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Finance Research Articles

Financial liberalization and the stability of currency pegs
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Banking and commerce: A liquidity approach
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The relationship between default prediction and lending profits: Integrating ROC analysis and loan pricing
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The lender of last resort
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Investment and internal funds of distressed firms
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Real options, agency conflicts, and optimal capital structure
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Liberalization, corporate governance and the performance of privatized firms in developing countries
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What effect does the size of the state-owned sector have on regional growth in China?
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Post-listing underperformance: Is it really bad to move trading locations?
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Outside directors and corporate board decisions
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The theory of optimum currency area revisited: Lessons from the euro/dollar competitive currency regimes
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Stock market integration in ASEAN after the Asian financial crisis
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The persistence of relative performance in stock recommendations of sell-side financial analysts
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Executive pay in Japan: the role of bank-appointed monitors and the Main Bank relationship
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Incidence and duration of unemployment spells: Implications for the male-female wage differentials
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Inflation-rate volatility and money demand: Evidence from less developed countries
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First attempt at localising imperial accountancy: the case of the Institute of Chartered Accountants of Jamaica (ICAJ) (1950s-1970s)
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Making accounting accountable in the public sector
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Sources of liquidity for NYSE-listed non-US stocks
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A discussion of the political potential of Social Accounting
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Takeover bids, unconditional offer price and investor protection
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Accounting's contribution to a conscious cultural evolution: an end to sustainable development
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Vertical integration and strategic trade policies
Fulltext Access 25 Pages 2005
Relative performance objectives in financial markets
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Market integration and convergence to the Law of One Price: evidence from the European car market
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Real options, irreversible investment and firm uncertainty: New evidence from U.S. firms
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Climate change policy, market structure, and carbon leakage
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Incomplete pass-through and the welfare effects of exchange rate variability
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Can product cycles explain skill upgrading?
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Interest rate smoothing and financial stability
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Trade policy, cross-border externalities and lobbies: do linked agreements enforce more cooperative outcomes?
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Equity market linkage and multinational trade accords: The case of NAFTA
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The costs of entrenched boards
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Exit timing of venture capitalists in the course of an initial public offering
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Tax distortions and the case for price stability
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The role of corporate governance in FDI decisions: Evidence from Taiwan
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Problems of foreign subsidiaries of SMEs compared with large companies
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Managers divided: Implementing ABC in a Portuguese telecommunications company
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Value relevance of international accounting standards harmonization: Evidence from A- and B-share markets in China
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On selective indirect tax reform in developing countries
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When financial work incentives pay for themselves: evidence from a randomized social experiment for welfare recipients
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Mixed markets and crime
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Political budget cycles in new versus established democracies
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IMF programs: Who is chosen and what are the effects?
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A theory of the currency denomination of international trade
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International dimensions of optimal monetary policy
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Using a long-term interest rate as the monetary policy instrument
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Inter- and intra-sectoral linkages in foreign direct investment: evidence from Japanese investment in Europe
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Trade and location: A moving example motivated by Japan
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Can IT be Japan's savior?
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Put-call parity and cross-markets efficiency in the index options markets: evidence from the Italian market
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Anticipated policy and endogenous growth in a small open monetary economy
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Exchange rates and fundamentals: new evidence from real-time data
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Multinational enterprises and wage costs: vertical FDI revisited
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Overreaction effects independent of risk and characteristics: evidence from the Japanese stock market
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The impact of junior debt issuance on senior unsecured debt's risk premiums
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Growth and convergence in a two-region model: The hypothetical case of Korean unification
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Growth, uncertainty and the Third World in the rise and fall of capitalism
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American economic policy in the Philippines, 1902-1940: Exploring a dark age in colonial statistics
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Human capital and productivity for Korea's sustained economic growth
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To blame or not to blame: Analysts' reactions to external explanations for poor financial performance
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Acquirers' abnormal returns and the non-Big 4 auditor clientele effect
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Firm investment, monetary transmission and balance-sheet problems in Japan: an investigation using micro data
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Public input competition
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Skills, agglomeration and segmentation
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Routine
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The success of stock selection strategies in emerging markets: Is it risk or behavioral bias?
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An evaluation of the 1994 tax reform in China using a general equilibrium model
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Bank privatization and performance: Empirical evidence from Nigeria
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Risk management implications of time-inconsistency: Model updating and recalibration of no-arbitrage models
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Employee stock options as warrants
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Long-term memories of developed and emerging markets: Using the scaling analysis to characterize their stage of development
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When do German firms change their dividends?
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Does operating performance increase post-takeover for UK takeovers? A comparison of performance measures and benchmarks
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Firm characteristics and the impact of emerging market liberalizations
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Information-based trading, price impact of trades, and trade autocorrelation
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Estimating variable returns to scale production frontiers with alternative stochastic assumptions
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Nonparametric estimation of time varying parameters under shape restrictions
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The direct and indirect impact of bank privatization and foreign entry on access to credit in Argentina's provinces
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Alcohol, Drugs and Violent Crime
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Organized crime, corruption and punishment
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Vertical specialization and three facts about U.S. international trade
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Backing into being public: an exploratory analysis of reverse takeovers
Fulltext Access 26 Pages 2005
Nonprofits with distributional objectives: price discrimination and corner solutions
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Industry aspects of takeovers and divestitures: Evidence from the UK
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Financial sector liberalization, bank privatization, and efficiency: Evidence from Pakistan
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Bank privatization in developing countries: A summary of lessons and findings
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A comparison of Merton's option pricing model of corporate debt valuation to the use of book values
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Inventories, employment and hours
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Fiscal deficits and inflation
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Capital controls and exchange rate instability in developing economies
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Robustness and real consequences of nominal wage rigidity
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Sweep programs and optimal monetary aggregation
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Complete markets, informed trading and equity option introductions
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Empirical exchange rate models of the nineties: Are any fit to survive?
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Comovement in international equity markets: A sectoral view
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Adverse selection, brokerage coverage, and trading activity on the Tokyo Stock Exchange
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Cash-flow shortage as an endogenous bankruptcy reason
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The impact of macroeconomic surprises on spot and forward foreign exchange markets
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Pricing default swaps: Empirical evidence
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