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Mar 30 2024 Houssam Bouzgarrou , Zied Ftiti , Wael Louhichi and Mohamed Youssfi
  Stock market performance under COVID-19: Evidence from investor behavior
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2024 Alex Knorre , Ruslan Kuchakov and Dmitriy Skougarevskiy
  Stakeholder activism and foreign firm exit from Russia in 2022
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 30 2023 Fabrice Hervé and Sylvain Marsat
  Eco-anxiety, connectedness to nature, and green equity investments
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 30 2023 Camille Loir and Bertrand Groslambert
  The impact of innovation on the profitability of the biotech industry
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Chin Yee Gan , Lee Lee Chong and Zauwiyah Ahmad
  The effects of presentation of unrealized gain or loss of equity instruments on investing decision of investors
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 30 2023 Kazuo Mino
  On the stationary distribution of income and wealth in a growing economy with endogenous labor supply
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2022 Jongrim Ha
  Role of Global Uncertainty: Evidence from COVID-19 Pandemic
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 30 2022 Sabri Boubaker and Hatem Mansali
  The long-run performance of seasoned stock-warrant unit offerings
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 30 2022 Muhammad Madyan , Iksan Abdi Nugraha , Wisudanto Wisudanto , Rahmat Setiawan and Novian Abdi Firdausi
  Building firm value and financial performance through intellectual capital: the Indonesia stock exchange's experience
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 20 2022 Munawar Sayyad , Pat Obi and Kaushik Bhattacharjee
  International equity and bond market dynamics an asymmetric error correction study of united states, india and brazil
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 17 2021 Yosuke Hashidate and Keisuke Yoshihara
  Stochastic Expected Inequity-Averse Choice
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 17 2021 Nham T.H. Nguyen , Bao K.Q. Nguyen , Bao C.N. To and Tam T.H. Le
  Capital Structure and Performance in Vietnamese Construction Firms: Using Quantile Regression Approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 09 2021 Guillaume Andrieu , Benjamin Le pendeven and Gaël Leboeuf
  Equity Crowdfunding Success for Female Entrepreneurs: French Evidence
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2021 Max Resende and Alexandre Ferreira
  A machine learning approach to risk disclosure reporting
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 08 2020 Jorge Silva
  Determinants of the structure of external funding: the Portuguese case
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Aug 08 2020 Anoop S Kumar
  Testing Safe Haven Property of Bitcoin and Gold during Covid-19 : Evidence from Multivariate GARCH analysis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 07 2020 Garry L. Shelley , Anca Traian and William J. Trainor Jr.
  Stock market "prediction" models
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
May 19 2020 Ilyes Abid , Abderrazak Dhaoui , Khaled Guesmi and Olfa Kaabia
  Hedging strategy for financial variables and commodities
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 22 2020 Heni Boubaker and Hichem Rezgui
  Co-movement between some commodities and the Dow Jones Islamic Index: A Wavelet analysis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 10 2020 Ana Brochado , Margarida Abreu and Victor Mendes
  Correlates of Gambling
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 07 2020 Bahar Ulupinar and Isa Camyar
  Election Uncertainty and Capital Structure
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 01 2020 Maxim Zagonov and Bernd Hanke
  Investor Attention, Lottery Stocks and the Cross-Section of Expected Returns.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 16 2019 Abdullah Alqahtani
  Does U.S. Equity market uncertainty and implied stock market volatility affect the GCC stock markets?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 19 2019 Muhammad Imran , Mengyun Wu , Shuibin Gu , Shah Saud and Muhammad Abbas
  Influence of economic and non-economic factors on firm level equity premium: Evidence from Pakistan
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jun 23 2019 Sosso Feindouno
  Improving the measurement of export instability in the Economic Vulnerability Index: A simple proposal
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 02 2019 Claude Bergeron
  Recursive preferences, long-run risks, and stock valuation
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 27 2019 Román Ferrer , Syed Jawad Hussain Shahzad and Adrián Maizonada
  Nonlinear and extreme dependence between long-term sovereign bond yields and the stock market: A quantile-on-quantile analysis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 16 2019 Magnus Blomkvist , Karl Felixson and Anders Loflund
  Do bidders pay cash for underleveraged targets?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Feb 02 2019 Pinar Sener
  Foreign investors' preferences for family involvement and corporate governance: evidence from Turkey
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 10 2018 Russell Kashian , Ronald Tittle , Richard Cummings and Peter Westort
  Performance and growth among de novo subchapter-s banks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 06 2018 Ramzi Benkraiem , Thi hong van Hoang , Amine Lahiani and Anthony Miloudi
  Crude oil and equity markets in major European countries: New evidence
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 10 2018 Roman Mestre and Michel Terraza
  Time-Frequency varying beta estimation -a continuous wavelets approach-
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 07 2018 Harri Pönkä
  Sentiment and sign predictability of stock returns
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 25 2018 Alba Del Villar Olano
  The Lucas Paradox in the Great Recession: Does the type of capital matter?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 23 2018 Mohammad Q. M. Momani
  Revisiting the momentum factor in the U.K. stock market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 28 2017 Pei-Ling Lee , Lee Chin , Siong Hook Law and W.N.W. Azman-Saini
  Do integrated economies grow faster? Evidence from domestic equity holdings
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 26 2017 Bala A. Dahiru , Pam W. Jim and Kalu N. Nwonyuku
  Equity markets volatility dynamics in developed and newly emerging economies: EGARCH-with-skewed-t density approach
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 16 2017 Maxim Zagonov , Angela Kate Pettinicchio and Galla Salganik-Shoshan
  Audit quality, bank risks, and cross-country regulations.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 02 2017 Benjamin M Tabak , Dimas M Fazio , Regis A Ely , Joao M. T. Amaral and Daniel O Cajueiro
  The effects of capital buffers on profitability: An empirical study
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2017 Abdul Rashid and Hira Mehmood
  Liquidity and Capital Structure: The Case of Pakistani Non-Financial Firms
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 09 2017 Younes Ben Zaied , Nidhaleddine Ben Cheikh and Pascal Nguyen
  Modeling nonlinear water demand : The case of Tunisia
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 17 2017 Ian Irvine
  The Marginal Social Value of Electric Vehicle Subsidies - Preliminary Evidence
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 10 2016 Amit Ghosh
  Determinants of Gold Demand in Reserve Bank of India's foreign exchange reserve portfolio.
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 05 2016 Gaowang Wang and Juanjuan Yan
  Robustness, the Spirit of Capitalism and Asset Pricing
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 11 2016 Flavio C. Sanematsu and Ricardo P. C. Leal
  Survivorship bias in Brazilian stock funds
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 04 2016 Aneel Keswani , David Stolin and Maxim Zagonov
  UK fund returns and sector diversification
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Oct 02 2015 Franck Martin and Mai lan Nguyen
  Asymmetric dynamics in the correlations of hedge fund strategy indices: what lessons about financial contagion ?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 24 2015 Antonio Palestrini
  Firm Size Distribution and the Survival Bias
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 09 2015 Sofiane Aboura and Emmanuel Lépinette
  Do banks satisfy the Modigliani-Miller theorem ?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 29 2015 Svein olav Krakstad and Peter Molnar
  Characteristics of Norwegian Rights Issues
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 06 2014 Enareta Kurtbegu and Juliana Caicedo-llano
  European equity fund managers: luck or skill?!
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 26 2014 Stefan Kohler
  Guilt causes equal or unequal division in alternating-offer bargaining
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 23 2014 Fabio Bertoni , Anne-Laure Le Nadant and Frédéric Perdreau
  Innovation and R&D investments by leveraged buyout companies in times of crisis
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 31 2014 Khaled GUESMI and Salma FATTOUM
  The Relationship between Oil Price and OECD Stock Markets: A Multivariate Approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 28 2014 Cori Vilella
  The equity core and the core
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 23 2013 Svein Olav Krakstad
  Timing Differences between SEO Methods
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 13 2013 Fabio Clementi and Francesco Schettino
  Income polarization in Brazil, 2001-2011: A distributional analysis using PNAD data
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 11 2013 Enzo Dia and Fabrizio Casalin
  Security issuance and the business cycle
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 24 2013 Elie I Bouri
  Correlation and Volatility of the MENA Equity Markets in Turbulent Periods, and Portfolio Implications
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 05 2013 Khaled Guesmi , Mohamed Hedi Arouri , Ilyes Abid and Frédéric Teulon
  On the Determinants of Equity International Risk Premium: Are Emerging Zones Different?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 04 2013 Katsuhiko Nishizaki
  No-envy and dominant strategy implementability in non-excludable public good economies with quasi-linear preferences
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 09 2012 Kirill Chernomaz
  Inequity aversion in a model with moral hazard
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 09 2012 Mohamed E AROURI , Fredj JAWADI and Duc K NGUYEN
  Nonlinear modeling of oil and stock price dynamics: segmentation or time-varying integration?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jul 17 2012 Joshua Hall and David Yu
  Ranking the Economic Freedom of North America using dominetrics
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 18 2012 Hans Bystrom
  Executive compensation based on asset values
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Feb 09 2012 Fatih Macit
  Bank Specific and Macroeconomic Determinants of Profitability: Evidence From Participation Banks in Turkey
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Jan 29 2012 Go Tamakoshi , Yuki Toyoshima and Shigeyuki Hamori
  A dynamic conditional correlation analysis of European stock markets from the perspective of the Greek sovereign debt crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 20 2012 Fabio Pizzutilo
  Use of the Pearson System of Frequency Curves for the Analysis of Stock Return Distributions: Evidence and Implications for the Italian Market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 28 2011 Renatas Kizys and Christian Pierdzioch
  Contagious speculative bubbles: A note on the Greek sovereign debt crisis
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 05 2011 Bérangère Legendre
  Inequalities between retirees and workers: an empirical model to capture the effect of taxation
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Sep 28 2011 Frank Strobel
  The dividend puzzle and tax: a note
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 12 2011 Khaled Guesmi
  What Drives the Regional Integration of Emerging Stock Markets?
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 20 2011 George Milunovich
  Measuring the Impact of the GFC on European Equity Markets
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 17 2011 Khemaies Bougatef and Jameleddine Chichti
  Timing of debt issues: Evidence from a panel of Tunisian and French firms
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Nov 08 2010 Masato Ubukata
  Large-scale portfolios using realized covariance matrix: evidence from the Japanese stock market
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 20 2010 Steffen Kallbekken , Stephan Kroll and Todd L Cherry
  Pigouvian tax aversion and inequity aversion in the lab
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 07 2010 Kaname Miyagishima
  A characterization of the maximin social ordering
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 01 2010 Yoichiro Fujii and Yutaka Nakamura
  Equity premium under multiple background risks
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 18 2009 Susumu Cato
  Characterizing the Nash social welfare relation for infinite utility streams: a note
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Sep 10 2009 Tomoki Kitamura and Kunio Nakashima
  Changes in Equity Investment of Japan's Households After the Introduction of Defined Contribution Plans
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jun 28 2009 Juliana Caicedo-llano and Catherine Bruneau
  Co-movements of international equity markets: a large-scale factor model approach
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 13 2009 Shiba Suzuki
  Risks after disasters: a note on the effects of precautionary saving on equity premiums
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 16 2008 Guglielmo Maria Caporale , Nikolaos Philippas and Fotini Economou
  Herding behaviour in extreme market conditions: the case of the Athens Stock Exchange
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 01 2008 Rossana Patron
  Enhancing the public provision of education: the economics of education reform in developing countries
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 31 2008 Chen Xiang LIU and Mohamed El Hedi AROURI
  Stock craze: an empirical analysis of PER in Chinese equity market
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Apr 21 2008 Elif Akben , Gökhan Özertan and Aslýhan D. Spaulding
  Are the Asian Equity Markets more Interdependent after the Financial Crisis?
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 07 2008 Venus Khim-Sen Liew , Ricky Chee-Jiun Chia and Syed Azizi Wafa Syed Khalid Wafa
  Day-of-the-week effects in Selected East Asian stock markets
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 21 2008 Sichong Chen
  Exploring the driving force and price adjustment of the J-REIT market
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Aug 15 2007 Tao Wang
  Financial Constraints and the Risk-Return Relation
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 17 2007 Hiroshi Kurata
  Foreign equity caps under two types of competition: Bertrand and Cournot
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Mar 06 2007 Hideki Nishigaki
  An analysis of the relationship between US REIT returns
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 03 2006 Tsangyao Chang and Yang-Cheng Lu
  Equity Diversification in Two Chinese Share Markets: Old Wine and New Bottle
  Abstract  Contact Information  Citation  Full Text  -  Preliminary Result
 
Mar 08 2006 Panu Kalmi
  Stock option compensation and equity values
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jan 11 2006 Alexander Zimper and Alexander Ludwig
  Rational expectations and ambiguity: A comment on Abel (2002)
  Abstract  Contact Information  Citation  Full Text  -  Comment
 
Mar 08 2005 Kevin E. Beaubrun-Diant
  Can a Time-to-Plan Model explain the Equity Premium Puzzle
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 27 2004 Yasunobu Tomoda and Hiroshi Kurata
  Foreign equity caps for international joint ventures
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Apr 21 2004 Simon Grant and John Quiggin
  Noise Trader Risk and the Welfare Effects of Privatization
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 19 2003 Joseph G. Eisenhauer
  Approximation bias in estimating risk aversion
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Nov 14 2003 Krishnendu Dastidar
  Oligopoly and financial structure revisited
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Jul 28 2003 Jean-Yves Duclos and Abdelkrim Araar
  An Atkinson-Gini family of social evaluation functions
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Dec 03 2002 Zsolt Becsi
  Endogenous longevity and the value-maximizing firm
  Abstract  Contact Information  Citation  Full Text  -  Note
 
Oct 02 2002 Thibault Gajdos and Jean-Marc Tallon
  Fairness under Uncertainty
  Abstract  Contact Information  Citation  Full Text  -  Note
 
May 10 2002 Andre Mollick
  EFFECTS OF U.S. INTEREST RATES ON THE REAL EXCHANGE RATE IN MEXICO
  Abstract  Contact Information  Citation  Full Text  -  Note