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1
A Theory of Debt Maturity: The Long and Short of Debt Overhang
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A Theory of Debt Maturity: The Long and Short of Debt Overhang

The Journal of finance (New York), 2014-04, Vol.69 (2), p.719-762 [Peer Reviewed Journal]

2014 American Finance Association ;2014 The American Finance Association ;Copyright Blackwell Publishers Inc. Apr 2014 ;ISSN: 0022-1082 ;EISSN: 1540-6261 ;DOI: 10.1111/jofi.12118 ;CODEN: JLFIAN

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2
Evidence for Countercyclical Risk Aversion: An Experiment with Financial Professionals
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Article
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Evidence for Countercyclical Risk Aversion: An Experiment with Financial Professionals

The American economic review, 2015-02, Vol.105 (2), p.860-885 [Peer Reviewed Journal]

Copyright© 2015 American Economic Association ;Copyright American Economic Association Feb 2015 ;ISSN: 0002-8282 ;EISSN: 1944-7981 ;DOI: 10.1257/aer.20131314 ;CODEN: AENRAA

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3
The Financial Performance of a Socially Responsible Investment over Time and a Possible Link with Corporate Social Responsibility
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The Financial Performance of a Socially Responsible Investment over Time and a Possible Link with Corporate Social Responsibility

Journal of business ethics, 2006-01, Vol.63 (2), p.131-148 [Peer Reviewed Journal]

Copyright 2006 Springer ;Springer 2006 ;ISSN: 0167-4544 ;EISSN: 1573-0697 ;DOI: 10.1007/s10551-005-2410-7 ;CODEN: JBUEDJ

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4
Flexibility versus commitment: MNEs' ownership strategy in China
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Article
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Flexibility versus commitment: MNEs' ownership strategy in China

Journal of international business studies, 2010-12, Vol.41 (9), p.1550-1571 [Peer Reviewed Journal]

Copyright © 2010 Academy of International Business ;Academy of International Business 2010 ;ISSN: 0047-2506 ;EISSN: 1478-6990 ;DOI: 10.1057/jibs.2010.25

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5
How real estate became 'just another asset class': the financialization of the investment strategies of Dutch institutional investors
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How real estate became 'just another asset class': the financialization of the investment strategies of Dutch institutional investors

European planning studies, 2017-02, Vol.25 (2), p.221-240 [Peer Reviewed Journal]

2017 Informa UK Limited, trading as Taylor & Francis Group 2017 ;2017 Informa UK Limited, trading as Taylor & Francis Group ;ISSN: 0965-4313 ;EISSN: 1469-5944 ;DOI: 10.1080/09654313.2016.1277693

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6
Adaptive Markets and the New World Order
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Adaptive Markets and the New World Order

Financial analysts journal, 2012-03, Vol.68 (2), p.18-29 [Peer Reviewed Journal]

2012 CFA Institute ;Copyright CFA Institute Mar/Apr 2012 ;ISSN: 0015-198X ;EISSN: 1938-3312 ;DOI: 10.2469/faj.v68.n2.6 ;CODEN: FIAJA4

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7
Asset allocation of Australian superannuation funds: a markov regime switching approach
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Asset allocation of Australian superannuation funds: a markov regime switching approach

Annals of operations research, 2023-11, Vol.330 (1-2), p.485-515 [Peer Reviewed Journal]

The Author(s) 2022 ;The Author(s) 2022. This work is published under http://creativecommons.org/licenses/by/4.0/ (the “License”). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 0254-5330 ;EISSN: 1572-9338 ;DOI: 10.1007/s10479-022-04741-0

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8
The Cryptocurrency Market in Transition before and after COVID-19: An Opportunity for Investors?
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The Cryptocurrency Market in Transition before and after COVID-19: An Opportunity for Investors?

Entropy (Basel, Switzerland), 2022-09, Vol.24 (9), p.1317 [Peer Reviewed Journal]

COPYRIGHT 2022 MDPI AG ;2022 by the authors. Licensee MDPI, Basel, Switzerland. This article is an open access article distributed under the terms and conditions of the Creative Commons Attribution (CC BY) license (https://creativecommons.org/licenses/by/4.0/). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;2022 by the authors. 2022 ;ISSN: 1099-4300 ;EISSN: 1099-4300 ;DOI: 10.3390/e24091317

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9
Investor Heterogeneity and Liquidity
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Investor Heterogeneity and Liquidity

Journal of financial and quantitative analysis, 2022-11, Vol.57 (7), p.2798-2833 [Peer Reviewed Journal]

The Author(s), 2022. Published by Cambridge University Press on behalf of the Michael G. Foster School of Business, University of Washington ;Copyright Cambridge University Press Nov 2022 ;ISSN: 0022-1090 ;EISSN: 1756-6916 ;DOI: 10.1017/S0022109022000217

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10
Sustainable and Governance Investment Funds in Brazil: A Performance Evaluation
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Sustainable and Governance Investment Funds in Brazil: A Performance Evaluation

Sustainability (Basel, Switzerland), 2023-05, Vol.15 (11), p.8517 [Peer Reviewed Journal]

COPYRIGHT 2023 MDPI AG ;2023 by the authors. Licensee MDPI, Basel, Switzerland. This article is an open access article distributed under the terms and conditions of the Creative Commons Attribution (CC BY) license (https://creativecommons.org/licenses/by/4.0/). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2071-1050 ;EISSN: 2071-1050 ;DOI: 10.3390/su15118517

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11
Performance and Resilience of Socially Responsible Investing (SRI) and Conventional Funds during Different Shocks in 2016: Evidence from Japan
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Article
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Performance and Resilience of Socially Responsible Investing (SRI) and Conventional Funds during Different Shocks in 2016: Evidence from Japan

Sustainability (Basel, Switzerland), 2020-01, Vol.12 (2), p.540 [Peer Reviewed Journal]

2020. This work is licensed under http://creativecommons.org/licenses/by/3.0/ (the “License”). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2071-1050 ;EISSN: 2071-1050 ;DOI: 10.3390/su12020540

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12
Applying Hybrid ARIMA-SGARCH in Algorithmic Investment Strategies on S&P500 Index
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Applying Hybrid ARIMA-SGARCH in Algorithmic Investment Strategies on S&P500 Index

Entropy (Basel, Switzerland), 2022-01, Vol.24 (2), p.158 [Peer Reviewed Journal]

2022 by the authors. Licensee MDPI, Basel, Switzerland. This article is an open access article distributed under the terms and conditions of the Creative Commons Attribution (CC BY) license (https://creativecommons.org/licenses/by/4.0/). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;2022 by the authors. 2022 ;ISSN: 1099-4300 ;EISSN: 1099-4300 ;DOI: 10.3390/e24020158 ;PMID: 35205454

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13
Innovative Investment Models with Frequent Payments of Tax on Income and of Interest on Debt
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Article
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Innovative Investment Models with Frequent Payments of Tax on Income and of Interest on Debt

Mathematics (Basel), 2021-07, Vol.9 (13), p.1491 [Peer Reviewed Journal]

2021 by the authors. Licensee MDPI, Basel, Switzerland. This article is an open access article distributed under the terms and conditions of the Creative Commons Attribution (CC BY) license (https://creativecommons.org/licenses/by/4.0/). Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. ;ISSN: 2227-7390 ;EISSN: 2227-7390 ;DOI: 10.3390/math9131491

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14
Quantifying Backtest Overfitting in Alternative Beta Strategies
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Article
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Quantifying Backtest Overfitting in Alternative Beta Strategies

Journal of portfolio management, 2017-01, Vol.43 (2), p.90-104 [Peer Reviewed Journal]

Copyright Euromoney Institutional Investor PLC Winter 2017 ;ISSN: 0095-4918 ;EISSN: 2168-8656 ;DOI: 10.3905/jpm.2017.43.2.090

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15
Making Investment Choices as Simple as Possible, but Not Simpler
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Article
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Making Investment Choices as Simple as Possible, but Not Simpler

Financial analysts journal, 2007-05, Vol.63 (3), p.42-47 [Peer Reviewed Journal]

Copyright 2007 CFA Institute ;Copyright CFA Institute May/Jun 2007 ;ISSN: 0015-198X ;EISSN: 1938-3312 ;DOI: 10.2469/faj.v63.n3.4689 ;CODEN: FIAJA4

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16
Quality investing in the Indian stock market
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Article
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Quality investing in the Indian stock market

Managerial finance, 2018-01, Vol.44 (2), p.127-141 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited 2018 ;ISSN: 0307-4358 ;EISSN: 1758-7743 ;DOI: 10.1108/MF-07-2017-0248

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17
Optimal Investment-Consumption Strategy of Household Based on CEV Model
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Optimal Investment-Consumption Strategy of Household Based on CEV Model

Discrete dynamics in nature and society, 2022-09, Vol.2022, p.1-12 [Peer Reviewed Journal]

Copyright © 2022 Aiyin Wang et al. ;COPYRIGHT 2022 Hindawi Limited ;Copyright © 2022 Aiyin Wang et al. This is an open access article distributed under the Creative Commons Attribution License (the “License”), which permits unrestricted use, distribution, and reproduction in any medium, provided the original work is properly cited. Notwithstanding the ProQuest Terms and Conditions, you may use this content in accordance with the terms of the License. https://creativecommons.org/licenses/by/4.0 ;ISSN: 1026-0226 ;EISSN: 1607-887X ;DOI: 10.1155/2022/4413862

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18
Environmental, social, and governance (ESG) investing and commodities: dynamic connectedness and risk management strategies
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Article
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Environmental, social, and governance (ESG) investing and commodities: dynamic connectedness and risk management strategies

Sustainability accounting, management and policy journal (Print), 2023-09, Vol.14 (5), p.1052-1074 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited. ;ISSN: 2040-8021 ;EISSN: 2040-8021 ;EISSN: 2040-803X ;DOI: 10.1108/SAMPJ-01-2022-0014

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19
The role of uncertainties on sustainable stocks and green bonds
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Article
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The role of uncertainties on sustainable stocks and green bonds

Qualitative research in financial markets, 2023-07, Vol.15 (4), p.647-671 [Peer Reviewed Journal]

Emerald Publishing Limited ;Emerald Publishing Limited. ;ISSN: 1755-4179 ;EISSN: 1755-4187 ;DOI: 10.1108/QRFM-02-2022-0032

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20
Buffett's Alpha
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Buffett's Alpha

Financial analysts journal, 2018-09, Vol.74 (4), p.35-55 [Peer Reviewed Journal]

2018 The Author(s). Published with license by Taylor & Francis Group, LLC. 2018 ;Copyright CFA Institute Fourth Quarter 2018 ;ISSN: 0015-198X ;EISSN: 1938-3312 ;DOI: 10.2469/faj.v74.n4.3

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