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Institutional investment patterns and corporate financial behavior in the U.S. and Japan. (1990). Prowse, Stephen D..
In: Finance and Economics Discussion Series.
RePEc:fip:fedgfe:108.

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  1. Does accountability audit of natural resource promote corporate environmental performance? An external supervision perspective. (2023). Han, Jie ; Liu, Rong ; Jiang, Cailou.
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  2. Accounting Frauds and Main-Bank Monitoring in Japanese Corporations. (2022). Sakawa, Hideaki ; Watanabel, Naoki.
    In: Journal of Business Ethics.
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    In: Asian Business & Management.
    RePEc:pal:abaman:v:19:y:2020:i:4:d:10.1057_s41291-019-00067-1.

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  5. Main bank relationship and accounting conservatism: evidence from Japan. (2020). Sakawa, Hideaki ; Watanabel, Naoki.
    In: Asian Business & Management.
    RePEc:pal:abaman:v:19:y:2020:i:1:d:10.1057_s41291-019-00071-5.

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  6. Bank development, competition, and entrepreneurship: International evidence. (2020). Gonzalez, Francisco.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:56:y:2020:i:c:s1042444x20300311.

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  7. The Preferences of Non-governmental Organizations to Sustainable Investment: Evidence From Emerging Equity Market. (2019). Tangjitprom, Nopphon ; Aribawa, Dwitya.
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  8. Relationships Matter: the Impact of Bank-Firm Relationships on Mergers and Acquisitions in Japan. (2019). French, Joseph ; Yasuda, Yukihiro ; Yan, Juxin .
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  14. Institutions and Capital Structure: The Case of Chinese Property Firms. (2018). Chau, Kwong Wing ; Wong, Siu Kei ; Deng, Kuang Kuang.
    In: The Journal of Real Estate Finance and Economics.
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  18. Does Banks’ Corporate Control Lower Funding Costs? Evidence from US Banks’ Control Over Firms’ Voting Rights. (2017). santos, joao ; Wilson, Kristin E.
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  19. The role of banks in the governance of nonfinancial firms: Evidence from Europe. (2017). Zemzem, Ahmed ; Guesmi, Khaled ; Ftouhi, Khaoula.
    In: Research in International Business and Finance.
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  20. The role of banks in the governance of non-financial firms: Evidence from Europe. (2017). Guesmi, Khaled ; Ftouhi, Khaoula ; Zemzem, Ahmed .
    In: Research in International Business and Finance.
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  21. Does equity holding by main banks affect the earnings quality of client firms? Empirical evidence from Japan. (2017). Kojima, Koji ; Mitra, Ranjan Kumar ; Adhikary, Bishnu Kumar.
    In: Journal of Multinational Financial Management.
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  22. ORGANIZATION STRUCTURE AND CORPORATE DEMAND FOR REINSURANCE: THE CASE OF THE JAPANESE KEIRETSU. (2017). Yanase, Noriyoshi ; Limpaphayom, Piman.
    In: Journal of Risk & Insurance.
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  23. The influence of CEO power on agency costs in non-profit organisations: evidence from the global microfinance industry. (2016). Pascal, Daudi ; Mersland, Roy ; Beisland, Leif Atle.
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  24. Mutual Fund Activism and Market Regulation During the Pre-IFRS Period: The Case of Earnings Informativeness in China from an Ethical Perspective. (2016). Wu, Zhenyu ; Jia, Chunxin ; Ding, Shujun.
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  25. Banks Equity Stakes and Lending : Evidence from a Tax Reform. (2016). Foos, Daniel ; von Beschwitz, Bastian.
    In: International Finance Discussion Papers.
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  26. Unconventional monetary policy and aggregate bank lending: Does financial structure matter?. (2016). Wang, Ling.
    In: Journal of Policy Modeling.
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  27. Market Imperfections and Optimal Capital Structure: Evidence from Indian Panel Data. (2015). .
    In: Global Business Review.
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  28. Market liquidity and bank-dominated corporate governance: Evidence from Japan. (2014). Watanabel, Naoki ; Sakawa, Hideaki ; Ubukata, Masato.
    In: International Review of Economics & Finance.
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  29. The value of multinationality and business group for Japanese firms. (2014). Landi, James A. ; Hiraki, Takato ; Choi, Jongmoo Jay .
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  30. Determinants of capital structure of Indian corporate sector: Evidence of regulatory impact. (2013). Rajeev, Meenakshi ; Basu, Kaushik.
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  31. Equity Investment Regulation and Bank Risk: Evidence from Japanese Commercial Banks. (2012). Konishi, Masaru.
    In: Working Paper Series.
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  32. Understanding the rise and decline of the Japanese main bank system: The changing effects of bank rent extraction. (2012). Wu, Xueping ; Yao, Jun.
    In: Journal of Banking & Finance.
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  33. Ownership Structure and the Cost of Debt. (2011). Garcia-Meca, Emma ; Sanchez-Ballesta, Juan Pedro.
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  34. Concentrated Ownership, No Dividend Payout Requirement and Capital Structure of REITs: Evidence from Turkey. (2011). Erol, Isil ; Tirtiroglu, Dogan.
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  35. Institutional Investors Heterogeneity And Earnings Management: The R&D Investment Strategy. (2011). Rebai, Iskandar.
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  36. BANK RELATIONSHIPS AND CORPORATE GOVERNANCE: A SURVEY OF THE LITERATURE FROM THE PERSPECTIVE OF SMES. (2010). Augusto, Mário ; Antonio Pedro Soares Pinto, ; Gama, Pedro M..
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  37. Auditor Conservatism, Abnormal Accruals, and Going Concern Opinions. (2010). Muramiya, Katsuhiko ; Takada, Tomomi .
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  38. Managerial Ownership and Accounting Conservatism in Japan: A Test of Management Entrenchment Effect. (2010). Takada, Tomomi ; Shuto, Akinobu.
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  39. Callable Bonds Revisited. (2010). Banko, John C. ; Zhou, Lei.
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  40. Investor biases in Japan: Another pathology of Keiretsu. (2009). Ito, Akitoshi ; Hiraki, Takato .
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  41. Did governance fail universal banks? Moral hazard, risk taking, and banking crises in interwar Italy -super-1. (2009). Battilossi, Stefano.
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  42. Factors Influencing Individual Investor Behavior (The Case ofthe Karachi Stock Exchange). (2009). Iqbal, Athar ; Usmani, Sania .
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  43. Capital financing behaviour: evidence from firms listed on the Nairobi Stock Exchange. (2008). Ngugi, Rose.
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  44. Intraboard heterogeneity and the role of bank-dispatched directors in Japanese firms: An empirical study. (2008). Odagiri, Hiroyuki ; Saito, Takuji.
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  45. Capital Structure Choice in a Nascent Market: Evidence from Listed Firms in China. (2008). Tirtiroglu, Dogan ; Liu, Tong ; Bhabra, Harjeet S..
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  46. National Culture and the Composition and Leadership Structure of Boards of Directors. (2008). Harrison, Richard J ; Li, Jiatao.
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  47. Why do Japanese firms prefer multiple bank relationship? Some evidence from firm-level data. (2007). Sterken, Elmer ; Ogawa, Kazuo ; Tokutsu, Ichiro .
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  48. Determinants of stock option use by Japanese companies. (2006). Uchida, Konari.
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  51. Bank Equity Investments: Reducing Agency Costs or Buying Undervalued Firms? The Information Effects. (2006). Gonzalez, Francisco.
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  52. Ownership structure and innovation: is there a real link?. (2005). ORTEGA-ARGILES, RAQUEL ; Moreno, Rosina ; Caralt, Jordi.
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  54. Governance, control and coordination in network context: the cases of Japanese Keiretsu and Sogo Shosha. (2005). Todeva, Emanuela.
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  55. Bank Control and the Number of Bank Relations of Japanese Firms. (2005). Sterken, Elmer ; Ogawa, Kazuo ; Tokutsu, Ichiro .
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  57. Bank Relationship and Firm Performance: Evidence From Thailand Before the Asian Financial Crisis. (2004). Polwitoon, Sirapat ; Limpaphayom, Piman.
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  59. Explaining credit rating differences between Japanese and U.S. agencies. (2003). Moore, William T ; Shin, Yoon S.
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  60. Organizational Structure and Performance: Evidence From the Nonlife Insurance Industry in Japan. (2003). Lai, Gene C. ; Limpaphayom, Piman.
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