Works matching IS 10583300 AND DT 2020 AND VI 38
Results: 39
What drives the short‐term fluctuations of banks' exposure to interest rate risk?
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 674, doi. 10.1002/rfe.1100
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Revisiting the investment anomaly: Financing constraints or limits‐to‐arbitrage?
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 655, doi. 10.1002/rfe.1098
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Sentiment and its asymmetric effect on housing returns.
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 580, doi. 10.1002/rfe.1097
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Empirical analysis of the cross‐interdependence between crude oil and agricultural commodity markets.
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 635, doi. 10.1002/rfe.1096
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Do investors recognize biases in securities analysts' forecasts?
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 623, doi. 10.1002/rfe.1094
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Investor sophistication and asset prices.
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 557, doi. 10.1002/rfe.1093
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Top management team optimism and its influence on firms' financing and investment decisions.
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 601, doi. 10.1002/rfe.1092
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Issue Information.
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- Review of Financial Economics, 2020, v. 38, n. 4, p. 555, doi. 10.1002/rfe.1068
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Preparing for higher inflation: Portfolio solutions using U.S. equities.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 542, doi. 10.1002/rfe.1091
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Bank soundness and bank lending to new firms during the global financial crisis.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 513, doi. 10.1002/rfe.1090
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Passive blockholders, informational efficiency of prices, and firm value.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 494, doi. 10.1002/rfe.1089
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The peer effect of corporate financial decisions around split share structure reform in China.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 474, doi. 10.1002/rfe.1088
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A primer on sustainable value creation.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 452, doi. 10.1002/rfe.1087
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Portfolio concentration and fund manager performance.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 423, doi. 10.1002/rfe.1086
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Issue Information.
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- Review of Financial Economics, 2020, v. 38, n. 3, p. 421, doi. 10.1002/rfe.1067
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- Article
Prozac for depressed states? Effect of mood on local economic recessions.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 245, doi. 10.1002/rfe.1099
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Nasdaq ex‐day behavior: An out‐of‐sample test.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 405, doi. 10.1002/rfe.1083
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CEO characteristics, firm performance, and corporate political contributions: A firm level pre‐Citizens United analysis.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 379, doi. 10.1002/rfe.1082
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Investing in the S&P 500 index: Can anything beat the buy‐and‐hold strategy?
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 352, doi. 10.1002/rfe.1078
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Bank lending to targets of active takeover attempts: The simultaneous choice of loan maturity, pricing, and security.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 332, doi. 10.1002/rfe.1075
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The effects of U.S. quantitative easing on South Africa.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 321, doi. 10.1002/rfe.1074
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Determinants of discounts in equity rights issues: An international comparison.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 300, doi. 10.1002/rfe.1073
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CEO age and tax planning.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 275, doi. 10.1002/rfe.1072
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Issue Information.
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- Review of Financial Economics, 2020, v. 38, n. 2, p. 243, doi. 10.1002/rfe.1066
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Issue Information.
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- Review of Financial Economics, 2020, v. 38, p. 141, doi. 10.1002/rfe.1103
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Patterns in post‐financial crisis periods: A historical perspective – An Introduction.
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- Review of Financial Economics, 2020, v. 38, p. 145, doi. 10.1002/rfe.1085
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Post‐financial crisis changes in financial system structure: An examination of the J.P. Morgan & Co. Syndicates after the 1907 Panic.
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- Review of Financial Economics, 2020, v. 38, p. 226, doi. 10.1002/rfe.1084
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Anticipating independence, no premonition of partition. The lessons of bank branch expansion on the Indian subcontinent, 1939 to 1946.
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- Review of Financial Economics, 2020, v. 38, p. 147, doi. 10.1002/rfe.1081
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Historical patterns in market behavior: Opportunities and risks.
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- Review of Financial Economics, 2020, v. 38, p. 143, doi. 10.1002/rfe.1080
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Margin practices and requirements during the National Banking Era: An early example of macro‐prudential regulation.
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- Review of Financial Economics, 2020, v. 38, p. 210, doi. 10.1002/rfe.1079
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Finland's great depression of the 1990s: Lessons about financial reform based on econometric macro evidence.
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- Review of Financial Economics, 2020, v. 38, p. 188, doi. 10.1002/rfe.1077
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Supply of bank loans and business debts: A view from historical bankruptcy cases.
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- Review of Financial Economics, 2020, v. 38, p. 170, doi. 10.1002/rfe.1076
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Twenty‐five years of Review of Financial Economics: A bibliometric overview.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 3, doi. 10.1002/rfe.1095
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External monitoring and returns to hedge fund activist campaigns.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 97, doi. 10.1002/rfe.1071
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Real earnings manipulation and future performance: A revisit using quarterly data of firms with debt covenants.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 76, doi. 10.1002/rfe.1070
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Financial statement change and equity risk.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 63, doi. 10.1002/rfe.1069
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Issue Information.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 1, doi. 10.1002/rfe.1065
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Sustainable economic growth in the European Union: The role of ICT, venture capital, and innovation.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 34, doi. 10.1002/rfe.1064
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Modeling the time varying volatility of housing returns: Further evidence from the U.S. metropolitan condominium markets.
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- Review of Financial Economics, 2020, v. 38, n. 1, p. 24, doi. 10.1002/rfe.1063
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