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-country differences in the market risk premium volatility. We use the vector-autoregressive and implied cost of capital methods to extract …, countries with better information environments tend to experience a lower risk premium volatility, even after controlling for … that the information environment plays an important role in explaining the market risk premium volatility …
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We examine the relation between the shareholder base and payout policy. Consistent with the idea that the shareholder base is related to the cost of external financing we find that fi rms with small shareholder bases have lower payout levels and maintain higher cash holdings. We show that...
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