Found: 11
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Improving (E)GARCH forecasts with robust realized range measures: Evidence from international markets.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 631, doi. 10.1007/s12197-017-9386-x
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- Article
Security issuance decisions, idiosyncratic risk, and macroeconomic dynamics.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 659, doi. 10.1007/s12197-016-9370-x
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- Article
Litigation risk and cash holdings.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 679, doi. 10.1007/s12197-016-9373-7
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Liquidity, overpricing, and the tactics of informed traders.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 701, doi. 10.1007/s12197-016-9375-5
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- Article
Uninsured deposits and excess share insurance at US credit unions: the impact on risk and returns to members.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 714, doi. 10.1007/s12197-016-9376-4
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- Article
The role of HFTs in order flow toxicity and stock price variance, and predicting changes in HFTs' liquidity provisions.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 739, doi. 10.1007/s12197-016-9374-6
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- Article
Investing strategies as continuous rising (falling) share prices released.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 763, doi. 10.1007/s12197-016-9377-3
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- Article
The effect of gold market speculation on REIT returns in South Africa: a behavioral perspective.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 774, doi. 10.1007/s12197-016-9381-7
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- Article
Deposit dollarization in emerging markets: modelling the hysteresis effect.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 794, doi. 10.1007/s12197-016-9379-1
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- Article
Open market operations and associated movements of the federal funds rate during the week prior to target changes.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 806, doi. 10.1007/s12197-016-9380-8
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- Article
Litigation risk and investment policy.
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- Journal of Economics & Finance, 2017, v. 41, n. 4, p. 829, doi. 10.1007/s12197-016-9382-6
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- Article