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Monetary policy and financial stability: What role for the futures market?
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A comparative study of career practices for management staff in Britain and India
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The bottom line
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TRIPS and the pharmaceutical industry: Prescription for profit?
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The G4's role in the evolution of the international accounting standard setting process and partnership with the IASB
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A multidimensional concept of uncertainty and its influence on the entry mode choice: An empirical analysis in the service sector
Fulltext Access 18 Pages 2006
Learning from foreign subsidiaries: An empirical investigation of headquarters' benefits from reverse knowledge transfers
Fulltext Access 19 Pages 2006
Inflation targeting regimes
Fulltext Access 19 Pages 2006
Output and price effects of enhancing services sector competition in a large open economy
Fulltext Access 19 Pages 2006
Corporate governance indices and firms' market values: Time series evidence from Russia
Fulltext Access 19 Pages 2006
The role of cash holdings in reducing investment-cash flow sensitivity: Evidence from a financial crisis period in an emerging market
Fulltext Access 19 Pages 2006
How do you account for it? : A critical exploration of career opportunities for and experiences of ethnic minority women
Fulltext Access 19 Pages 2006
Distinctive determinant factors of Spanish foreign direct investment in Latin America
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Coordination of fiscal and monetary policy in CIS-countries: A theory of optimum fiscal area?
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Dependence and mean reversion in stock prices: The case of the MENA region
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Interfunctional dynamics and firm performance: A comparison between firms in Poland and the United States
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Asset pricing models, the labour theory of value and their implications for accounting
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Modeling dynamic conditional correlations in WTI oil forward and futures returns
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Business-cycle fluctuations and international equity correlations
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Volatility co-movements between emerging sovereign bonds: Is there segmentation between geographical areas?
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Regulation
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The choice between greenfield investment and cross-border acquisition: A real option approach
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Family ownership, dual-class shares, and risk management
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Determinants of sovereign ratings: A comparison of case-based reasoning and ordered probit approaches
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US share prices and real supply and demand shocks
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Determinants of stock option use by Japanese companies
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Variations in effects of monetary policy on stock market returns in the past four decades
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The influence of accountability on overconfidence and resistance to change: A research framework and experimental evidence
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Stock returns and inflation in Greece: A Markov switching approach
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The colonisation of strategy: Financialisation in a post-privatisation context
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