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Rational Capital Budgeting in an Irrational World. (1996). Stein, Jeremy.
In: Scholarly Articles.
RePEc:hrv:faseco:3708373.

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  1. Does Investor Sentiment Drive Corporate Green Innovation: Evidence from China. (2024). Chen, Jinlong ; Zhang, Xin ; Dong, LI.
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  2. Conditional Equity Premium and Aggregate Corporate Investment. (2023). Qiu, Buhui ; Guo, Hui.
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  3. Timeliness of technological innovation and decisions of IPO timing and pricing. (2023). Qiu, QI ; Liu, Duan ; Chen, Shou.
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  4. Dynamic asset (mis)pricing: Build-up versus resolution anomalies. (2023). OPP, CHRISTIAN ; Tamoni, Andrea ; Boons, Martijn ; van Binsbergen, Jules H.
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  5. Managerial market timing under credit risk: How do timed buybacks and stock issuances influence the value of long-term shareholders?. (2023). Vogt, Jan.
    In: Global Finance Journal.
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  6. Do controlling shareholders collude with their related large shareholders? Evidence of equity pledges and shareholding increases from China. (2023). Chen, Hanbin ; Jin, Tian ; Zhang, Hao.
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  10. Raising capital amid economic policy uncertainty: an empirical investigation. (2022). Ashraf, Dawood ; Bhatti, Ishaq M ; Khawaja, Mohsin.
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  11. Investor Sentiment and Stock Option Vesting Terms. (2022). Sanchez, Juan Manuel ; Keskek, Sami ; Huang, Shawn X.
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  12. Do Investor Overconfidence and Loss Aversion Drive Saudi Firm Market Performance? The Moderating Effect of Corporate Governance. (2022). Chebbi, Kaouther E ; Aljughaiman, Abdullah A.
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  13. Algorithmic trading and investment-to-price sensitivity. (2022). Rzayev, Khaladdin ; Huseynov, Fariz ; Aliyev, Nihad.
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  14. Financing anomaly, mispricing and cross-sectional return predictability. (2022). Ma, Yao ; Ye, Tao ; Yang, Baochen.
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  17. Non-state shareholders entering of state-owned enterprises and equity mispricing: Evidence from China. (2022). Yin, Xingqiang ; Yang, Xingquan ; Li, Wencong.
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  18. Kiss the baby for the nurses sake? - Guaranteeing employees stock purchase against loss program. (2022). Chiang, Yao-Min ; Cao, June ; Xiao, Mingfang.
    In: International Review of Financial Analysis.
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  19. Seasoned equity offerings and payout policy. (2022). Yost, Keven ; Walker, Mark D.
    In: Journal of Financial Research.
    RePEc:bla:jfnres:v:45:y:2022:i:3:p:695-718.

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  20. Presidential Address: Corporate Finance and Reality. (2022). Graham, John R.
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  21. Investor-Driven Corporate Finance: Evidence from Insurance Markets. (2022). Kubitza, Christian.
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  24. Investor-driven corporate finance: Evidence from insurance markets. (2021). Kubitza, Christian.
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  25. CAPM-Based Company (Mis)valuations. (2021). Goldstein, Itay ; Thesmar, David ; Otto, Clemens A ; Olivier, Jacques ; Dessaint, Olivier.
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    RePEc:oup:rfinst:v:34:y:2021:i:1:p:1-66..

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  26. Engaging Employees for the Long Run: Long-Term Investors and Employee-Related CSR. (2021). Petit-Romec, Arthur ; Garel, Alexandre.
    In: Journal of Business Ethics.
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  27. Investors’ Choices and Strategic Financial Decisions of the Companies. Evidence from an Analysis of the Capital Budgeting Policy Implications on Shares Valuation. (2021). Tilica, Elena ; Curmei-Semenescu, Andreea.
    In: Sustainability.
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  28. Do managers pay attention to the market? A review of the relationship between stock price informativeness and investment. (2021). Silva, Paulo ; da Silva, Paulo Pereira.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:59:y:2021:i:c:s1042444x20300645.

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  29. The benchmark inclusion subsidy. (2021). Pavlova, Anna ; Li, Jian ; Kovrijnykh, Natalia ; Kashyap, Anil K.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:142:y:2021:i:2:p:756-774.

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  30. Managerial market timing: What is the pot size for long-term shareholders assuming firm management acts in their best interest and does have an informational advantage?. (2021). Vogt, Jan.
    In: Global Finance Journal.
    RePEc:eee:glofin:v:49:y:2021:i:c:s1044028320302830.

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  31. Stock market mispricing and firm innovation based on path analysis. (2021). Silverman, Henry ; Dou, Jiachun ; Tang, Wenjie ; Xiong, Hao ; Zheng, Shaofeng ; Shen, Huayu.
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    RePEc:eee:ecmode:v:95:y:2021:i:c:p:330-343.

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  32. Managerial optimism and investment decision in the UK. (2021). Vendrame, Vasco ; Guermat, Cherif ; Elgebeily, Eman.
    In: Journal of Behavioral and Experimental Finance.
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  33. Issuance and valuation of corporate bonds with quantitative easing. (2021). Pegoraro, Stefano ; Montagna, Mattia.
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    RePEc:ecb:ecbwps:20212520.

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  34. The Macroeconomics of Financial Speculation. (2021). Simsek, Alp.
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  35. A Study of Multi-Scale Relationship Between Investor Sentiment and Stock Index Fluctuation Based on the Analysis of BEMD Spillover Index. (2021). Yi, Sun ; Shufen, Zhou ; Yin, Zhang ; Weiguo, Chen.
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  36. Leverage constraints and corporate financing decisions. (2021). Zhou, Qing ; Yang, Liu.
    In: Accounting and Finance.
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  37. The Role of Assets In Place: Loss of Market Exclusivity and Investment. (2020). Higgins, Matthew ; Pollet, Joshua ; Park, Jimin ; Kronlund, Mathias J.
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  38. Is Market Timing Good for Shareholders?. (2020). Wan, Pengcheng ; Tserlukevich, Yuri ; Babenko, Ilona .
    In: Management Science.
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  39. Share Buybacks, Monetary Policy and the Cost of Debt. (2020). Zago, Riccardo ; Elgouacem, Assia.
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  40. Capital Structure Decisions, Loss Aversion, and Equity Premium. (2019). Cao, JI ; Breuer, Wolfgang ; Soypak, Can K ; Rieger, Marc Oliver.
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  41. The Factors Affecting Capital Structure: A Panel Data Analysis in the Context of Behavioural Corporate Finance. (2019). Tekn, Bilgehan.
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  42. Does corporate governance play any role in investor confidence, corporate investment decisions relationship? Evidence from Pakistan and India. (2019). Abbas, Muhammad ; Shahid, Muhammad Sadiq.
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  43. What is the role of institutional investors in corporate capital structure decisions? A survey analysis. (2019). Brown, Stephen ; Veld-Merkoulova, Yulia ; Dutordoir, Marie.
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  44. Testing the credit-market-timing hypothesis using counterfactual issuing dates. (2019). Nezafat, Mahdi ; Frank, Murray Z.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:58:y:2019:i:c:p:187-207.

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  45. Credit Cycles, Expectations, and Corporate Investment. (2019). Rossi, Stefano ; Ion, Mihai ; Gulen, Huseyin.
    In: CEPR Discussion Papers.
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  46. Imperfect Financial Markets and Shareholder Incentives in Partial and General Equilibrium. (2018). Hellwig, Christian ; Tsyvinski, Aleh ; Albagli, Elias.
    In: TSE Working Papers.
    RePEc:tse:wpaper:32475.

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  47. Macro and Micro-level Indicators of Maqāṣid al- Sharī‘ah in Socio-Economic Development Policy and its Governing Framework. (2018). Mohamed, Hazik.
    In: Islamic Economic Studies.
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  48. The Benchmark Inclusion Subsidy. (2018). Pavlova, Anna ; Kovrijnykh, Natalia ; Kashyap, Anil.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:25337.

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  49. A Theory of Disclosure in Speculative Markets. (2018). Hertzberg, Andrew.
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  50. Investor sentiment and advertising expenditure. (2018). Mian, Mujtaba G ; Gul, Ferdinand A ; Sharma, Piyush.
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  51. Timing of advertising and the MAX effect. (2018). Chen, Miao-Ling ; Hsu, Ching-Chi.
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  52. The Benchmark Inclusion Subsidy. (2018). Kashyap, Anil K ; Pavlova, Anna ; Li, Jian ; Kovrijnykh, Natalia.
    In: CEPR Discussion Papers.
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  53. There are two very different accruals anomalies. (2018). Detzel, Andrew ; Strauss, Jack ; Schaberl, Philipp.
    In: European Financial Management.
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  54. CORPORATE FINANCING UNDER HETEROGENEOUS BELIEFS. (2017). Niu, Weining.
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  55. Short- and Long-Horizon Behavioral Factors. (2017). Hirshleifer, David ; Sun, Lin ; Daniel, Kent.
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  56. Stock Market Overvaluation, Moon Shots, and Corporate Innovation. (2017). Teoh, Siew Hong ; Hirshleifer, David ; Dong, Ming.
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  57. Imperfect Financial Markets and Shareholder Incentives in Partial and General Equilibrium. (2017). Tsyvinski, Aleh ; Hellwig, Christian ; Albagli, Elias.
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  58. Real Anomalies. (2017). van Binsbergen, Jules ; OPP, CHRISTIAN.
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  59. Intangible Capital and the Choice of External Financing Sources. (2017). Hosono, Kaoru ; Miho, Takizawa ; Kaoru, Hosono.
    In: Discussion papers.
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  60. Real determinants of stock split announcements. (2017). Malone, Chris ; Hu, May ; Chao, Chi-Chur ; Young, Martin.
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  61. Overvaluation and the cost of bank debt. (2017). Chiou, Chyi-Lun ; Shu, Pei-Gi.
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    RePEc:eee:reveco:v:48:y:2017:i:c:p:235-254.

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  62. Catering to behavioral demand for dividends and its potential agency issue. (2017). Jun, Xiao ; Yugang, Chen ; Li, Mingsheng .
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  63. Ambiguity and the corporation: Group disagreement and underinvestment. (2017). Garlappi, Lorenzo ; Lazrak, Ali ; Giammarino, Ron .
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  64. Taxing financial transactions in fundamentally heterogeneous markets. (2017). Molinari, Massimo ; Gaffeo, Edoardo.
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  65. The equity-financing channel, the catering channel, and corporate investment: International evidence. (2017). Kusnadi, Yuanto ; John, K C.
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  66. Capital Structure Choices and Behavioral Biases: An Application to a Panel of US Industrial Companies. (2017). Esghaier, Ridha.
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  67. Incorrect Pricing Impact on Investment and the Capital Structure of Companies with Financial Constraints. (2017). Museloo, Khalil Abbasi ; Abartavi, Shaker .
    In: International Journal of Economics and Financial Issues.
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  68. CAPM-Based Company (Mis)valuations. (2017). thesmar, david ; Otto, Clemens ; Olivier, Jacques ; Dessaint, Olivier.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:12526.

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  69. Imperfect Financial Markets and Shareholder Incentives in Partial and General Equilibrium. (2017). Tsyvinski, Aleh ; Hellwig, Christian ; Albagli, Elias.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:12045.

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  70. Firm life cycle, corporate risk-taking and investor sentiment. (2017). Habib, Ahsan ; Hasan, Mostafa Monzur.
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  71. MARKET COMPETITION, ARBITRAGE RISK, AND CAPITAL STRUCTURE: EVIDENCE FROM TAIWAN. (2016). Lin, Yu-En ; Ku, Yan-Qing ; Cheng, Chia-Hsin ; Chih, Hsiang-Hsuan .
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  72. What Moves Investment Growth?. (2016). Larrain, Borja ; Da, Zhi ; Chen, Long.
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  73. Taxing financial transactions in fundamentally heterogeneous markets. (2016). Passamani, Giuliana ; Tomaselli, Matteo ; Tamborini, Roberto.
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  74. Earnings vs. stock-price based incentives in managerial compensation contracts. (2016). Cai, Hongbin ; Bernardo, Antonio E ; Luo, Jiang.
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  75. Why Does Capital No Longer Flow More to the Industries with the Best Growth Opportunities?. (2016). Lee, Dong ; Stulz, Rene M ; Shin, Han .
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  76. Credit Expansion and Neglected Crash Risk. (2016). Xiong, Wei ; Baron, Matthew.
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  77. The Risk Anomaly Tradeoff of Leverage. (2016). Wurgler, Jeffrey ; Baker, Malcolm ; Hoeyer, Mathias F.
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  78. Credit-Market Sentiment and the Business Cycle. (2016). Zakrajsek, Egon ; Stein, Jeremy ; Lopez-Salido, David ; Zakrajek, Egon.
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  79. Exhaustibility and Risk as Asset Class Dimensions: A Social Investor Approach to Capital-Resource Economies. (2016). Kakeu, Johnson.
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  80. Credit-Market Sentiment and the Business Cycle. (2016). Zakrajsek, Egon ; Stein, Jeremy ; Lopez-Salido, David.
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  81. Industry window dressing. (2016). Lou, Dong ; Cohen, Lauren ; Chen, Huaizhi.
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  82. Leverage dynamics over the business cycle. (2016). Zechner, Josef ; Halling, Michael ; Yu, Jin.
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  83. The expected returns and valuations of private and public firms. (2016). Cooper, Ilan ; Priestley, Richard .
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  84. Bribe payments under regulatory decentralization: Evidence from rights offering regulations in China. (2016). Liu, YE ; Zhang, Jinqing .
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  85. The effect of overvaluation on investment and accruals: The role of information. (2016). Lai, Christine W ; Hu, Shing-Yang ; Lin, Yueh-Hsiang .
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  86. Do investors learn from the past? Evidence from follow-on equity issues. (2016). Duca, Eric .
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  87. Blockholders: A Survey of Theory and Evidence. (2016). Edmans, Alex ; Holderness, Clifford .
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  88. Market Timing and Internationalization Decisions: A Contingency Perspective. (2016). Yuan, Lin ; Pangarkar, Nitin ; Qian, Xiaolin.
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  89. The cost of capital of the financial sector. (2015). Adrian, Tobias ; Friedman, Evan ; Muir, Tyler.
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  90. Innovation, investor sentiment, and firm-level experimentation. (2015). Aramonte, Sirio.
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  91. Wealth transfers via equity transactions. (2015). Sloan, Richard G ; You, Haifeng .
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  92. Monetary policy and long-term real rates. (2015). Stein, Jeremy ; Hanson, Samuel.
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  93. Analysis of earnings management influence on the investment efficiency of listed Chinese companies. (2015). Shen, Chung-Hua ; Huang, Dengshi ; Luo, Fuyan .
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  94. The Cost of Capital of the Financial Sector. (2015). Adrian, Tobias ; Muir, Tyler ; Friedman, Evan .
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  95. A new method for forming asset pricing factors from firm characteristics. (2014). Suh, Sangwon ; Song, Wonho ; Lee, Bong-Soo.
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    RePEc:taf:applec:v:46:y:2014:i:28:p:3463-3482.

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  96. Behavioral Finance. (2014). Hirshleifer, David.
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  97. Earnings management and IPO anomalies in China. (2014). Coakley, Jerry ; Shen, Zhe ; Instefjord, Norvald.
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  98. What Drives the Cross-Section of Credit Spreads?: A Variance Decomposition Approach. (2014). Nozawa, Yoshio.
    In: Finance and Economics Discussion Series.
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  99. Is the investment factor a proxy for time-varying investment opportunities? The US and international evidence. (2014). Huang, Lin ; Wang, Zijun.
    In: Journal of Banking & Finance.
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  100. Biased Beliefs, Asset Prices, and Investment: A Structural Approach. (2014). ALTI, AYDOAN ; Tetlock, Paul C..
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  101. CEO Risk Preference and Investing in R&D. (2014). Abdel-khalik, Rashad A..
    In: Abacus.
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  102. Security Issuance and Stock Price Effects with Heterogeneous Beliefs. (2014). Jing, Jin ; Weining, Niu ; Shancun, Liu .
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  103. Impact of Financial Regulation and Innovation on Bubbles and Crashes due to Limited Arbitrage: Awareness Heterogeneity. (2013). Matsushima, Hitoshi.
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  104. Blockholders and Corporate Governance. (2013). Edmans, Alex.
    In: NBER Working Papers.
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  105. Bond Market Clienteles, the Yield Curve, and the Optimal Maturity Structure of Government Debt. (2013). Vayanos, Dimitri ; Nosbusch, Yves ; Guibaud, Stéphane.
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  106. Bubbles, Crises, and Heterogeneous Beliefs. (2013). Xiong, Wei.
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  107. The Funding through Capital Market and Firm Behavior - Decision-making on IPOs, SEOs and Bond Issues and the Post-funding Investments and R&D Activities. (2013). Hosono, Kaoru ; Hachisuka, Keishi ; Takizawa, Miho ; Uchimoto, Kenji .
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  108. Attracting investor attention through advertising. (2013). Lou, Dong.
    In: LSE Research Online Documents on Economics.
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  109. Cross-market timing in security issuance. (2013). Lou, Dong ; Gao, Pengjie.
    In: LSE Research Online Documents on Economics.
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  110. Industry window dressing. (2013). Lou, Dong ; Cohen, Lauren ; Chen, Huaizhi.
    In: LSE Research Online Documents on Economics.
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  111. Market timing, investment, and risk management. (2013). Wang, Neng ; Bolton, Patrick ; Chen, Hui.
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  112. Do stock prices influence corporate decisions? Evidence from the technology bubble. (2013). Graham, John R. ; Campello, Murillo.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:107:y:2013:i:1:p:89-110.

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  113. Pricing deviation, misvaluation comovement, and macroeconomic conditions. (2013). Chang, Eric C. ; Luo, Yan ; Ren, Jinjuan .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:5285-5299.

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  114. A re-examination of firms attributes and share returns: Evidence from the Chinese A-shares market. (2013). Li, Bob ; Boo, Yee Ling ; Ee, Mong Shan ; Chen, Cindy .
    In: International Review of Financial Analysis.
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  115. Liquidity and firm investment: Evidence for Latin America. (2013). Prem, Mounu ; Muoz, Francisco .
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:20:y:2013:i:c:p:18-29.

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  116. The profit versus loss heuristic and firm financing decisions. (2013). Shekhar, Chander ; Pinnuck, Matt .
    In: Accounting, Organizations and Society.
    RePEc:eee:aosoci:v:38:y:2013:i:6:p:420-439.

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  117. Blockholders and Corporate Governance. (2013). Edmans, Alex.
    In: CEPR Discussion Papers.
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  118. Bond Market Clienteles, the Yield Curve, and the Optimal Maturity Structure of Government Debt. (2013). Vayanos, Dimitri ; Guibaud, Stéphane ; Nosbusch, Yves .
    In: CEPR Discussion Papers.
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  119. Impact of Financial Regulation and Innovation on Bubbles and Crashes due to Limited Arbitrage: Awareness Heterogeneity. (2013). Matsushima, Hitoshi.
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  120. Efficiency in the UK Commercial Property Market: A Long-run Perspective. (2012). Holtemöller, Oliver ; Devaney, Steven ; Schulz, Rainer ; Holtemoller, Oliver.
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  121. Executive Compensation, Earnings Management and Over Investment in Malaysia. (2012). CHU, EI YET ; Song, Saw Imm .
    In: Asian Academy of Management Journal of Accounting and Finance (AAMJAF).
    RePEc:usm:journl:aamjaf00811_13-37.

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  122. Role of Leverage in Bubbles and Crashes. (2012). Matsushima, Hitoshi.
    In: CIRJE F-Series.
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  123. Overvalued equity and financing decisions. (2012). Hirshleifer, David ; Dong, Ming ; Teoh, Siew Hong.
    In: MPRA Paper.
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  124. Can overpricing of technology stocks be good for welfare? Positive spillovers vs. equity market losses. (2012). Tinn, Katrin ; Vourvachaki, E.
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  125. Monetary policy and long-term real rates. (2012). Hanson, Samuel ; Stein, Jeremy C..
    In: Finance and Economics Discussion Series.
    RePEc:fip:fedgfe:2012-46.

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  126. Firm growth type and capital structure persistence. (2012). Wu, Xueping ; Au Yeung, Chau Kin, .
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  127. Does favorable investor sentiment lead to costly decisions to go public?. (2012). Alimov, Azizjon ; Mikkelson, Wayne .
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  128. Role of Leverage in Bubbles and Crashes. (2012). Matsushima, Hitoshi.
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  129. The Real Effects of Financial Markets: The Impact of Prices on Takeovers. (2012). Edmans, Alex ; Jiang, Wei ; Goldstein, Itay.
    In: Journal of Finance.
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  130. Fundamentals, Misvaluation, and Business Investment. (2011). Schaller, Huntley ; Chirinko, Robert S.
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  131. Governance Through Trading and Intervention: A Theory of Multiple Blockholders. (2011). Edmans, Alex ; Manso, Gustavo .
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  132. Issuer Quality and the Credit Cycle. (2011). Hanson, Samuel ; Greenwood, Robin.
    In: NBER Working Papers.
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  133. Bond Market Clienteles, the Yield Curve and the Optimal Maturity Structure of Government Debt. (2011). Vayanos, Dimitri ; Guibaud, Stéphane ; Nosbusch, Yves .
    In: FMG Discussion Papers.
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  134. Bond market clienteles, the yield curve and the optimal maturity structure of government debt. (2011). Vayanos, Dimitri ; Nosbusch, Yves ; Guibaud, Stephane.
    In: LSE Research Online Documents on Economics.
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  135. Real investment and risk dynamics. (2011). priestley, richard ; Cooper, Ilan.
    In: Journal of Financial Economics.
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  136. The adverse selection effect of corporate cash reserve: Evidence from acquisitions solely financed by stock. (2011). Gao, Ning.
    In: Journal of Corporate Finance.
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  137. Leverage change, debt overhang, and stock prices. (2011). Cai, Jie ; Zhang, Zhe.
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  138. Cross-Listing, Investment Sensitivity to Stock Price and the Learning Hypothesis. (2011). Foucault, Thierry ; Fresard, Laurent.
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  139. Do Bubbles Lead to Overinvestment?: A Revealed Preference Approach. (2011). Schaller, Huntley ; Chirinko, Bob.
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  140. Bubbles and incentives: A post-mortem of the Neuer Markt in Germany. (2010). von Kalckreuth, Ulf ; Silbermann, Leonid.
    In: Discussion Paper Series 1: Economic Studies.
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  141. A Financing-Based Misvaluation Factor and the Cross Section of Expected Returns. (2010). Jiang, Danling ; Hirshleifer, David.
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  142. Agency Problems and the Fate of Capitalism. (2010). Morck, Randall ; Yeung, Bernard .
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  143. Characteristic Timing. (2010). Hanson, Samuel ; Greenwood, Robin.
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  144. Agency Costs, Mispricing, and Ownership Structure. (2010). Foley, Fritz C. ; Chernenko, Sergey ; Greenwood, Robin.
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  145. Unstable banking. (2010). Vishny, Robert W ; Shleifer, Andrei.
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  146. Issuer Quality and Corporate Bond Returns. (2010). Hanson, Samuel ; Greenwood, Robin.
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  147. Unstable banking. (2010). Vishny, Robert ; Shleifer, Andrei.
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    RePEc:eee:jfinec:v:97:y:2010:i:3:p:306-318.

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  148. Investor sentiment, executive compensation, and corporate investment. (2010). Li, Hui ; Grundy, Bruce D..
    In: Journal of Banking & Finance.
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  149. Accounting anomalies and fundamental analysis: An alternative view. (2010). Lewellen, Jonathan .
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:50:y:2010:i:2-3:p:455-466.

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  150. Market Misvaluation, Managerial Horizon, and Acquisitions. (2010). Gao, Huasheng.
    In: Financial Management.
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  151. The Equity Share in New Issues and Aggregate Stock Returns. (2009). Wurgler, Jeffrey ; Baker, Malcolm.
    In: Yale School of Management Working Papers.
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  152. Commonality in Misvaluation, Equity Financing, and the Cross Section of Stock Returns. (2009). Jiang, Danling ; Hirshleifer, David.
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  153. Capital Budgeting vs. Market Timing: An Evaluation Using Demographics. (2009). DellaVigna, Stefano ; Pollet, Joshua M. ; Della Vigna, Stefano .
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  154. Unstable Banking. (2009). Vishny, Robert ; Shleifer, Andrei.
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  155. CAPM for Estimating the Cost of Equity Capital: Interpreting the Empirical Evidence. (2009). Jagannathan, Ravi ; Guo, Re-Jin ; Da, Zhi.
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  156. Agency problems in stock market-driven acquisitions. (2009). Jo, Hoje ; Tsai, Shih-Chuan ; Fung, Scott.
    In: Review of Accounting and Finance.
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  157. Does the stock market affect firm investment in China? A price informativeness perspective. (2009). Wu, Liansheng ; Yang, Yunhong ; Wang, Yaping.
    In: Journal of Banking & Finance.
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  158. Determinants of corporate borrowing: A behavioral perspective. (2009). Hackbarth, Dirk.
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  159. Can Optimism about Technology Stocks Be Good for Welfare? Positive Spillovers vs. Equity Market Losses. (2009). Vourvachaki, Evangelia ; Tinn, Katrin.
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  160. Does Volatility Improve UK Earnings Forecasts?. (2009). Coakley, Jerry ; Petrovic, Nikola ; Manson, Stuart.
    In: Journal of Business Finance & Accounting.
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  161. Does Volatility Improve UK Earnings Forecasts?. (2009). Coakley, Jerry ; Manson, Stuart ; Petrovic, Nikola.
    In: Journal of Business Finance & Accounting.
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  162. The cost of equity for global banks: a CAPM perspective from 1990 to 2009. (2009). King, Michael.
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  163. A Gap-Filling Theory of Corporate Debt Maturity Choice. (2008). Stein, Jeremy ; Hanson, Samuel ; Greenwood, Robin.
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  164. Growth Versus Margins: Destabilizing Consequences of Giving the Stock Market What it Wants. (2008). Stein, Jeremy ; Aghion, Philippe.
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  165. One share - one vote: the theory. (2008). Burkart, Mike ; Lee, Samuel.
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  166. Overinvestment and fraud. (2008). Pinheiro, Marcelo.
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  167. Firms as buyers of last resort. (2008). Hong, Harrison ; Wang, Jiang ; Yu, Jialin .
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  168. Motivations for public equity offers: An international perspective. (2008). Weisbach, Michael ; Kim, Woojin.
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  169. Finance dentreprise:voix nouvelles et nouvelles voies. (2008). Rainelli-Weiss, Helene ; Montagner, Helene Rainelli-Le .
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  170. Asset Price Shocks, Real Expenditures, and Financial Structure: A Multi-Country Analysis. (2008). Sterken, Elmer ; de Haan, Leo ; Chirinko, Bob.
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  171. Behavioural Finance: A Review and Synthesis. (2008). Subrahmanyam, Avanidhar.
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  172. Stock market misvaluation and corporate investment. (2007). Teoh, Siew Hong ; Hirshleifer, David ; Dong, Ming.
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  173. Do Stock Prices Influence Corporate Decisions? Evidence from the Technology Bubble. (2007). Campello, Murillo ; Graham, John.
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  174. The real impact of stock market mispricing -- Evidence from Australia. (2007). Tam, Lewis ; Tam, Lewis H. K., ; Chang, Xin ; Tan, Tek Jun.
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  175. Arrogance can be a virtue: Overconfidence, information acquisition, and market efficiency. (2007). Ko, Jeremy K. ; Huang, Zhijian.
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  176. Corporate financing decisions when investors take the path of least resistance. (2007). Stein, Jeremy ; Baker, Malcolm ; Coval, Joshua .
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  177. Risk Management, Capital Budgeting, and Capital Structure Policy for Insurers and Reinsurers. (2007). Froot, Kenneth.
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  178. Capital Structure Swaps and Shareholder Wealth. (2007). Hilliard, James I. ; O'Brien, Thomas J. ; Klein, Linda Schmid.
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  180. Does Total Risk Matter? The Case of Emerging Markets. (2006). Girard, Eric ; Sinha, Amit .
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  181. The MSOM Society Student Paper Competition: Extended Abstracts of 2005 Winners. (2006). anonymous, .
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  182. Fundamentals, Misvaluation, and Investment. The Real Story. (2006). Schaller, Huntley ; Chirinko, Bob.
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  183. Investor Sentiment and Corporate Finance: Micro and Macro. (2006). Stein, Jeremy ; Lamont, Owen.
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  184. Techniques for Estimating the Fiscal Costs and Risks of Long-term Output-based Payments. (2005). boyle, glenn ; Irwin, Tim .
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  185. Techniques for Estimating the Fiscal Costs and Risks of Long-term Output-based Payments. (2005). Irwin, Tim ; Boyle, Glenn.
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  186. Risk, expected return, and the cost of equity capital. (2005). boyle, glenn.
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  187. Investor Sentiment and Corporate Finance: Micro and Macro. (2005). Stein, Jeremy ; Lamont, Owen.
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  188. Motivations for Public Equity Offers: An International Perspective. (2005). Weisbach, Michael ; Kim, Woojin.
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  189. Money Illusion in the Stock Market: The Modigliani-Cohn Hypothesis. (2005). Polk, Christopher ; Cohen, Randolph B. ; Vuolteenaho, Tuomo .
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  190. Do stock price bubbles influence corporate investment?. (2005). Huberman, Gur ; Gilchrist, Simon ; Himmelberg, Charles P..
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  191. Investment and the stock market: evidence from Arab firm-level panel data. (2005). Bolbol, Ali A. ; Omran, Mohammad M..
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  192. Limits of Arbitrage and Corporate Financial Policy. (2005). Peyer, Urs ; Massa, Massimo ; Tong, Zhenxu.
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  193. Does Investor Misvaluation Drive the Takeover Market?. (2004). Teoh, Siew Hong ; Hirshleifer, David ; Dong, Ming ; Richarson, Scott.
    In: Finance.
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  39. Fads or Bubbles?. (1997). van Norden, Simon ; Schaller, Huntley.
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  40. Noise Trader Demand in Futures Markets. (1996). Irwin, Scott ; Sanders, Dwight R. ; Leuthold, Raymond M..
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    In: Policy Research Working Paper Series.
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  43. A Survey of Corporate Governance. (1996). Vishny, Robert ; Shleifer, Andrei.
    In: NBER Working Papers.
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    In: Scholarly Articles.
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    In: Econometrics.
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    In: Working Papers.
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  48. Trading Volume and Serial Correlation in Stock Returns. (1993). Grossman, Sanford ; Campbell, John ; Wang, Jiang.
    In: Scholarly Articles.
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    In: Policy Research Working Paper Series.
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    In: Revue Économique.
    RePEc:prs:reveco:reco_0035-2764_1990_num_41_5_409239.

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