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Drawing upon rationales from the theories of investment and consumption under uncertainty and the models of sectoral reallocation, we assess the implications of industry-level stock returns volatility for the future state of the Australian economy in terms of real Gross Domestic Product (GDP)...
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Recent empirical studies on stock misvaluation as a possible determinant of mergers are inconclusive concerning the central hypothesis that over(under)valuation is negatively (positively) associated with merger announcement returns in stock mergers, but not in cash mergers. We provide empirical...
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