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We present a regression-based generalization of the calendar time portfolio approach which allowsfor the inclusion of continuous and multivariate investor or firm characteristics in the analysis. Ourmethod is simple to apply and it ensures that the statistical results are heteroscedasticity...
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This paper investigates the impact of individual bank fundamental variables on stock market returns using data from a panel of 235 European banks from 1991 to 2005. The sample period marks a significant transition in the European banking sector, characterized by higher competition, lower profit...
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Gewandelte ökonomische und demografische Rahmenbedingungen haben zu einer anhaltenden Diskussion über die Krise deutscher und europäischer Sozialstaatlichkeit geführt. Ausgehend von der Analyse der Krisensymptome diskutieren die AutorInnen Probleme und Reformansätze in wichtigen Feldern der...
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