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The Value of Diversification during the Conglomerate Merger Wave.. (1996). Servaes, Henri.
In: Journal of Finance.
RePEc:bla:jfinan:v:51:y:1996:i:4:p:1201-25.

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  2. The performance of bidding companies in merger and acquisition deals: An empirical study of domestic acquisitions in Hong Kong and Mainland China. (2023). Gregoriou, Andros ; Benjasak, Chonlakan ; Chen, Yawen ; Ahmed, Rizwan ; Than, Ei Thuzar ; Falah, Nusiebeh Nahar.
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  7. Evaluating the profitability and marketability efficiency of group?affiliated vis?à?vis nonaffiliated firms: A study on Indian manufacturing firms. (2022). Sahoo, Biresh K ; Bharati, Rupambika.
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  8. Effects of diversification on firm performance: an analysis of Indian firms. (2022). Chakraborty, Indrani ; Bose, Zinnia Mitra.
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  9. Review of the Literature on Merger Waves. (2022). Chung, Chuneyoung ; Cho, Sangjun.
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  10. Can information asymmetry explain both the post-merger value and the announcement discount in M&As?. (2022). Alhenawi, Yasser ; Hassan, Kabir M.
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  14. Dissecting Conglomerate Valuations. (2022). Simutin, Mikhail ; Duchin, Ran ; Boguth, Oliver.
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  15. Corporate Governance and Cash Holding: New Insights from Concentrated and Competitive Industries. (2021). Cismaș, Laura ; Badulescu, Daniel ; Shah, Idrees Ali ; Khan, Farman Ullah ; Nouman, Muhammad ; Ali, Syed Zulfiqar.
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  17. How does economic policy uncertainty affect corporate diversification?. (2021). Zhang, Hailiang ; Nguyen, Cuong ; Hoang, Khanh.
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  18. Geographic diversification and credit supply in times of trouble: Evidence from microlending. (2021). Castellani, Davide ; Afonso, Joana Silva.
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  20. Using machine learning to revisit the diversification–performance relationship. (2021). Tabakovic, Haris ; Menon, Anoop ; Choi, Jaeho.
    In: Strategic Management Journal.
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  23. Determinants of IPO-firms’ merger appetite. (2020). Bade, Marco.
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  24. Does Geographical Complexity of Colombian Financial Conglomerates Increase Banks’ Risk? The Role of Diversification, Regulatory Arbitrage and Funding Costs. (2020). Pacheco, Beatriz ; Murcia, Andres ; Morales-Acevedo, Paola ; Cardozo, Pamela.
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  25. Disappearing Discounts: Hedge Fund Activism in Conglomerates. (2020). Kim, Sehoon.
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  26. Does Korean-style management have a future?. (2020). Hemmert, Martin.
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  27. Corporate Diversification and the Cost of Debt. (2020). Yonder, Erkan ; Eichholtz, Piet ; Demirci, Irem.
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  28. Bank Diversification and Focus in Disruptive Times: China, 2007–2018. (2020). Tortosa-Ausina, Emili ; Wu, Minzhi.
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  29. Committed Diversification: Why Authenticity Insulates Against Penalties for Diversification. (2020). Ha, Jaekyung ; Hahl, Oliver.
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  30. Innovation as the Backbone of Sustainable Development Goals. (2020). Fernandez-Ucles, Domingo ; Bernal-Jurado, Enrique ; Mozas-Moral, Adoracion ; Medina-Viruel, Miguel Jesus.
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  32. Regional diversification and financial performance through an excess-capacity theory lens: A new explanation for mixed results. (2020). Spraakman, Gary ; Askarany, Davood.
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  34. Capital structure and corporate diversification: Is debt a panacea for the diversification discount?. (2020). de la Fuente, Gabriel ; Velasco, Pilar.
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  37. Does Geographical Complexity of Colombian Financial Conglomerates Increase Banks Risk? The Role of Diversification, Regulatory Arbitrage and Funding Costs. (2020). Murcia, Andrés ; Cardozo, Pamela ; Pacheco, Beatriz ; Morales-Acevedo, Paola.
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  42. Family succession and business diversification: Evidence from China. (2019). Chi, Hsin-Yi ; Weng, Tzu-Ching .
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  43. Does diversification help improve the performance of coal companies? Evidence from Chinas listed coal companies. (2019). Cui, Tao ; Li, Chong-Mao ; Shan, Yuli ; Lin, Han ; Nie, Rui.
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  44. Valuation effects of overconfident CEOs on corporate diversification and refocusing decisions. (2019). Koursaros, Demetris ; Doukas, John A ; Andreou, Panayiotis C ; Louca, Christodoulos.
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  45. What do mean impacts miss? Distributional effects of corporate diversification. (2019). Xu, Lan ; Xiao, Zhijie.
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  47. Does corporate diversification reduce value in high technology firms?. (2018). Park, Jungchul ; Pan, Liu ; Borah, Nilakshi ; Shao, Nan.
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  48. Foreign currency risk hedging and firm value in China. (2018). Luo, Hang ; Wang, Rui.
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  49. Heterogeneous beliefs and diversification discount. (2018). Tong, Zhuoyuan ; Wei, XU.
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  51. The cost of capital effect of M&A transactions: Disentangling coinsurance from the diversification discount. (2018). Bielstein, Patrick ; Kaserer, Christoph ; Fischer, Mario.
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  52. A unified theory of forward‐ and backward‐looking M&As and divestitures. (2018). Ma, Qing ; Wang, Susheng.
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  53. Diversification Versus Strategic Focus: Evidence from Insurance Intermediaries in Taiwan. (2017). Peng, Jin Lung ; Tzeng, Larry Y ; Wang, Jennifer L ; Ru, Lih .
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  54. Value creation and the probability of success in merger and acquisition transactions. (2017). Stilwell, Martha ; Alhenawi, Yasser.
    In: Review of Quantitative Finance and Accounting.
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  55. Misvaluation and Financial Constraints: Method of Payment and Buyer Identity in Mergers & Acquisitions. (2017). Berg, Aron.
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  56. Effects of business diversification on asset risk-taking: Evidence from the U.S. property-liability insurance industry. (2017). Che, Xin ; Liebenberg, Andre P.
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  76. Long-term impact of merger synergies on performance and value. (2015). Krishnaswami, Sudha ; Alhenawi, Yasser.
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  77. Should you globally diversify or let the globally diversified firm do it for you?. (2015). Farooqi, Javeria ; Ngo, Thanh ; Huerta, Daniel .
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  78. Corporate diversification and firm value during economic downturns. (2015). Smith, Garrett C. ; Volkov, Nikanor I..
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  79. Bank loan contracting and corporate diversification: Does organizational structure matter to lenders?. (2015). aivazian, varouj ; Qiu, Jiaping ; Rahaman, Mohammad M..
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  80. Global diversification and IPO returns. (2015). Wang, Xiao ; Zhang, Yilei ; Mauer, David C.
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  81. Diversification discount over the long run: New perspectives. (2015). Mazur, Mieszko ; Zhang, Shage .
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  82. A trade-off in corporate diversification. (2015). Paudyal, Krishna ; Ekkayokkaya, Manapol .
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  83. Changes in underwriters selection of comparable firms pre- and post-IPO: Same bank, same company, different peers. (2015). Vismara, Silvio ; Paleari, Stefano ; Signori, Andrea.
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  84. Examining a key corporate role: The influence of capital allocation competency on business unit performance. (2015). Arrfelt, Mathias ; G. Tomas M. Hult, ; McNamara, Gerry ; Wiseman, Robert M..
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  85. Diversification strategy, Ownership Structure, and Firm Value: a study of public‐listed firms in Indonesia. (2014). Hooy, Chee-Wooi ; Brahmana, Rayenda ; Setiawan, Doddy.
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  87. Mountain or molehill? Downward biases in the conglomerate discount measure. (2014). Schwetzler, Bernhard ; Rudolph, Christin .
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  88. Do Family Owners Use Firm Hedging Policy to Hedge Personal Undiversified Wealth Risk?. (2014). Kim, Chansog ; Park, Jung Chul ; Pantzalis, Christos.
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  89. Corporate Diversification, Group Affiliation and Firm Value: Evidence From Turkey. (2014). Selcuk, Elif Akben.
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  92. Centralized versus Decentralized External Financing, Winner Picking and Corporate Socialism. (2013). Loffler, Clemens ; Pfeiffer, Thomas.
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  93. The Two Faces of Interbank Correlation. (2013). Wagner, W B ; Silva, C F ; Schaeck, K.
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  94. The Two Faces of Interbank Correlation. (2013). Wagner, W B ; Silva, C F ; Schaeck, K.
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  95. The Two Faces of Interbank Correlation. (2013). Wagner, Wolf ; Silva Buston, Consuelo ; Schaeck, Klaus ; Silva Buston, C. F., .
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  96. The Relationship Between Diversification Strategy and Organizational Performance in Developed and Emerging Economy Contexts: Evidence from Turkey and Netherlands. (2013). Behram, Nihal Kartaltepe ; Yigit, Ihsan .
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  97. The Great Pyramids of America: A Revised History of US Business Groups, Corporate Ownership and Regulation, 1930-1950. (2013). Morck, Randall ; Kosenko, Konstantin ; Kandel, Eugene ; Yafeh, Yishay .
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  98. Corporate diversification and firm value: a survey of recent literature. (2013). Hartmann-Wendels, Thomas ; Erdorf, Stefan ; Heinrichs, Nicolas ; Matz, Michael .
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  99. THE FINANCIAL CHARACTERISTICS OF U.S. COMPANIES ACQUIRED BY FOREIGN COMPANIES. (2013). Uygur, Ozge ; Meric, Ilhan .
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  100. Diversification and heterogeneity of investor beliefs. (2013). Yan, AN ; Jiao, Jie ; Qiu, Bin.
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  101. Asset sales in the mutual fund industry: Who gains?. (2013). Chen, Fan ; Slovin, Myron B. ; Sanger, Gary C..
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  102. Foreign currency derivative use and shareholder value. (2013). Clark, Ephraim ; Belghitar, Yacine ; Mefteh, Salma .
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  103. Business Groups in the United States: A Revised History of Corporate Ownership, Pyramids and Regulation, 1930-1950. (2013). Morck, Randall ; Kosenko, Konstantin ; Kandel, Eugene ; Yafeh, Yishay .
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  104. INTERNAL LABOR MARKETS AND INVESTMENT IN CONGLOMERATES. (2013). Silva, Rui.
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  105. Capital Market Development, Competition, Property Rights, and the Value of Insurer Product-Line Diversification: A Cross-Country Analysis. (2013). Hoyt, Robert E. ; Berry-Stolzle, Thomas R. ; Wende, Sabine .
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  106. RESPONSIBLE DIVERSIFICATION: KNOWING ENOUGH ABOUT DIVERSIFICATION TO DO IT RESPONSIBLY: MOTIVES, MEASURES AND CONSEQUENCES. (2013). Alberto de Miguel Hidalgo, ; Ma. Belén Lozano García, ; Diana Monserrat Ríos Rodríguez, .
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  107. Does corporate diversication create value in south america? The chilean case.. (2012). Vieito, João paulo ; Maquieira, Carlos ; Espinosa, Christian .
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  108. Stability of sovereign risk in the Eurozone through the Lyapunov Exponent. (2012). Gorigoitia, Juan ; Espinosa, Christian ; Maquieira, Carlos ; Vieito, Joao Paulo .
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  109. Diversification and diffusion: A social networks and institutional perspective. (2012). Zhou, Nan ; Delios, Andrew.
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  110. The Valuation Effects of Geographic Diversification; Evidence From U.S. Banks. (2012). Levine, Ross ; Laeven, Luc ; Goetz, Martin R.
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  111. AN ANALYSIS OF THE DEGREE OF DIVERSIFICATION AND FIRM PERFORMANCE. (2012). Guo, Zheng-Feng ; Cao, Lingyan .
    In: The International Journal of Business and Finance Research.
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  112. How much of the diversification discount can be explained by poor corporate governance?. (2012). Schmid, Markus ; Hoechle, Daniel ; Walter, Ingo ; Yermack, David.
    In: Journal of Financial Economics.
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  113. Diversification and risk-adjusted performance: A quantile regression approach. (2012). Lee, BongSoo ; Li, Ming-Yuan Leon .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:7:p:2157-2173.

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  114. Corporate governance and capital allocations of diversified firms. (2012). Chen, I-Ju, .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:36:y:2012:i:2:p:395-409.

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  115. Credit ratings and excess value of diversification. (2012). Cheng, Jia-Chi ; Chou, Ting-Kai .
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:19:y:2012:i:2:p:266-281.

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  116. The value impact of international and industrial diversifications on public?listed firms in Malaysia. (2012). Hooy, Guat-Khim ; Lee, Kian-Tek.
    In: Emerging Markets Review.
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  117. Corporate Diversification and Firm Value: A Survey of Recent Literature. (2012). Matz, Michael ; Hartmann-Wendels, Thomas ; Erdorf, Stefan ; Heinrichs, Nicolas .
    In: Cologne Graduate School Working Paper Series.
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  118. Zur Notwendigkeit des Corporate Portfolio Management: Eine Würdigung der wissenschaftlichen Forschung der letzten vier Jahrzehnte. (2011). Nippa, Michael .
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  119. Can Corporate Diversification Promote Firm Value? A Survey. (2011). Banerjee, Rajabrata ; Dey, Tania .
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  120. The Valuation Effects of Geographic Diversification: Evidence from U.S. Banks. (2011). Levine, Ross ; Laeven, Luc ; Goetz, Martin.
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  121. Conglomerate Industry Choice and Product Differentiation. (2011). Phillips, Gordon ; Hoberg, Gerard .
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  122. Entrenched controlling shareholders and the performance consequences of corporate diversification in Taiwan. (2011). Tsai, Liu-Ching ; Hsu, Hui-Wen ; Young, Chaur-Shiuh.
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  123. Mergers & Acquisitions, Diversification and Performance in the U.S. Property-Liability Insurance Industry. (2011). Shim, Jeungbo.
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  124. DOES FIRM DIVERSIFICATION REPRESENT A VALUE ADDED FOR STOCKHOLDERS?. (2011). Otero-Serrano, Juan .
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  125. Revenue diversification in emerging market banks: implications for financial performance. (2011). Plihon, Dominique ; Ben Gamra, Saoussen .
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  126. Does corporate diversification by business groups create value? Evidence from Korean chaebols. (2011). Lee, Jang W. ; Kwon, Taek Ho ; Bae, Sung C..
    In: Pacific-Basin Finance Journal.
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  127. Is corporate governance important for regulated firms shareholders?: Evidence from Japanese mergers and acquisitions. (2011). Nogata, Daisuke ; Goto, Naohisa ; Uchida, Konari.
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  128. Is corporate governance important for regulated firms’ shareholders?. (2011). Nogata, Daisuke ; Goto, Naohisa ; Uchida, Konari.
    In: Journal of Economics and Business.
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  129. Operational synergy in the US electric utility industry under an influence of deregulation policy: A linkage to financial performance and corporate value. (2011). Goto, Mika ; Sueyoshi, Toshiyuki.
    In: Energy Policy.
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  130. Inefficient Investment and the Diversification Discount: Evidence from Corporate Asset Purchases. (2011). I-Ju Chen, .
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  131. Revenue diversification in emerging market banks: implications for financial performance. (2011). Ben Gamra, Saoussen ; Plihon, Dominique.
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  132. Firm value and the diversification choice: international evidence from global and industrial diversification. (2010). Nguyen Thi Anh Thu, ; Ferris, Stephen ; Sen, Nilanjan .
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  133. Diversificación y Desempeño en Sud América: Evidencia para Chile. (2010). Maquieira, Carlos ; Espinosa, Christian.
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  134. Long-term evolution of the firm value and behavior of business groups: Korean chaebols between weak premium, strong discount, and strong premium. (2010). Lee, Keun ; Kim, Ji Youn .
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  135. Economies of scope in financial services: A DEA efficiency analysis of the US insurance industry. (2010). Weiss, Mary ; Cummins, John ; Xie, Xiaoying ; Zi, Hongmin .
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  136. The effects of focus versus diversification on bank performance: Evidence from Chinese banks. (2010). Zhou, Mingming ; HASAN, IFTEKHAR ; Berger, Allen N..
    In: Journal of Banking & Finance.
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  137. Conglomerate investment under various capital market conditions. (2010). Yan, AN ; Yang, Zaihui ; Jiao, Jie .
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  138. The impact of conglomeration on the option value of equity. (2010). Grass, Gunnar .
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  139. Is the diversification discount caused by the book value bias of debt?. (2010). Glaser, Markus ; Muller, Sebastian.
    In: Journal of Banking & Finance.
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  140. Costly refocusing, the diversification discount, and the pervasiveness of diversified firms. (2010). Anjos, Fernando.
    In: Journal of Corporate Finance.
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  141. Mergers, Diversification and Financial Intermediation. (2010). Toxvaerd, Flavio.
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  142. Does diversification increase or decrease bank risk and performance? : Evidence on diversification and the risk-return tradeoff in banking. (2010). Korhonen, Iikka ; HASAN, IFTEKHAR ; Berger, Allen N ; Zhou, Mingming.
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  143. The effects of focus versus diversification on bank performance : Evidence from Chinese banks. (2010). HASAN, IFTEKHAR ; Berger, Allen N ; Zhou, Mingming.
    In: BOFIT Discussion Papers.
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  144. What Wall Street Wants - Exploring the Role of Security Analysts in the Evolution and Spread of Management Concepts. (2010). Nicolai, Alexander T. ; Thomas, Thomas W. ; Schulz, Ann-Christine .
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  145. Diversification, Refocusing and Firm Value. (2010). Olak, Gnl.
    In: European Financial Management.
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  146. Is Cartelisation Profitable? A Case Study of the Rhenish Westphalian Coal Syndicate, 1893-1913. (2009). Lubbers, Thorsten .
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  147. Do financial conglomerates create or destroy value? Evidence for the EU. (2009). Lelyveld, Iman ; van Lelyveld, Iman ; Knot, Klaas .
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  148. Aligning debt and equity claimant interests: Evidence from dual claim investors. (2009). Xu, Xijia .
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  149. The influence of national culture and institutional voids on family ownership of large firms: A country level empirical study. (2009). Chakrabarty, Subrata .
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  150. Core business concentration vs. corporate diversification in the US electric utility industry: Synergy and deregulation effects. (2009). Shang, Jennifer ; Sueyoshi, Toshiyuki ; Goto, Mika.
    In: Energy Policy.
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  151. Corporate Diversification and Firm Value: Evidence from Post-1997 Data-super-. (2009). He, XI.
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  152. Should Venture Capitalists Put All Their Eggs in One Basket? Diversification versus Pure-Play Strategies in Venture Capital. (2009). Knill, April.
    In: Financial Management.
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  153. Licht und Schatten zentralisierter Kapitalallokation: die Wirkung Interner Kapitalmärkte auf den Unternehmenswert. (2008). Eberl, Stephan .
    In: Hohenheimer Schriften: Rechnungswesen - Steuern - Wirtschaftsprüfung.
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  154. Geographic Diversification, Bank Holding Company Value, and Risk. (2008). Elyasiani, Elyas ; Deng, Saiying.
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  155. Merger momentum and market valuations: the UK evidence. (2008). Petmezas, Dimitris ; Antoniou, Antonios ; Guo, Jie.
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  156. What is the Value of Corporate Social Responsibility? An answer from Brazilian Sustainability Index. (2008). Junior, Jose L. R., .
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  157. Corporate governance and the governance of knowledge: rethinking the relationship in terms of corporate coherence. (2008). Ravix, Jacques-Laurent ; Krafft, Jackie.
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  158. Analysing the wealth effects of UK divestitures: An examination of domestic and international sales. (2008). Owen, Sian ; Yawson, Alfred ; Cao, Jack.
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  159. Do investors value smooth performance?. (2008). Rountree, Brian ; Weston, James P. ; Allayannis, George .
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  160. Who makes acquisitions? CEO overconfidence and the markets reaction. (2008). Malmendier, Ulrike ; Tate, Geoffrey .
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  161. Diversification to mitigate expropriation in the tobacco industry. (2008). Jansen, Ivo Ph., ; Stuart, Nathan V. ; Beneish, Messod D. ; Lewis, Melissa F..
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  162. Investment decisions and internal capital markets: Evidence from acquisitions. (2008). Doukas, John ; Kan, Ozgur B..
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  163. Does corporate international diversification destroy value? Evidence from cross-border mergers and acquisitions. (2008). Miller, Darius P. ; Errunza, Vihang R. ; Dos Santos, Marcelo B., .
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  164. Does corporate diversification exacerbate or mitigate earnings management?: An empirical analysis. (2008). Kim, Young ; Jiraporn, Pornsit ; Mathur, Ike.
    In: International Review of Financial Analysis.
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  165. Multiple directorships and corporate diversification. (2008). Kim, Young ; Jiraporn, Pornsit ; Davidson, Wallace N..
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  166. Diversification, Productivity, and Financial Constraints Empirical Evidence from the US Electric Utility Industry. (2008). Low, Angie ; Goto, Mika ; Makhija, Anil K..
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  167. Do financial conglomerates create or destroy value? Evidence for the EU. (2008). Lelyveld, Iman.
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  168. Effects of Corporate Diversification: Evidence From the Property-Liability Insurance Industry. (2008). Liebenberg, Andre P. ; Sommer, David W..
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  169. Organizational Form and the Economic Impact of Corporate New Product Strategies. (2008). Chen, Shengsyan.
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  170. Tracking Stock or Spin-Off? Determinants of Choice. (2008). Danielova, Anna.
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  171. An Empirical Analysis of the Stockholder-Bondholder Conflict in Corporate Spin-Offs. (2008). Veld-Merkoulova, Yulia.
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  172. Corporate diversification, vertical integration, and internal capital markets: A cross-country study. (2007). Shackman, Joshua D.
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  173. Leverage, managerial monitoring and firm valuation: A simultaneous equation approach. (2007). Ghosh, Saibal.
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  174. Is there a diversification discount in financial conglomerates?. (2007). Levine, Ross ; Laeven, Luc.
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  175. CEO overconfidence, CEO dominance and corporate acquisitions. (2007). Sarma, Neal ; Brown, Rayna .
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  177. Analyzing joint ventures as corporate control activity. (2007). Sushka, Marie E. ; Mantecon, Tomas P. ; Slovin, Myron B..
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  178. Corporate use of derivatives and excess value of diversification. (2007). Lin, Barry J. ; Park, Jung Chul ; Pantzalis, Christos.
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  179. Bidder Gains and Losses of Firms Involved in Many Acquisitions. (2007). Petmezas, Dimitris ; Antoniou, Antonios ; Zhao, Huainan.
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  180. Acquisitions, Overconfident Managers and Self-attribution Bias. (2007). Petmezas, Dimitris ; Doukas, John.
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  183. Risk and wealth effects of U.S. firm joint venture activity. (2006). Ferris, Stephen P ; Hulburt, Heather ; Denning, Karen C.
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  184. Der Diversification Discount in Deutschland : existiert ein Bewertungsabschlag für diversifizierte Unternehmen?. (2006). Glaser, Markus ; Muller, Sebastian.
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  185. Confidence in Imitation: Niche-Width Strategy in the UK Automobile Industry. (2006). Han, Joon ; Kim, Young-Choon ; Rhee, Mooweon.
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  186. Valuation Biases, Error Measures, and the Conglomerate Discount. (2006). Dittmann, Ingolf ; Maug, E. G..
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  187. Risk and wealth effects of U.S. firm joint venture activity. (2006). Hulburt, Heather ; Ferris, Stephen P. ; Denning, Karen C..
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  188. Corporate governance, shareholder rights and firm diversification: An empirical analysis. (2006). Kim, Young ; Jiraporn, Pornsit ; Singh, Manohar ; Davidson, Wallace N..
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  189. Domestic or international: Divestitures in Australian multinational corporations. (2006). Owen, Sian ; Yawson, Alfred .
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  190. The effect of agency costs on the value of single-segment and multi-segment firms. (2006). Thornton, John ; Tang, Charles ; Wynne, Kevin ; Nam, Jouahn .
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  191. Mergers and CEO power. (2006). Balmaceda, Felipe.
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  192. Firm Investment and Financial Frictions. (2006). Talavera, Oleksandr ; Caglayan, Mustafa ; Baum, Christopher.
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  193. Value of Conglomerates and Capital Market Conditions. (2006). Yan, AN.
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  194. Diversification, propping and monitoring: Business groups, firm performance and the Indian economic transition. (2005). Sarkar, Jayati ; Kali, Raja .
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  195. The Conglomerate Discount in Germany and the Relationship to Corporate Governance. (2005). Weiner, Christian.
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  196. The governance of innovative firms: an evolutionary approach. (2005). Ravix, Jacques-Laurent ; Krafft, Jackie.
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  197. Reallocation of corporate resources and managerial incentives in internal capital markets. (2005). Brusco, Sandro ; Panunzi, Fausto.
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  198. Diversification, Propping and Monitoring - Business Groups, Firm Performance and the Indian Economic Transition. (2005). Sarkar, Jayati ; Kali, Raja .
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  199. Is There a Diversification Discount in Financial Conglomerates?. (2005). Levine, Ross ; Laeven, Luc.
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  200. Who Makes Acquisitions? CEO Overconfidence and the Markets Reaction. (2004). Malmendier, Ulrike ; Tate, Geoffrey .
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  201. Two Faces: Effects of Business Groups on Innovation in Emerging Economies. (2004). Mahmood, Ishtiaq P. ; Mitchell, Will.
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  202. Internal capital markets and investment policy: evidence from corporate spinoffs. (2004). Ahn, Seoungpil ; Denis, David J..
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  203. Business groups: entry barrier-innovation debate revisited. (2004). Lee, Chang-Yang ; Mahmood, Ishtiaq P..
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  204. The determinants of positive long-term performance in strategic mergers: Corporate focus and cash. (2004). Nail, Lance ; Morgan, Angela ; Megginson, William L..
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  205. Financial accounting information, organizational complexity and corporate governance systems. (2004). Smith, Abbie ; Bushman, Robert ; Chen, QI ; Engel, Ellen .
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  206. Can Diversification Create Value? Evidence from the Electric Utility Industry. (2004). Makjija, Anil K. ; Jandik, Tomas.
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  207. Governance and Performance Implications of Diversification Strategies: Evidence from Large U.S. Firms. (2004). Gleason, Kimberly C. ; Mathur, Ike ; Singh, Manohar .
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  208. THE FARM DIVERSIFICATION DISCOUNT. (2004). Katchova, Ani.
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  209. International Evidence on Financial Derivatives Usage. (2003). Bartram, Söhnke ; Fehle, Frank R. ; Brown, Gregory W..
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  212. The Asian Crisis and Corporate Governance: Ownership Structure, Debt Financing, and Corporate Diversification. (2003). Hanazaki, Masaharu ; Liu, Qun.
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  213. Corporate diversification strategies and capital structure. (2003). Suchard, Jo-Ann ; Davidson, Wallace III ; Singh, Manohar .
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  216. The costs (and benefits?) of diversified business groups: The case of Korean chaebols. (2003). Kim, Kenneth ; Ferris, Stephen P. ; Kitsabunnarat, Pattanaporn .
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  217. Corporate diversification and shareholder value: a survey of recent literature. (2003). Sayrak, Akin ; Martin, John D..
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  222. The problems of corporate governance in Russia and its regions. (2002). Turuntseva, Marina ; Radygin, Alexander ; Entov, Revold ; Minden, Karen ; Carruthers, Jeff ; Swain, Harry ; Gontmakher, Alena ; Urban, Cheryl.
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  233. The Pattern and Valuation Effects of Corporate Diversification: A Comparison of the United States, Japan, and other East Asian Economies. (2001). Djankov, Simeon ; Claessens, Stijn ; Fan, Joseph P. H., ; Lang, Larry H. P., .
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  244. The determinants of corporate divestment in the UK. (2000). wright, mike ; Haynes, Michelle ; Thompson, Steve.
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