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  • Your search results: "Research in international business and finance"
Showing 1 - 20 results of 2,204 for search '"Research in international business and finance"', query time: 1.53s Narrow search
  • 1
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    Research in international business and finance
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    Holdings Uni Bonn
  • 2
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    Factors influencing the profitability of domestic and foreign commercial banks in the European Union
    by Pasiouras, Fotios   Kosmidou, Kyriaki Published in Research in international business and finance (2007)
    “...Using bank level data this paper examines how bank's specific characteristics and the overall banking environment affect the profitability of commercial...”
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  • 3
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    Determinants of bank efficiency during unstable macroeconomic environment: Empirical evidence from Malaysia
    by Sufian, Fadzlan Published in Research in international business and finance (2009)
    “...The present study investigates for the first time the efficiency of Malaysian banking sector around the Asian financial crisis 1997. The efficiency estimates...”
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  • 4
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    Dynamic relationship between exchange rate and stock price: Evidence from China
    by Zhao, Hua Published in Research in international business and finance (2010)
    “...The paper empirically analyzes the dynamic relationship between Renminbi (RMB) real effective exchange rate and stock price with VAR and multivariate...”
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  • 5
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    Estimating the technical and scale efficiency of Greek commercial banks: The impact of credit risk, off-balance sheet activities, and international operations
    by Pasiouras, Fotios Published in Research in international business and finance (2008)
    “...This paper uses data envelopment analysis (DEA) to investigate the efficiency of the Greek commercial banking industry over the period 2000–2004. Our results...”
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  • 6
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    A power GARCH examination of the gold market
    by Tully, Edel   Lucey, Brian M Published in Research in international business and finance (2007)
    “...This paper investigates macroeconomic influences on gold using the asymmetric power GARCH model (APGARCH) of [Ding, Z., Granger, C.W.J., Engle, R.F, 1993. Long...”
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  • 7
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    Equity market integration in emerging Balkan markets
    by Kenourgios, Dimitris   Samitas, Aristeidis Published in Research in international business and finance (2011)
    “...This paper examines long-run relationships among five Balkan emerging stock markets (Turkey, Romania, Bulgaria, Croatia, Serbia), the United States and three...”
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  • 8
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    Stock markets, banks, and economic growth: Empirical evidence from the MENA region
    by Naceur, Samy Ben   Ghazouani, Samir Published in Research in international business and finance (2007)
    “...Over the last four decades, a wide theoretical debate is concerned with the fundamental relationship between financial development and economic growth. Recent...”
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  • 9
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    The effect of board composition on the informativeness and quality of annual earnings: Empirical evidence from Greece
    by Dimitropoulos, Panagiotis E   Asteriou, Dimitrios Published in Research in international business and finance (2010)
    “...This study examines how the informational quality of annual accounting earnings, varies according to the size and composition of the board of directors of...”
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  • 10
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    Investor sentiment and calendar anomaly effects: A case study of the impact of Ramadan on Islamic Middle Eastern markets
    by Al-Hajieh, Heitham   Redhead, Keith   Rodgers, Timothy Published in Research in international business and finance (2011)
    “...The holy month of Ramadan is usually a time of celebration and renewal in Muslim countries. This paper examines whether or not this is reflected in positive...”
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  • 11
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    Capital structure in an emerging stock market: The case of India
    by Chakraborty, Indrani Published in Research in international business and finance (2010)
    “...This paper applies two alternative methods of estimation, viz., fully modified OLS (FMOLS) and generalized method of moments (GMM), to analyse the determinants...”
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  • 12
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    Stock market integration and volatility spillover: India and its major Asian counterparts
    by Mukherjee, Kedar nath   Mishra, Ram Kumar Published in Research in international business and finance (2010)
    “...Stock market integration and volatility spillover between India and its major Asian counterparties is studied. Apart from different degrees of correlations,...”
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  • 13
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    Comparative analysis on the effects of the Asian and global financial crises on precious metal markets
    by Morales, Lucía   Andreosso-O’Callaghan, Bernadette Published in Research in international business and finance (2011)
    “...The global financial crisis has vigorously struck major financial markets around the world, in particular in the developed economies since they have suffered...”
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  • 14
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    Testing stock market linkages for Poland and Hungary: A multivariate GARCH approach
    by Li, Hong   Majerowska, Ewa Published in Research in international business and finance (2008)
    “...This paper examines the linkages between the emerging stock markets in Warsaw and Budapest and the established markets in Frankfurt and the U.S. By using a...”
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  • 15
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    Commodity prices and inflation: Testing in the frequency domain
    by Ciner, Cetin Published in Research in international business and finance (2011)
    “...We provide evidence for a long term, positive relation between commodity prices and inflation. However, this is only detected when frequency dependency in the...”
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  • 16
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    The internationalization of Chinese companies: Firm characteristics, industry effects and corporate governance
    by Kling, Gerhard   Weitzel, Utz Published in Research in international business and finance (2011)
    “...A prominent issue in the internationalization of Chinese firms is that many are state-owned enterprises (SOEs) and that corporate governance in China is highly...”
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  • 17
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    Behavior of GCC stock markets and impacts of US oil and financial markets
    by Hammoudeh, Shawkat   Choi, Kyongwook Published in Research in international business and finance (2006)
    “...Within the vector-error correction (VEC) model, the short-run bilateral causal relationships among Gulf Cooperation Council's (GCC) weekly equity index returns...”
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  • 18
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    The informational efficiency and the financial crashes
    by Risso, Wiston Adrián Published in Research in international business and finance (2008)
    “...The evolution of the daily informational efficiency is measured for different stock market indices (Japanese, Malaysian, Russian, Mexican, and the US markets)...”
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  • 19
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    Russian transnationals and international investment paradigms
    by Kalotay, Kalman Published in Research in international business and finance (2008)
    “...This paper explores the main features of outward foreign direct investment by Russian transnational corporations – referred to as ‘eagle multinationals’ in the...”
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  • 20
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    Exchange-rate volatility and industry trade between the U.S. and Malaysia
    by Bahmani-Oskooee, Mohsen   Harvey, Hanafiah Published in Research in international business and finance (2011)
    “...Previous research that investigated the impact of exchange rate volatility on the trade flows of Malaysia concentrated only on the aggregate exports of...”
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