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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Interest rate rules and price determinacy: The role of transactions services of bonds
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The impact of leverage on firm investment: Canadian evidence
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Who trades in the stock index futures market when the underlying cash market is not trading?
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Economic growth and equity returns
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The performance of value and growth portfolios in East Asia before the Asian financial crisis
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Cooperation under the threat of expulsion in a public goods experiment
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The relevance of real-time data in estimating reaction functions for the euro area
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Mergers in the bond rating industry: does rating provider matter?
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International outsourcing and productivity: evidence from the Irish electronics industry
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Do expected future marginal costs drive inflation dynamics?
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New tests of the new-Keynesian Phillips curve
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Estimating New-Keynesian Phillips curves: A full information maximum likelihood approach
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Insurance, self-protection, and the economics of terrorism
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Big elephants in small ponds: Do large traders make financial markets more aggressive?
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The economics of interest rates
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Firm-initiated and exchange-initiated transfers to continuous trading: Evidence from the Warsaw Stock Exchange
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Corporate tax systems, multinational enterprises, and economic integration
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Antidumping protection and markups of domestic firms
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When trade hurts: Consumption indivisibilities and labor market distortions
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State tax competition for foreign direct investment: a winnable war?
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A modified currency board system: Theory and evidence
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Monetary policy and the exchange rate during the Asian crisis: identification through heteroscedasticity
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Are emerging equity markets responsive to cross-country macroeconomic movements?
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An evaluation framework for alternative VaR-models
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ISO system implementation in small and medium companies from new EU member countries: A tool of managerial and marketing benefits development
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Explaining volatility and serial correlation in opening and closing returns: A study of the FT-30 components
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Sectoral linkages of foreign direct investment firms to the Czech economy
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Do fundamentals matter for the D-Mark/Euro-Dollar? A regime switching approach
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Share price performance following actual share repurchases
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Adopting or adapting? The tension between local and international mindsets in Portuguese management
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Contribution rates to funded pension systems in the new member countries
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Cooperative strategy, knowledge intensity and export performance of small and medium sized enterprises
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Is technical analysis profitable on a stock market which has characteristics that suggest it may be inefficient?
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Why does so much FDI from Hong Kong and Taiwan go to Mainland China?
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Policy strategies to deal with revaluation pressures on the renminbi
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Economics departmental rankings in Korea: A decade later
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On the design of optimal grandfathering schemes for emission allowances
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Money-income causality revisited in EGARCH: Spillovers of monetary policy to Asia from the US
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Stock market returns: A note on temperature anomaly
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Time-consistency in managing a commodity portfolio: A dynamic risk measure approach
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Default risk, systematic risk and Thai firms before, during and after the Asian crisis
Fulltext Access 16 Pages 2005
Quantifying the uncertainty about the fit of a new Keynesian pricing model
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Multiscale systematic risk
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Determinants of market-assessed sovereign risk: Economic fundamentals or market risk appetite?
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Long-memory dynamics in a SETAR model - applications to stock markets
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Estimation of the common and country-specific shock to stock prices
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Can exchange rate variations or trade policy alter the equilibrium current account?
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Utilising a typology of management accounting change: An empirical analysis
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Habit formation and the persistence of monetary shocks
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Comparing New Keynesian models of the business cycle: A Bayesian approach
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A study of underemployment among self-initiated expatriates
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Foreign exchange exposure, risk management, and quarterly earnings announcements
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Comparisons of short and long hedge performance: the case of Taiwan
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The structure-performance relationship in international joint ventures: a comparative analysis
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Risk and return in emerging markets: Family matters
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Foreign investment impact and incentive: a strategic approach to the relationship between the objectives of foreign investment policy and their promotion
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Information content of mandatory quarterly foreign sales data of U.S. multinational companies under SFAS 131
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European equity markets integration-implications for US investors
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Bid-ask bounce and the measurement of price behavior around block trades on the Australian Stock Exchange
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The politics of transcendence: hermeneutic phenomenology and accounting policy
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Accounting in Babel? Constructing social accounting as a multi-logical performance
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The term structure of interest rates in Japan: the predictability of economic activity
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An analytical approximation to the option formula for the GARCH model
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The early managed fund industry: Investment trusts in 19th century Britain
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Origins of the limited information maximum likelihood and two-stage least squares estimators
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Ownership structure, managerial behavior and corporate value
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The entry and the activity level of foreign banks in Italy: An analysis of the determinants
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Bank lending and real estate in Asia: market optimism and asset bubbles
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How did Korean households cope with negative shocks from the financial crisis?
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How does the entry of new firms change demand? An empirical estimation for a Thai telecommunications company
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Using disclosure to influence herd behavior and alter competition
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How the Bundesbank really conducted monetary policy
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Re-examination of J-curve effect for Japan, Korea and Taiwan
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A search for leading sectors over the business cycle: The case of Korea
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Market quality and price discovery: Introduction of the E-mini energy futures
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Monetary integration and inflation preferences: A real options analysis
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Real business cycles, sticky wages or sticky prices? The impact of technology shocks on US manufacturing
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Assessing institutional efficiency, growth and integration
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Factor decomposition of sub-provincial fiscal disparities in China
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Spatial inequality in education and health care in China
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Tests of the expectations hypothesis: Resolving the anomalies when the short-term rate is the federal funds rate
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Option-implied asymmetries in bond market expectations around monetary policy actions of the ECB
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A note on common methods used to estimate foreign exchange exposure
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Stock market linkages in emerging markets: implications for international portfolio diversification
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Current account, exchange rate dynamics and the predictability: the experience of Malaysia and Singapore
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International bond market linkages: a structural VAR analysis
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Gunboats, reputation, and sovereign repayment: lessons from the Southern Confederacy
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Globalisation and factor returns in competitive markets
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Is value riskier than growth?
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The relationship between stock returns and volatility in international stock markets
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Testing forward rate unbiasedness allowing for persistent regressors
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Financial markets and economic growth in Greece, 1986-1999
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Are international stock returns predictable?
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Rivalry under price and quantity uncertainty
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Public health and governance: the experience of Bangladesh and Ukraine
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The evolution of the rules and regulations of the first emerging markets: the London, New York and Paris stock exchanges, 1792-1914
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An examination of linear factor models in country equity asset allocation strategies
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Fragmentation and services
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Smooth-transition error-correction in exchange rates
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Do consumer-confidence indexes help forecast consumer spending in real time?
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