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1341.
Asymmetric benchmarking in compensation: executives are rewarded for good luck but not penalized for bad by
Material type: Text Text; Format: print ; Literary form: Not fiction
Publication details: 2006
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  • J4837
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1342.
Estimation of continuous-time models with an application to equity volatility dynamics by
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Publication details: 2006
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  • J4837
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1343.
Market transparency, liquidity externalities, and institutional trading costs in corporate bonds by
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Publication details: 2006
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  • J4837
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1344.
The Conditional CAPM does not explain asset-pricing anomalies by
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Publication details: 2006
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1345.
The Other January effect by
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Publication details: 2006
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1346.
Tunneling, propping, and expropriation: evidence from connected party transactions in Hong Kong by
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1347.
Predicting stock returns by
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1348.
Asset pricing with unforeseen contingencies by
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1349.
Competition and cooperation among exchanges: a theory of cross-listing and endogenous listing standards by
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  • J4837
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1350.
Profitability, investment and average returns by
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1351.
Capital structure, credit risk, and macroeconomic conditions by
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1352.
Financing decisions when managers are risk averse by
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1353.
Entry regulation as a barrier to entrepreneurship by
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1354.
A Liquidity-augmented capital asset pricing model by
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1355.
Do a firm's equity returns reflect the risk of its pension plan? by
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Publication details: 2006
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  • J5172
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1356.
Efficient tests of stock return predictability by
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1357.
Was there a Nasdaq bubble in the late 1990s? by
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1358.
Cross-sectional forecasts of the equity premium by
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  • J5172
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1359.
On the role of arbitrageurs in rational markets by
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  • J5172
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1360.
The Economic consequences of increased disclosure: evidence from international cross-listings by
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Publication details: 2006
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  • J5172
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