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Kapitaleinkommen
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56
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43
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41
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37
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36
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27
Warnock, Francis E.
27
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26
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25
Pástor, Ľuboš
24
Titman, Sheridan
24
Guidolin, Massimo
23
Lakonishok, Josef
23
Ang, Andrew
22
Curcuru, Stephanie E.
22
Wohar, Mark E.
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Guo, Hui
21
Hodrick, Robert J.
21
Lettau, Martin
21
Poterba, James M.
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Timmermann, Allan
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Ferson, Wayne E.
20
Harvey, Campbell R.
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Goetzmann, William N.
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Moskowitz, Tobias J.
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Zhang, Xiaoyan
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Yılmaz, Kamil
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Chernov, Mikhail
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Koijen, Ralph S. J.
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Lamont, Owen A.
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Spagnolo, Nicola
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112
Journal of financial economics
106
Journal of banking & finance
96
The journal of real estate finance and economics
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International review of financial analysis
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Finance research letters
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Applied economics
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Journal of international financial markets, institutions & money
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The European journal of finance
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The journal of futures markets
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ECONIS (ZBW)
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1
U.S. Analyst
Regulation
and the Earnings Forecast Bias Around the World
Hovakimian, Armen
-
2019
We examine the spillover effects of the Global Analyst Research Settlement (or Global Settlement) on analysts' earnings forecasts in 40 developed and emerging markets. Prior to the Global Settlement, analysts generally made overly optimistic forecasts, this bias tending to be higher in countries...
Persistent link: https://www.econbiz.de/10012905642
Saved in:
2
Stock Market Returns, Corporate Governance and Capital Market Equilibrium
Parigi, Bruno Maria
-
2014
This paper analyzes why corporate governance matters for stock returns if the stock market prices the underlying managerial agency problem correctly. Our theory assumes that strict corporate governance prevents managers from diverting cash flows, but reduces incentives for managerial effort. In...
Persistent link: https://www.econbiz.de/10013063851
Saved in:
3
Stock Market Returns, Corporate Governance and Capital Market Equilibrium
Parigi, Bruno Maria
;
Pelizzon, Loriana
;
von Thadden, …
-
2021
This paper proposes a theoretical model that incorporates corporate governance into the basic CAPM, where corporate governance affects the disutility of managerial effort and the possibility of managers to divert company resources. It shows that corporate governance affects firms’ stock...
Persistent link: https://www.econbiz.de/10013315674
Saved in:
4
Bank contribution to financial sector systemic risk and expected returns : evidence from large U.S. banks
Usman, Muhammad
- In:
Borsa Istanbul Review
23
(
2023
)
1
,
pp. 203-216
We estimate the contribution of large U.S, banks to the financial sector systemic risk by using value-at-risk (VaR ), conditional value-at-risk (CoV aR ), and two-stage least square (2SLS) methodology, Our sample is the monthly stock returns of 25 large U.S, banks from 1997 to 2021, We find that...
Persistent link: https://www.econbiz.de/10014307497
Saved in:
5
Bank of
Canada
communication, media coverage, and financial market reactions
Hayo, Bernd
;
Neuenkirch, Matthias
-
2010
We examine the impact of Bank of
Canada
communications and media reporting on them on Canadian (short- and medium … coverage is more relevant for the stock market. In general, media filtering does not play a prominent role. -- Bank of
Canada
…
Persistent link: https://www.econbiz.de/10003980577
Saved in:
6
Economic foundations of capital market returns
Singer, Brian D.
;
Terhaar, Kevin
-
1997
Persistent link: https://www.econbiz.de/10001425903
Saved in:
7
The cross-sectional determinants of corporate capital expenditures: a multinational comparison
Welch, Ivo
;
Wessels, David
- In:
Schmalenbach business review : sbr
52
(
2000
)
2
,
pp. 103-136
Persistent link: https://www.econbiz.de/10001482162
Saved in:
8
Election outcomes and financial market returns in
Canada
Chrétien, Stéphane
;
Coggins, Frank
- In:
The North American journal of economics and finance : a …
20
(
2009
)
1
,
pp. 1-23
Persistent link: https://www.econbiz.de/10003878084
Saved in:
9
Triumph of the optimists : 101 years of global investment returns
Dimson, Elroy
;
Marsh, Paul
;
Staunton, Mike
-
2009
.K., Japan, France, Germany,
Canada
, Italy, Spain, Switzerland, Australia, the Netherlands, Sweden, Belgium, Ireland, Denmark …
Persistent link: https://www.econbiz.de/10014488074
Saved in:
10
A no-arbitrage analysis of macroeconomic determinants of term structures and the exchange rate
Chabi-Yo, Fousseni
(
contributor
);
Yang, Jun
(
contributor
)
-
2007
We study the joint dynamics of macroeconomic variables, bond yields, and the exchange rate in an empirical two-country New-Keynesian model complemented with a no-arbitrage term structure model. With Canadian and US data, we are able to study the impact of macroeconomic shocks from both countries...
Persistent link: https://www.econbiz.de/10003462987
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