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Transparency, Governance and Markets Book

Transparency, Governance and Markets
Transparency, Governance and Markets, Theoretical and empirical research of these last decades is working on the positive and normative side in order to deepen its understanding of financial market dynamics and to tackle new and old challenges with the ambitious goal of limiting fragilities a, Transparency, Governance and Markets has a rating of 3 stars
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Transparency, Governance and Markets, Theoretical and empirical research of these last decades is working on the positive and normative side in order to deepen its understanding of financial market dynamics and to tackle new and old challenges with the ambitious goal of limiting fragilities a, Transparency, Governance and Markets
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  • Transparency, Governance and Markets
  • Written by author Michele Bagella
  • Published by Emerald Group Publishing, June 2006
  • Theoretical and empirical research of these last decades is working on the positive and normative side in order to deepen its understanding of financial market dynamics and to tackle new and old challenges with the ambitious goal of limiting fragilities a
  • Theoretical and empirical research of these last decades is working on the positive and normative side in order to deepen its understanding of financial market dynamics and to tackle new and old challenges with the ambitious goal of limiting fragilities a
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Authors

1. Theoretical explanations of why banks promise to pay par on demand (G.P. Dwyer,Jr., M. Samartin). 2. Productivity and efficiency measurement using parametric ecometric methods (S.C. Kumbhakar ). 3. Firm, market and strategic factors in venture capital exits (D.J. Cumming, J.G. Macintosh). 4. Financial development, inflation uncertainty and growth volatility (R. Lensink , B. Scholtens). 5. Mathematical characterization of behavioral market dynamics: from stylized agents to aggregate price processes (G. Susinno , M. Bagella, R. Ciciretti). 6. Conditional asset pricing model: an application to the Korean stock market (J.R. Norsworthy, S. Choi, R. Gorener). 7. Dividend policy of bank initial public offerings (W. Bessler , J.P. Murtagh, D.D. Siregar). 8. Financial sector development and economic growth: re-examining the nexus (G. Mavrotas , S-I Son). 9. The (corporate) equity risk premium/ (corporate) bond risk premium nexus in the US market (L. Becchetti, A. Carpentieri, R. Ciciretti, N. Solferino). 10. Asset and default correlations between non-financial corporations: evidence from the Italian stock market (C. Zazzara , Z. Rotondi). 11. Margin requirements with intraday dynamics (J. Cotter, F. Longin). 12. Non-parametric techniques to validate credit classification models: an empirical analysis ( S. Borra, S. Caiazza, S. Di Giacomo). 13. Transparency, institutional framework and capital structure: international evidence from industry data ( N. Utrer-González ). 14. Combating black money: international cooperation and the G8's role (D. Masciandaro). 15. Networks and stock market integration: empirical evidence (I. Hasan, H. Schmiedel).


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