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This paper investigates how economic policy uncertainty affects firms' frequency and their choice of financial instruments to raise capital. By applying a three-step sequential framework over a sample of 6834 publicly listed US non-financial firms, we find that during periods of high economic...
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This article develops a basic typological framework for understanding and analyzing financial risk from a political economy perspective. It is motivated by growing awareness of the contemporary significance of financial risk and by the fact that the political-economic literature on such risk...
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The global financial crisis of 2007/2008 was the painful peak of a decade of "financial euphoria" and inadequate financial re-regulation in the advanced economies. However, during that period of "financial euphoria", the structure of the developed financial systems in the EU varied...
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