Robust econometric inference with mixed integrated and mildly explosive regressors Fulltext Access 18 Pages 2016
The two publics and institutional theory - A study of public sector accounting in Tanzania Fulltext Access 18 Pages 2016
Performance contracting and social capital (re)formation: A case study of Nairobi City Council in Kenya Fulltext Access 18 Pages 2016
Cultural values, emotional intelligence, and conflict handling styles: A global study Fulltext Access 18 Pages 2016
On the relationship between conditional jump intensity and diffusive volatility Fulltext Access 18 Pages 2016
Exploiting the errors: A simple approach for improved volatility forecasting Fulltext Access 18 Pages 2016
Positive and normative judgments implicit in U.S. tax policy, and the costs of unequal growth and recessions Fulltext Access 18 Pages 2016
The effect of tax enforcement on tax elasticities: Evidence from charitable contributions in France Fulltext Access 18 Pages 2016
Stock return predictability and investor sentiment: A high-frequency perspective Fulltext Access 18 Pages 2016
Do managers really guide through the fog? On the challenges in assessing the causes of voluntary disclosure Fulltext Access 18 Pages 2016
Do CEOs who trade shares adopt more aggressive corporate investment strategies? Fulltext Access 18 Pages 2016
Are cross-border acquisitions enemy of labor? An examination of employment and productivity effects Fulltext Access 18 Pages 2016
Special interests and the media: Theory and an application to climate change Fulltext Access 18 Pages 2016
Intermediate input imports and innovations: Evidence from Chinese firms' patent filings Fulltext Access 18 Pages 2016
Analyzing hedging strategies for fixed income portfolios: A Bayesian approach for model selection Fulltext Access 18 Pages 2016
Efficient estimation of approximate factor models via penalized maximum likelihood Fulltext Access 18 Pages 2016
Efficient estimation of integrated volatility incorporating trading information Fulltext Access 18 Pages 2016
Do political connections matter in accessing capital markets? Evidence from China Fulltext Access 18 Pages 2016
Financial market interdependencies: A quantile regression analysis of volatility spillover Fulltext Access 18 Pages 2016
Does banking system transparency enhance bank competition? Cross-country evidence Fulltext Access 18 Pages 2016
How functional and geographic diversification affect bank profitability during the crisis Fulltext Access 18 Pages 2016
Hawk or dove: Switching regression model for the monetary policy reaction function in China Fulltext Access 18 Pages 2016
The impact of depreciation savings on investment: Evidence from the corporate Alternative Minimum Tax Fulltext Access 18 Pages 2016
Macroeconomic consequences of the real-financial nexus: Imbalances and spillovers between China and the U.S. Fulltext Access 18 Pages 2016
A representative agent asset pricing model with heterogeneous beliefs and recursive utility Fulltext Access 18 Pages 2016
Intra- and extra-bank determinants of Latin American Banks' profitability Fulltext Access 18 Pages 2016
Does the trade gravity model depend on trading partners? Some evidence from Vietnam and her 54 trading partners Fulltext Access 18 Pages 2016
Does the US current account show a symmetric behavior over the business cycle? Fulltext Access 18 Pages 2016
Tax evasion through trade intermediation: Evidence from Chinese exporters Fulltext Access 18 Pages 2016
Analyzing an elder's desire for a reverse mortgage using an economic model that considers house bequest motivation, random death time and stochastic house price Fulltext Access 18 Pages 2016
Debt covenants and credit spread valuation: The special case of Chinese global bonds Fulltext Access 18 Pages 2016
How firms export: Processing vs. ordinary trade with financial frictions Fulltext Access 18 Pages 2016
Risk and regulation: A difference-in-differences analysis for Italian local banks Fulltext Access 18 Pages 2016
Human capital and international portfolio diversification: A reappraisal Fulltext Access 19 Pages 2016
Ambiguity aversion and household portfolio choice puzzles: Empirical evidence Fulltext Access 19 Pages 2016
Do employee relation responsibility and culture matter for firm value? International evidence Fulltext Access 19 Pages 2016
The systemic risk of European banks during the financial and sovereign debt crises Fulltext Access 19 Pages 2016
What explains the orange juice puzzle: Sentiment, smart money, or fundamentals? Fulltext Access 19 Pages 2016
Reexamining the empirical relation between loan risk and collateral: The roles of collateral liquidity and types Fulltext Access 19 Pages 2016
International capital flows to emerging markets: National and global determinants Fulltext Access 19 Pages 2016
Daily short covering activity and the weekend effect: Evidence from Taiwan Fulltext Access 19 Pages 2016
The importance of conflicts of interest in attributing sovereign credit ratings Fulltext Access 19 Pages 2016
The sign switch effect of macroeconomic news in foreign exchange markets Fulltext Access 19 Pages 2016
Method of payment and risk mitigation in cross-border mergers and acquisitions Fulltext Access 19 Pages 2016
The second wave of hedge fund activism: The importance of reputation, clout, and expertise Fulltext Access 19 Pages 2016
Dealing with non-normality when estimating abnormal returns and systematic risk of private equity: A closed-form solution Fulltext Access 19 Pages 2016