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Daneshyari Finance Journas Latest Articles

Finance Research Articles

Determining the number of factors when the number of factors can increase with sample size
Fulltext Access 33 Pages 2017
Distributional preferences and political behavior
Fulltext Access 33 Pages 2017
The political economy of higher education admission standards and participation gap
Fulltext Access 33 Pages 2017
Structural reforms in a debt overhang
Fulltext Access 33 Pages 2017
Buybacks as an efficient strategy for venture capital in emerging markets
Fulltext Access 33 Pages 2017
Capital regulation and credit fluctuations
Fulltext Access 33 Pages 2017
The access of microfinance institutions to debt capital: An empirical investigation of microfinance investment vehicles
Fulltext Access 33 Pages 2017
The effect of exchange rate fluctuation on intra-industry reallocation in a firm heterogeneity model with trade and foreign direct investment
Fulltext Access 33 Pages 2017
Economic policy uncertainty and sovereign credit rating decisions: Panel quantile evidence for the Eurozone
Fulltext Access 33 Pages 2017
Superseding Dublin: The European asylum system as a non-cooperative game
Fulltext Access 33 Pages 2017
Endogenous environmental variables in stochastic frontier models
Fulltext Access 33 Pages 2017
Long-term persistence in corporate capital structure: Evidence from India
Fulltext Access 33 Pages 2017
On the dynamic dependence and investment performance of crude oil and clean energy stocks
Fulltext Access 33 Pages 2017
Adaptive estimation of continuous-time regression models using high-frequency data
Fulltext Access 33 Pages 2017
The effects of revenue diversification and cross border banking on risk and return of banks in Africa
Fulltext Access 33 Pages 2017
Risk sentiment and firms' liquidity in the French market
Fulltext Access 33 Pages 2017
Financial market implications of monetary policy coincidences: Evidence from the UK and Euro Area government-bond markets
Fulltext Access 33 Pages 2017
Sovereign pension and social security reserve funds: A portfolio analysis
Fulltext Access 33 Pages 2017
Does oil and gold price uncertainty matter for the stock market?
Fulltext Access 33 Pages 2017
Disagreement in expectations about public debt, monetary policy credibility and inflation risk premium
Fulltext Access 33 Pages 2017
Does higher bank concentration reduce the level of competition in the banking industry? Further evidence from South East Asian economies
Fulltext Access 33 Pages 2017
The impact of oil price movements on bank non-performing loans: Global evidence from oil-exporting countries
Fulltext Access 33 Pages 2017
How do global banks scramble for liquidity? Evidence from the asset-backed commercial paper freeze of 2007
Fulltext Access 34 Pages 2017
Exchange rate expectations since the financial crisis: Performance evaluation and the role of monetary policy and safe haven
Fulltext Access 34 Pages 2017
Foreign investor behavior in Korea after the 1997 Asian financial crisis
Fulltext Access 34 Pages 2017
Expectations as a source of macroeconomic persistence: Evidence from survey expectations in a dynamic macro model
Fulltext Access 34 Pages 2017
Trade policies, firm heterogeneity, and variable markups
Fulltext Access 34 Pages 2017
Spillovers of U.S. unconventional monetary policy to emerging markets: The role of capital flows
Fulltext Access 34 Pages 2017
Were regulatory interventions effective in lowering systemic risk during the financial crisis in Japan?
Fulltext Access 34 Pages 2017
Politicians under investigation: The news Media's effect on the likelihood of resignation
Fulltext Access 34 Pages 2017
Accounting conservatism, bank lending and firm investment: Evidence from a quasi-experiment of China's stimulus package
Fulltext Access 34 Pages 2017
Does a Muslim CEO matter in Shariah-compliant companies? Evidence from Malaysia
Fulltext Access 34 Pages 2017
Do constraints on financial and operating leverage affect the performance of Islamic equity portfolios?
Fulltext Access 34 Pages 2017
Institutional holdings, investment opportunities and dividend policy
Fulltext Access 34 Pages 2017
The other capital infusion program: The case of the Small Business Lending Fund
Fulltext Access 34 Pages 2017
Monetary policy and financial stability in the long run: A simple game-theoretic approach
Fulltext Access 34 Pages 2017
Executive compensation disclosure and private control benefits: A comparison of U.S. and Canadian dual class firms
Fulltext Access 34 Pages 2017
The effect of independent directors' characteristics on firm performance: Tenure and multiple directorships
Fulltext Access 34 Pages 2017
``Agency costs” when agents perform better than owners
Fulltext Access 34 Pages 2017
The evolving beta-liquidity relationship of hedge funds
Fulltext Access 34 Pages 2017
Bank recapitalization and economic recovery after financial crises
Fulltext Access 34 Pages 2017
Discrimination and assimilation at school
Fulltext Access 34 Pages 2017
Rationality and honesty of consumers in insurance decisions
Fulltext Access 34 Pages 2017
Normative portfolio theory
Fulltext Access 34 Pages 2017
Forecasting stock index futures returns with mixed-frequency sentiment
Fulltext Access 34 Pages 2017
The effect of the split share structure reform on working capital management of Chinese companies
Fulltext Access 34 Pages 2017
The impacts of Net Stable Funding Ratio requirement on Banks' choices of debt maturity
Fulltext Access 34 Pages 2017
Quasi-experimental impact estimates of immigrant labor supply shocks: The role of treatment and comparison group matching and relative skill composition
Fulltext Access 34 Pages 2017
The impact of fragmentation, exchange fees and liquidity provision on market quality
Fulltext Access 34 Pages 2017
CEO power and matching leverage preferences
Fulltext Access 34 Pages 2017
Self-control and crime revisited: Disentangling the effect of self-control on risk taking and antisocial behavior
Fulltext Access 35 Pages 2017
Sovereign tail risk
Fulltext Access 35 Pages 2017
China's investment and rate of return on capital revisited
Fulltext Access 35 Pages 2017
Assessing the robustness of the relationship between financial reforms and banking crises
Fulltext Access 35 Pages 2017
Exchange rate fluctuations and immigrants' labour market outcomes: New evidence from Australian household panel data
Fulltext Access 35 Pages 2017
Co-movements of returns in the health care sectors from the US, UK, and Germany stock markets: Evidence from the continuous wavelet analyses
Fulltext Access 35 Pages 2017
Capital change and stability when dividends convey signals
Fulltext Access 35 Pages 2017
Structural breaks in the relative importance of country and industry factors in African stock returns
Fulltext Access 35 Pages 2017
How did Japanese exports evolve from 1995 to 2014? A spatial econometric perspective
Fulltext Access 35 Pages 2017
Oil price shocks, policy uncertainty, and stock returns of oil and gas corporations
Fulltext Access 35 Pages 2017
Human vs. high-frequency traders, penny jumping, and tick size
Fulltext Access 35 Pages 2017
From banks' strategies to financial (in)stability
Fulltext Access 35 Pages 2017
Litigation with judgment proof defendants
Fulltext Access 35 Pages 2017
The EU debt crisis: Testing and revisiting conventional legal doctrine
Fulltext Access 35 Pages 2017
Examining dynamic currency linkages amongst South Asian economies: An empirical study
Fulltext Access 35 Pages 2017
Portfolio performance across genders and generations: The role of financial innovation
Fulltext Access 35 Pages 2017
Board structure and corporate risk taking in the UK financial sector
Fulltext Access 35 Pages 2017
The odd notion of “reversible investment”
Fulltext Access 35 Pages 2017
Information asymmetry and investor trading behavior around bond rating change announcements
Fulltext Access 35 Pages 2017
International portfolio flows and exchange rate volatility in emerging Asian markets
Fulltext Access 35 Pages 2017
Momentum spillover from stocks to corporate bonds
Fulltext Access 35 Pages 2017
The effect of large investors on asset quality: Evidence from subprime mortgage securities
Fulltext Access 35 Pages 2017
Evasive lying in strategic communication
Fulltext Access 35 Pages 2017
Optimal delta hedging for options
Fulltext Access 35 Pages 2017
Aggregate uncertainty and the supply of credit
Fulltext Access 35 Pages 2017
How does corporate social responsibility contribute to investment efficiency?
Fulltext Access 35 Pages 2017
House of restructured assets: How do they affect bank risk in an emerging market?
Fulltext Access 35 Pages 2017
Durable coalitions and communication: Public versus private negotiations
Fulltext Access 35 Pages 2017
The effects of access to health insurance: Evidence from a regression discontinuity design in Peru
Fulltext Access 35 Pages 2017
Learning can generate long memory
Fulltext Access 35 Pages 2017
Public debt in economies with heterogeneous agents
Fulltext Access 35 Pages 2017
Real effects of bank capital regulations: Global evidence
Fulltext Access 35 Pages 2017
How vulnerable are international financial markets to terrorism? An empirical study based on terrorist incidents worldwide
Fulltext Access 36 Pages 2017
Cognitive biases in investors' behaviour under stress: Evidence from the London Stock Exchange
Fulltext Access 36 Pages 2017
The concentration-stability controversy in banking: New evidence from the EU-25
Fulltext Access 36 Pages 2017
Why do CEOs agree to the discipline of dividends?
Fulltext Access 36 Pages 2017
Equity premium estimates from economic fundamentals under structural breaks
Fulltext Access 36 Pages 2017
Multiple-days-ahead value-at-risk and expected shortfall forecasting for stock indices, commodities and exchange rates: Inter-day versus intra-day data
Fulltext Access 36 Pages 2017
A fresh look at integration of risks in the international stock markets: A wavelet approach
Fulltext Access 36 Pages 2017
Credit conditions in a boom and bust property market: Insights for macro-prudential policy
Fulltext Access 36 Pages 2017
Index tracking and enhanced indexing using cointegration and correlation with endogenous portfolio selection
Fulltext Access 36 Pages 2017
Bank lending to small business in India: Analyzing productivity and efficiency
Fulltext Access 36 Pages 2017
Properties of optimal accounting rules in a signaling game
Fulltext Access 36 Pages 2017
Monetary policy transmission in Bangladesh: Exploring the lending channel
Fulltext Access 36 Pages 2017
Evaluating efficiencies of Chinese commercial banks in the context of stochastic multistage technologies
Fulltext Access 36 Pages 2017
Comparative statics and portfolio choices under the phantom decision model
Fulltext Access 36 Pages 2017
Unemployment fluctuations and the predictability of currency returns
Fulltext Access 36 Pages 2017
The interbank network across the global financial crisis: Evidence from Italy
Fulltext Access 36 Pages 2017
Valuation of diversified banks: New evidence
Fulltext Access 36 Pages 2017
Insider trading, stock return volatility, and the option market's pricing of the information content of insider trading
Fulltext Access 36 Pages 2017
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