Works matching DE "FINANCIAL economics"
Results: 766
Financial estimates against investor's preferences: anchoring, denial and spillover effects.
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- Accounting & Business Research, 2018, v. 48, n. 3, p. 299, doi. 10.1080/00014788.2017.1367915
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Discussion of ‘Financial instruments in non-financial firms: what do we know?’ by Günther Gebhardt (2012).
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- Accounting & Business Research, 2012, v. 42, n. 3, p. 291, doi. 10.1080/00014788.2012.683334
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Discussion of ‘Risk reporting quality: implications of academic research for financial reporting policy’ by Stephen G. Ryan (2012).
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- Accounting & Business Research, 2012, v. 42, n. 3, p. 325, doi. 10.1080/00014788.2012.683332
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Recurrent double-conditional factor model: Recurrent double-conditional factor model: C. Fieberg et al.
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- OR Spectrum, 2025, v. 47, n. 1, p. 205, doi. 10.1007/s00291-024-00771-1
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The Effect of Earnings Announcement on the Market Value of Corporate Stock.
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- Accounting & Finance / Oblìk ì Fìnansi, 2024, v. 105, n. 3, p. 96, doi. 10.33146/2307-9878-2024-3(105)-96-102
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The deregulation of quarterly reporting and its effects on information asymmetry and firm value.
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- Review of Quantitative Finance & Accounting, 2025, v. 64, n. 3, p. 1221, doi. 10.1007/s11156-024-01338-5
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Equity financing during the Covid-19 economic downturn.
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- Review of Quantitative Finance & Accounting, 2025, v. 64, n. 3, p. 1391, doi. 10.1007/s11156-024-01335-8
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Dynamic treatment effect of capital controls on macroeconomic and financial stability in emerging market economies.
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- Empirical Economics, 2025, v. 68, n. 3, p. 963, doi. 10.1007/s00181-024-02672-2
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Household Financial Fragility, Debt and Income in a Dynamic Model: Household Financial Fragility...: G. Calcagnini et al.
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- Computational Economics, 2025, v. 65, n. 2, p. 963, doi. 10.1007/s10614-024-10698-y
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Asymptotic Theory of Range-Based Multipower Variation.
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- Journal of Financial Econometrics, 2012, v. 10, n. 3, p. 417, doi. 10.1093/jjfinec/nbr019
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Issue Information.
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- Scottish Journal of Political Economy, 2019, v. 66, n. 1, p. i, doi. 10.1111/sjpe.12155
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PATTERN-BASED EXPECTATIONS: INTERNATIONAL EXPERIMENTAL EVIDENCE AND APPLICATIONS IN FINANCIAL ECONOMICS.
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- Review of Economics & Statistics, 2011, v. 93, n. 4, p. 1319, doi. 10.1162/REST_a_00125
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Valuation of R&D Investment Opportunities with the Threat of Competitors Entry in Real Option Analysis.
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- Computational Economics, 2014, v. 43, n. 3, p. 331, doi. 10.1007/s10614-013-9370-2
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When do extreme weather events generate attention to climate change?
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- Climatic Change, 2017, v. 143, n. 1/2, p. 227, doi. 10.1007/s10584-017-1984-2
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Stranded research? Leading finance journals are silent on climate change.
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- Climatic Change, 2017, v. 143, n. 1/2, p. 243, doi. 10.1007/s10584-017-1985-1
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Private finance for adaptation: do private realities meet public ambitions?
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- Climatic Change, 2016, v. 134, n. 4, p. 489, doi. 10.1007/s10584-015-1539-3
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Contemporary Challenges in Student Affairs Budgeting and Finance.
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- New Directions for Student Services, 2015, v. 2015, n. 151, p. 63, doi. 10.1002/ss.20138
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One-dimensional steady-state flows of a rotating gas and zonal wind.
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- Fluid Dynamics, 2012, v. 47, n. 1, p. 114, doi. 10.1134/S0015462812010127
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HOW CAN BODIES PERFORM THE FINANCIAL CRISIS? THE FINANCIALIZED BODIES IN CRISTAL PYTE AND SHARON EYAL'S CHOREOGRAPHIES.
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- Acotaciones: Investigación y Creación Teatral, 2019, n. 43, p. 75, doi. 10.32621/acotaciones.2019.43.03
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A message from the editor.
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- Journal of Applied Corporate Finance, 2024, v. 36, n. 3, p. 2, doi. 10.1111/jacf.12617
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Executive Summaries.
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- Journal of Applied Corporate Finance, 2020, v. 32, n. 1, p. 4, doi. 10.1111/jacf.12384
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A Message from the Editor.
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- Journal of Applied Corporate Finance, 2020, v. 32, n. 1, p. 2, doi. 10.1111/jacf.12383
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Executive Summaries.
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- Journal of Applied Corporate Finance, 2016, v. 28, n. 4, p. 4, doi. 10.1111/jacf.12154
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- Article
Proactive Leverage Increases and The Value of Financial Flexibility.
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- Journal of Applied Corporate Finance, 2016, v. 28, n. 4, p. 17, doi. 10.1111/jacf.12204
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Do Corporate Managers Know When Their Shares Are Undervalued? New Evidence Based on Actual (and Not Just Announced) Stock Buybacks.
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- Journal of Applied Corporate Finance, 2016, v. 28, n. 4, p. 73, doi. 10.1111/jacf.12205
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The Leveraging of Corporate America: A Long-Run Perspective on Changes in Capital Structure.
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- Journal of Applied Corporate Finance, 2016, v. 28, n. 4, p. 29, doi. 10.1111/jacf.12208
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Statement of the Financial Economists Roundtable: How to Manage and Help to Avoid Systemic Liquidity Risk.
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- Journal of Applied Corporate Finance, 2012, v. 24, n. 1, p. 60, doi. 10.1111/j.1745-6622.2012.00365.x
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FINANCIAL STRUCTURES AND ECONOMIC DEVELOPMENT: EMPIRICAL EVIDENCE FROM BRICS COUNTRIES AND MAURITIUS.
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- Journal of Developing Areas, 2018, v. 52, n. 1, p. 131, doi. 10.1353/jda.2018.0009
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THE RELATIONSHIP BETWEEN STOCK MARKET VOLATILITY AND TRADING VOLUME: EVIDENCE FROM SOUTH AFRICA.
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- Journal of Developing Areas, 2018, v. 52, n. 1, p. 99, doi. 10.1353/jda.2018.0007
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REPUTATION AND REGULATIONS AS MARKET AND NON-MARKET MECHANISMS TO REDUCE BIFURCATED RISK.
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- Economics & Law / Ekonomia i Prawo, 2015, v. 14, n. 2, p. 155, doi. 10.12775/EiP.2015.009
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Fractal Analysis of Financial Time Series Using Fractal Dimension and Pointwise Hölder Exponents.
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- Dynamic Econometric Models, 2013, v. 13, p. 107, doi. 10.12775/DEM.2013.006
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Economic Situation of the Country or Risk in the World Financial Market? The Dynamics of Polish Sovereign Credit Default Swap Spreads.
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- Dynamic Econometric Models, 2013, v. 13, p. 87, doi. 10.12775/DEM.2013.005
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Disaster Recovery Framework for Commercial Banks in Sri Lanka.
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- Journal of ICT Research & Applications, 2015, v. 9, n. 3, p. 263, doi. 10.5614/itbj.ict.res.appl.2015.9.3.4
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Risk assessment as a safety element in temporary bridge exploitation.
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- European Journal of Environmental & Civil Engineering, 2017, v. 21, n. 10, p. 1253, doi. 10.1080/19648189.2016.1160844
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What Money Does: An Inquiry Into the Backbone of Capitalist Political Economy.
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- Max-Planck-Institut für Gesellschaftsforschung Discussion Papers, 2017, v. 17, p. iii
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On the Moral Economy of Bulls, Bears and Wolves: A Response to Simon During.
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- Australian Humanities Review, 2015, n. 58, p. 79
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Economics of the Financial Crisis: Any Lessons for the Pandemic Downturn and Beyond?
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- Contemporary Economics, 2021, v. 15, n. 1, p. 100, doi. 10.5709/ce.1897-9254.438
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Classes in Maximizing Shareholders' Wealth: Irving Fisher's Theory of the Economic Organization in Corporate Financial Economics Textbooks.
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- Contemporary Economics, 2017, v. 11, n. 4, p. 369
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GLOBALISATION - THE MAIN STIMULUS IN PROPAGATION THE EFFECTS OF THE CRISIS.
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- Annals of the Constantin Brancusi University of Targu Jiu-Letters & Social Sciences Series, 2012, n. 3, p. 1
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Summaries of Papers In This Issue.
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- Journal of the American Taxation Association, 2022, v. 44, n. 2, p. 1, doi. 10.2308/atax-10822
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- Article
The SECURE Act and your Retirement Objectives.
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- Graziadio Business Review, 2020, v. 23, n. 2, p. 67
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Preface to the Special Issue on Multidimensional Finance, Insurance, and Investment.
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- International Transactions in Operational Research, 2023, v. 30, n. 5, p. 2137, doi. 10.1111/itor.13281
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- Article
Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2022, v. 29, n. 3, p. 2030, doi. 10.1111/itor.12822
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Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2022, v. 29, n. 1, p. 657, doi. 10.1111/itor.12816
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- Article
Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2021, v. 28, n. 6, p. 3595, doi. 10.1111/itor.13020
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- Article
Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2021, v. 28, n. 5, p. 2933, doi. 10.1111/itor.12959
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Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2021, v. 28, n. 4, p. 2268, doi. 10.1111/itor.12919
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Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2021, v. 28, n. 2, p. 1102, doi. 10.1111/itor.12892
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Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2021, v. 28, n. 1, p. 516, doi. 10.1111/itor.12850
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Special Issue on "Multidimensional Finance, Insurance and Investment".
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- International Transactions in Operational Research, 2020, v. 27, n. 6, p. 3182, doi. 10.1111/itor.12839
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- Article