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This paper investigates the market reaction to earnings announcements in public family firms and whether this type of announcements affect firm's return, liquidity and cost of capital, providing also evidence on whether family businesses differ from non-family ones in what concerns the earnings...
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We examine 22 determinants of stock market correlations in a panel setting with 651 country pairs of developed economies over the 2001-2018 period, while accounting for model uncertainty and reverse causality. On the one hand, we find, that a number of determinants, well established in the...
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This study examines the influence of financial development variables on the Composite Stock Price Index (CSPI) in Emerging Market Countries. This study uses secondary data obtained from the International Monetary Fund and Yahoo Finance, with an annual data period of 2000–2020. Panel data...
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