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  • STATA Press 2022.zip

    本附件包括:
    • A visual guide to Stata graphics.epub
    • A visual guide to Stata graphics.epub
    • Nonlinear Models and Casual Inference Methods.epub
    • Nonlinear Models and Casual Inference Methods.epub
    • Cross-Sectional and Panel Regression Models.epub
    • Cross-Sectional and Panel Regression Models.epub
  • 60.04 MB
  • 2022-12-23
  • Spatial Econometrics From Cross-sectional Data to Spatial Panels.zip

    本附件包括:
    • Spatial Econometrics From Cross-sectional Data to Spatial Panels.pdf
  • 1.41 MB
  • 2019-6-17
  • AFA-2017-Part01.zip
       AFA

    本附件包括:
    • AFA2017-A Dynamic Theory of Mutual Fund Runs and Liquidity Management.pdf
    • AFA2017-A Macroeconomic Model with Financially Constrained Producers and Intermediaries.pdf
    • AFA2017-A Tough Act to Follow_ Contrast Effects in Financial Markets.pdf
    • AFA2017-An Equilibrium Model of Institutional Demand and Asset Prices.pdf
    • AFA2017-Are Corporate Inversions Good for Shareholders_.pdf
    • AFA2017-Are Lemons Sold First_ Dynamic Signaling in the Mortgage Market.pdf
    • AFA2017-Bank Monitoring_ Evidence from Syndicated Loans.pdf
    • AFA2017-Bankruptcy Law, Private Benefits, and Risk-Taking.pdf
    • AFA2017-Bankruptcy and the Cost of Organized Labor.pdf
    • AFA2017-Betting Against Winners.pdf
    • AFA2017-Board Diversity and Director Dissent in Corporate Boards.pdf
    • AFA2017-CDS and Credit_ Testing the Small Bang Theory of the Financial Universe with Micro Data.pdf
    • AFA2017-Capital Structure Misallocation.pdf
    • AFA2017-Collateral Values and Corporate Employment.pdf
    • AFA2017-Complexity and Information Content of Financial Disclosures_ Evidence from Evolution of Uncertainty Following 10-K Filings.pdf
    • AFA2017-Contrasts in Governance_ Newly Public Firms Versus Mature Firms.pdf
    • AFA2017-Corporate Capital Structure Actions.pdf
    • AFA2017-Corporate Inversions_ A Case of Having the Cake and Eating it Too_.pdf
    • AFA2017-Corporate Leverage and Employees’ Rights in Bankruptcy.pdf
    • AFA2017-Death by Committee_ An Analysis of Delegation in Corporate Boards.pdf
    • AFA2017-Debt, Bankruptcy Risk, and Corporate Tax Sheltering.pdf
    • AFA2017-Differences of Opinion and Stock Prices_ Evidence from Spin-Offs and Mergers.pdf
    • AFA2017-Dividend Risk Premia.pdf
    • AFA2017-Do Individual Behavioral Biases Affect Financial Markets and the Macroeconomy_.pdf
    • AFA2017-Do Institutional Investors Transplant Social Norms_ International Evidence on Corporate Social Responsibility.pdf
    • AFA2017-Economic Consequences of Housing Speculation.pdf
    • AFA2017-Equity is Cheap for Large Financial Institutions_ The International Evidence.pdf
    • AFA2017-Excessive Credit Supply and the Housing Boom.pdf
    • AFA2017-Financial Condition and Product Quality_ The Case of Nonprofit Hospitals .pdf
    • AFA2017-Financial Loss Aversion Illusion.pdf
    • AFA2017-Financial Regulation in a Quantitative Model of the.pdf
    • AFA2017-Financing Durable Assets.pdf
    • AFA2017-Financing Intangible Capital.pdf
    • AFA2017-Firing the Wrong Workers_ Financing Constraints and Labor Misallocation.pdf
    • AFA2017-Funding Value Adjustments.pdf
    • AFA2017-Going Entrepreneurial_ IPOs and New Firm Creation.pdf
    • AFA2017-Good News in Numbers.pdf
    • AFA2017-How Do Venture Capitalists Make Decisions_.pdf
    • AFA2017-Impact Investing.pdf
    • AFA2017-In No (Un-)Certain Terms_ Managerial Style in Communicating Earnings News.pdf
    • AFA2017-Independent Directors and Corporate Litigation.pdf
    • AFA2017-Information Aggregation and Asset Prices in Large Markets with Institutional Investors.pdf
    • AFA2017-Information Sharing and Rating Manipulation.pdf
    • AFA2017-Intangible Capital and the Investment-q Relation.pdf
    • AFA2017-Intermediary Asset Pricing_ New Evidence from Many Asset Classes.pdf
    • AFA2017-Intervention Policy in a Dynamic Environment_ Coordination and Learning.pdf
    • AFA2017-Is Skin in the Game a Game Changer_ Evidence from Mandatory Changes of D&O Insurance Policies.pdf
    • AFA2017-Lazy Prices.pdf
    • AFA2017-Lender of Last Resort versus Buyer of Last Resort – Evidence from the European Sovereign Debt Crisis.pdf
    • AFA2017-Linking Cross-Sectional and Aggregate Expected Returns.pdf
    • AFA2017-Liquidity and Price Pressure in the Corporate Bond Market_ Evidence from Mega-bonds.pdf
    • AFA2017-Loan Terms and Collateral_ Evidence from the Bilateral Repo Market.pdf
    • AFA2017-Low Risk Anomalies_.pdf
    • AFA2017-Macroeconomic Effects of Secondary Market tRADING.pdf
    • AFA2017-Market Fragmentation, Dissimulation, and the Disclosure of Insider Trades.pdf
    • AFA2017-Merger Integration and Merger Success.pdf
    • AFA2017-Mispricing Factors.pdf
    • AFA2017-Monetary Policy and Global Banking.pdf
    • AFA2017-Monetary Policy through Production Networks.pdf
    • AFA2017-Mutual fund flight-to-liquidity.pdf
    • AFA2017-Non-Recourse Mortgage Law and Housing Speculation.pdf
    • AFA2017-Older and Wiser, or Too Old to Govern_.pdf
    • AFA2017-On the Asset Allocation of a Default Pension Fund.pdf
    • AFA2017-Optimal Deposit Insurance.pdf
    • AFA2017-Peer Effects of Corporate Social Responsibility.pdf
    • AFA2017-Performance-Based Turnover on Corporate Boards.pdf
    • AFA2017-Policy Uncertainty, Political Capital, and Firm Risk-Taking.pdf
    • AFA2017-Political Influence and Government Investment_ Evidence from Contract-Level Data.pdf
    • AFA2017-Political Information, Firm Value and Information Networks_ Evidence from the Chinese National Social Security Fund.pdf
    • AFA2017-Portfolio Choice with Model Misspecification_ A Foundation for Alpha and Beta Portfolios.pdf
    • AFA2017-Predicting Merger Targets and Acquirers from Text.pdf
    • AFA2017-Price and Probability_ Decomposing the Takeover Effects of Anti-Takeover Provisions.pdf
    • AFA2017-Product Market Competition in a World of Cross-Ownership_ Evidence from Institutional Blockholdings.pdf
    • AFA2017-Rational Quantitative Trading in E? cient Markets.pdf
    • AFA2017-Real Anomalies.pdf
    • AFA2017-Real Estate Holdings of Public Firms and Collateral Discount.pdf
    • AFA2017-Residential Real Estate Traders_.pdf
    • AFA2017-Ripple Effects of Noise on Corporate Investment.pdf
    • AFA2017-Risk Management with Supply Contracts.pdf
    • AFA2017-Risk Taking and Low Longer-term Interest Rates.pdf
    • AFA2017-Sequential Credit Markets.pdf
    • AFA2017-Size Matters, if You Control Your Junk.pdf
    • AFA2017-Socially Responsible Investing_ Good Is Good, Bad is Bad.pdf
    • AFA2017-Sovereign Debt Portfolios, Bond Risks, and the.pdf
    • AFA2017-Still Learning After All These Years_ Dynamic Information Acquisition in Banking.pdf
    • AFA2017-Sustainable Housing Policy.pdf
    • AFA2017-The Banking View of Bond Risk Premia.pdf
    • AFA2017-The Cost of Immediacy for Corporate Bonds.pdf
    • AFA2017-The Economic Consequences of Borrower Information Sharing_ Relationship Dynamics and Investment.pdf
    • AFA2017-The Effect of Central Bank Liquidity Injections on Bank Credit Supply.pdf
    • AFA2017-The Effect of Monetary Policy on Bank Wholesale Funding.pdf
    • AFA2017-The History of the Cross Section of Stock Returns.pdf
    • AFA2017-The Impact of Positive Payment Shocks on Mortgage Credit Risk – a Natural Experiment from Home Equity Lines of Credit at End of Draw.pdf
    • AFA2017-The Invisible Hand of the Government_ ”Moral Suasion” during the European Sovereign Debt Crisis.pdf
    • AFA2017-The Life Cycle of Corporate Venture Capital.pdf
    • AFA2017-The Political Economy of Financial Innovation_ Evidence from Local Governments.pdf
    • AFA2017-The Privatization of Bankruptcy_ Evidence from Financial Distress in the Shipping Industry.pdf
    • AFA2017-The Role of Hard Information in Debt Contracting_ Evidence from Fair Value Adoption.pdf
    • AFA2017-The Role of the Government Bond Lending Market in Collateral Transformation.pdf
    • AFA2017-The Speculation Channel and Crowding Out Channel_ Real Estate Shocks and Corporate Investment in China.pdf
    • AFA2017-The Speed of Communication.pdf
    • AFA2017-Thinking About Prices Versus Thinking About Returns in Financial Markets.pdf
    • AFA2017-Trading Costs and Informational Efficiency.pdf
    • AFA2017-Trading Frictions in the Interbank Market, and the Central Bank.pdf
    • AFA2017-Understanding Precautionary Cash at Home and Abroad.pdf
    • AFA2017-Using Managerial Attributes to Identify Market Feedback Effects_ The Case of Mutual Fund Fire Sales.pdf
    • AFA2017-Vote Avoidance and Shareholder Voting in Mergers & Acquisitions.pdf
    • AFA2017-What Drives Corporate Inversions_ International Evidence.pdf
    • AFA2017-What do Measures of Real-time Corporate Sales Tell us about Earnings Surprises and Post-announcement Returns_.pdf
    • AFA2017-Why Do Institutions Delay Reporting Their Shareholdings_ Evidence from Form 13F.pdf
    • AFA2017-Why Don't We Agree_ Evidence from a Social Network of Investors.pdf
    • AFA2017-Will I Get Paid_ Employee Stock Options and Mergers and.pdf
  • 76.53 MB
  • 2016-12-30
  • 39-7.zip

    本附件包括:
    • An-empirical-investigation-of-the-impact-of-audit-and-auditor-characteristics-on-auditor-performance_2014_Accounting-Organizations-and-Society.pdf
    • Editorial_2014_Accounting-Organizations-and-Society.pdf
    • Subjectivity-in-developing-and-validating-causal-explanations-in-positivist-accounting-research_2014_Accounting-Organizations-and-Society.pdf
    • Strengthening-causal-inferences-in-positivist-field-studies_2014_Accounting-Organizations-and-Society.pdf
    • Causality-in-the-context-of-analytical-models-and-numerical-experiments_2014_Accounting-Organizations-and-Society.pdf
    • Participation-in-budgeting-A-critical-anthropological-approach_2014_Accounting-Organizations-and-Society.pdf
    • Exploring-the-possibilities-for-causal-explanation-in-interpretive-research_2014_Accounting-Organizations-and-Society.pdf
    • Editorial-board-and-publication-information_2014_Accounting-Organizations-and-Society.pdf
    • Call-for-Paper_2014_Accounting-Organizations-and-Society.pdf
    • A-manipulationist-view-of-causality-in-cross-sectional-survey-research_2014_Accounting-Organizations-and-Society.pdf
    • Causal-inference-in-empirical-archival-financial-accounting-research_2014_Accounting-Organizations-and-Society.pdf
  • 2.49 MB
  • 2016-2-20
  • journal of financial economics.zip

    本附件包括:
    • Borrow Cheap, Buy High_ The Determinants of Leverage and Pricing in Buyouts.pdf
    • Consumption Volatility Risk.pdf
    • Country Size, Currency Unions, and International Asset Returns.pdf
    • Do Hedge Funds Manipulate Stock Prices_.pdf
    • Dynamic Trading with Predictable Returns and Transaction Costs.pdf
    • Economic Nationalism in Mergers and Acquisitions.pdf
    • Exit as Governance_ An Empirical Analysis.pdf
    • Fire Sales in a Model of Complexity.pdf
    • International Asset Pricing with Recursive Preferences.pdf
    • Pricing Model Performance and the Two-Pass Cross-Sectional Regression Methodology.pdf
  • 4.73 MB
  • 2014-8-15
  • Production frontiers with cross-sectional and time-series variation in efficienc.rar

    本附件包括:
    • Production frontiers with cross-sectional and time-series variation in efficiency levels.pdf
  • 1014.67 KB
  • 2014-5-6
  • ref.rar

    本附件包括:
    • Cross-sectional variation in the stock market response to accounting earnings announcements.pdf
    • An analysis of intertemporal and cross-sectional determinants of earnings response coefficients.pdf
    • Earnings Innovations, Earnings Persistence, and Stock Returns.pdf
    • Do nonlinearity, firm-specific coefficients, and losses represent distinct factors in the relation between stock returns and accounting earnings.pdf
    • An evaluation of alternative proxies for the market's assessment of unexpected earnings.pdf
    • A Nonlinear Model of Security Price Responses to Unexpected Earnings.pdf
    • Estimating earnings response coefficients.pdf
  • 8.91 MB
  • 2012-9-27
  • 398-Pricing of Cross-sectional Idiosyncratic Volatility and Liquidity Bias in Em.rar

    本附件包括:
    • 398-Pricing of Cross-sectional Idiosyncratic Volatility and Liquidity Bias in Emerging Market.pdf
  • 206.91 KB
  • 2012-4-19
  • 经典会计论文top1.rar
       

    本附件包括:
    • Market-Based Empirical Research in Accounting_ A Review, Interpretation, and Extension.pdf
    • Accounting Data and the Prediction of Business Failure_ The Setting of Priors and the Age of Data.pdf
    • Accounting Measurement, Price-Earnings Ratio, and the Information Content of Security Prices.pdf
    • An empirical evaluation of accounting income numbers.pdf
    • An Examination of the Effects of Experience and Task Complexity on Audit Judgments.pdf
    • ANALYST SUPERIORITY RELATIVE TO UNIVARIATE TIME-SERIES MODELS IN FORECASTING QUARTERLY.pdf
    • Availability and the Generation of Hypotheses in Analytical Review.pdf
    • Budgetary Control and Organization Structure.pdf
    • Capital Market Equilibrium, Information Production, and Selecting Accounting Techniques Theoretical Framework and Review of Empirical Work.pdf
    • Corporate Forecasts of Earnings Per Share and Stock Price Behavior Empirical Test.pdf
    • Cross-Sectional Dependence and Problems in Inference in Market-Based Accounting Research.pdf
  • 36.77 MB
  • 2011-10-19
  • 论文ji4.rar

    本附件包括:
    • 398-Pricing of Cross-sectional Idiosyncratic Volatility and Liquidity Bias in Emerging Market.pdf
    • 374-我国商业银行收入结构多元化对银行风险的影响.doc
    • 375-市场竞争、产权改革与商业银行贷款行为转变.doc
    • 376-市场群体的交易性条件反射及其量化方法.pdf
    • 377-信心比黄金更重要.doc
    • 378-中国股票市场上的“隔夜效应”和“午间效 应”研究.doc
    • 390-基金大比例分红之谜.docx
    • 391-异质偏好、认知偏差与资产定价.doc
    • 393-行为金融视角下的人民币汇率决定模型_理论与实证.doc
    • 397-消费攀比效用函数的资产定价研究——基于马尔科夫状态转移的禀赋过程(陈瑞).pdf
    • 399-Equity-link Momentum.pdf
    • 402-Stock Return Predictability of Implied Volatilities :A Study of the Industry Effect.docx
    • 403-Jump Spillover in Energy Futures Markets Implications for Portfolio Risk Diversification.pdf
    • 406-Do prices underreact to information.pdf
    • 407-Intraday Price Discovery and Volatility Transmission in Stock Index and Stock Index Futures Markets Evidence from China.pdf
    • 409-私有信息风险被市场定价了吗?.pdf
    • 411-不同类型投资者对年报信息反应.doc
    • 415-中国AH股溢价问题研究.doc
    • 419-公司规模和账面市值比与违约风险关系的横截面分析.pdf
    • 423-基于内生结构变化的中国股票收益序列的极端风险研究.doc
    • 425-Beta系数跨期时变吗?.doc
    • 427-Improved Stock Market Prediction by Comb ining SVM and EMD(金融学年会).pdf
    • 428-基于风险补偿的企业债券定价.doc
    • 429-订单配置模型.docx
    • 430-牛熊市视角下的资产配置(投稿).docx
    • 435-不对称信息下的资产链定价研究.pdf
    • 439-金融资产定价异常与资产定价模型.doc
    • 441-基于不完全信息视角的中国股市投资者认知研究.pdf
    • 445-信息市场、预期消费与股市收益变动--基于投资者信息选择行为的分析(胥爱欢).pdf
    • 448-中国股市泡沫的三区制特征和基于异质信念的解释.doc
    • 453-Index Investments and Financialization of Commodities.pdf
    • 454-我国股票市场反应不足还是反应过度?(中国金融学年会).doc
    • 459-修改稿_林建浩_中山大学_《通货膨胀与股票收益的关系研究——基于具有财务杠杆与货币效用的资产定价模型》.pdf
    • 462-Access to Equity Markets, Corporate Investments and Stock Returns International Evidence.pdf
    • 463-房地产价格波动与货币政策调控(金融学年会).doc
    • 464-次级债券的市场约束研究(高培道 张圣平).doc
    • A01_吴丽华 人民币期货与现货市场的动态关联性研究(厦门大学金融系 吴丽华 宋芙蓉.doc
    • A02_刘威_陆军 中国动态金融状况指数及其在前瞻性泰勒规则中的检验.doc
    • A03_赵向琴 信息透明度、信息风险和股价暴跌关系研究.doc
    • A04_李善民 Theory of Consumers' Attitude to Investment Revenue.doc
    • A05_张学勇 Voluntary disclosure_cost of equity.doc
    • A06_姚益龙、梁红玉 媒体监督与企业价值的关系研究.doc
  • 10.16 MB
  • 2011-5-9
  • 2.rar

    本附件包括:
    • 398-Pricing of Cross-sectional Idiosyncratic Volatility and Liquidity Bias in Emerging Market.pdf
    • 1-INITIAL RETURN IS SAMLLER THAN UNDERPRICING.pdf
    • 104-全球金融一体化与中国对外资产结构异象.pdf
    • 126-人民币汇率预期特征研究——基于金融机构调查数据的实证分析(李晓峰).pdf
    • 159-基于生产函数法的季度潜在产出估计.pdf
    • 168-我国货币政策工具最优选择的考 察-基于普勒规则的扩展.pdf
    • 182-最优财政和货币政策及其福利效应分析.pdf
    • 190-经济二元、结构效应与转轨时期的货币长期非中性.pdf
    • 2-It Pays to Follow the Leader- Acquiring Targets Picked by Private Equity.pdf
    • 226-One Factor CVA Model for CDS with Counterparty Credit Risk in the Reduced Form Framework.pdf
    • 234-投资者情绪对证券价格波动的影响的理论分析、建模与模拟-会议投稿.pdf
    • 245-带两因素随机波动的衍生证券最优投资策略.pdf
    • 252-风险中性高阶矩:特征、风险与应用.pdf
    • 259-金融资产的动态非线性相关--一个新的模型.pdf
    • 260-包含定价噪音期权价格中的风险中性密度估计.pdf
    • 284-是谁加剧了知情交易.pdf
    • 285-我国外汇市场压力研究--基于马尔可夫区制转换方法(定稿陈娟).pdf
    • 296-基于动态随机一般均衡模型的房地产市场结构与宏观经济波动研究(中国金融学年会).pdf
    • 301-基于二手市场与理性预期的房地产市场机制研究.pdf
    • 305-中国宏观经济时序的平稳性再考察.pdf
    • 315-民间金融与农户借贷选择.pdf
    • 318-我国房市泡沫的决定性因素分析:理论与实证.pdf
    • 330-谁获得了更多的隐性收入.pdf
    • 334-When Does Capital Adequacy Ratio Fail to Indicate Capital Adequacy.pdf
    • 335-bank risks and the effects of monetary policy in China.pdf
    • 363-银行资本、银行信贷与宏观经济波动.pdf
    • 37-经营者将要退休是否影响公司绩效.pdf
    • 373-银行所有类型与上市公司流动性.pdf
    • 376-市场群体的交易性条件反射及其量化方法.pdf
    • 397-消费攀比效用函数的资产定价研究——基于马尔科夫状态转移的禀赋过程(陈瑞).pdf
    • 399-Equity-link Momentum.pdf
    • 40-寻租还是政府压力:基金代表了谁的利益(江萍).pdf
    • 403-Jump Spillover in Energy Futures Markets Implications for Portfolio Risk Diversification.pdf
    • 406-Do prices underreact to information.pdf
    • 407-Intraday Price Discovery and Volatility Transmission in Stock Index and Stock Index Futures Markets Evidence from China.pdf
    • 409-私有信息风险被市场定价了吗?.pdf
    • 419-公司规模和账面市值比与违约风险关系的横截面分析.pdf
    • 427-Improved Stock Market Prediction by Comb ining SVM and EMD(金融学年会).pdf
    • 435-不对称信息下的资产链定价研究.pdf
    • 441-基于不完全信息视角的中国股市投资者认知研究.pdf
    • 445-信息市场、预期消费与股市收益变动--基于投资者信息选择行为的分析(胥爱欢).pdf
    • 453-Index Investments and Financialization of Commodities.pdf
    • 459-修改稿_林建浩_中山大学_《通货膨胀与股票收益的关系研究——基于具有财务杠杆与货币效用的资产定价模型》.pdf
    • 46-股权分置改革与上市公司业绩薪酬实证研究.pdf
    • 462-Access to Equity Markets, Corporate Investments and Stock Returns International Evidence.pdf
    • 54-终极控制权法制环境与上市公司现金持有.pdf
    • 57-现金、股利与独立董事有效性.pdf
    • 58-企业生命周期视角下董事会治理结构演变及影响因素.pdf
    • 59-社会目标、雇员规模与民营化定价.pdf
    • 68-经理人变更具有治理效应吗.pdf
    • 69-中国上市公司代理成本的估算.pdf
    • 75-Will Currency Appreciation Crowd Out Domestic Consumption:Evi dence from China, Japan and Korea.pdf
  • 20.06 MB
  • 2010-12-2
  • abbr_5e5b079e963447f4f98a50f0853bd1aa.rar
       Cross-sectional variation in the stock market response to accounting earnings announcements

    本附件包括:
    • Cross-sectional variation in the stock market response to accounting earnings announcements.pdf
  • 1.28 MB
  • 2010-1-20
  • 319827.pdf
       [求助]cross-sectional dependence in panels - Pesaran test

  • 467.9 KB
  • 2009-4-28
  • 317492.pdf
       [分享]On the impact of error cross-sectional dependence in short dynamic panel estimation

  • 326.17 KB
  • 2009-4-21
  • 218336.rar
       [分享]好东西自然要好价钱啦!

    本附件包括:
    • 1Production efficiency and the pricing of audit services.pdf
    • 1the pricing of audit service theory and evidence.pdf
    • 2An Analysis of Cross-Sectional Differences.pdf
    • 2AUDITOR INDEPENDENCE, 'LOW BALLING', AND.pdf
    • 3The Efficiency of Audit Production.pdf
    • 3the role of market forces in assuring contractual performance.pdf
    • 4.3The effects of firm-wide and office-level industry expertise on audit pricing.pdf
  • 12.4 MB
  • 2008-6-10
  • 178818.pdf
       [求助]Using the spss mixed procedure to fit cross-sectional and longitudinal multilevel m

  • 136.86 KB
  • 2007-12-1
  • 126248.pdf
       [下载]A Cross-Sectional Test of an Investment-Based Asset Pricing Model John H. Cochra

  • 986.57 KB
  • 2007-6-15
  • 106933.rar
       [下载]A Guide to CHNS Data List

    本附件包括:
    • A Guide to CHNS Food Compostion Table.doc
    • A Guide to CHNS Cross-Sectional Data List.doc
    • A Guide to CHNS Longitudinal Data List.doc
  • 198.51 KB
  • 2007-4-10
  • 106911.rar
       [下载]A Guide to CHNS Data List

    本附件包括:
    • A Guide to CHNS Longitudinal Data List.doc
    • A Guide to CHNS Cross-Sectional Data List.doc
    • A Guide to CHNS Food Compostion Table.doc
  • 198.51 KB
  • 2007-4-10
  • 70211.pdf
       Jumps in Rank and Expected Returns Introducing Varying Cross-sectional Risk

  • 359.76 KB
  • 2006-11-3
  • 64489.rar
       Optimal Adjustment of Attributes in Cross-Sectional Prediction Models(PPT)

    本附件包括:
    • Optimal_adjustment_of.ppt
  • 5.25 KB
  • 2006-9-20
  • 25773.rar
       Journal of Econometrics Vol 95 2000

    本附件包括:
    • Cross-sectional aggregation of non-linear models.pdf
    • A numerically stable quadrature procedure for the one-factor random-component discrete choice model.pdf
    • Bayesian analysis of ARMA–GARCH models-- A Markov chain sampling approach.pdf
    • Conference Paper.pdf
    • Detection of change in persistence of a linear time series.pdf
    • Econometrics and decision theory.pdf
    • Editorial.pdf
    • Empirically relevant critical values for hypothesis tests-- A bootstrap approach.pdf
    • Estimating the density of unemployment duration based on contaminated samples or small samples.pdf
    • Estimation of a censored regression panel data model using conditional moment restrictions efficiently.pdf
    • Galton, Edgeworth, Frisch, and prospects for quantile regression in econometrics.pdf
    • Identification problems and decisions under ambiguity-- treatment response and choice.pdf
    • Index.pdf
    • Internet-based econometric computing.pdf
    • On the sensitivity of the usual t- and F-tests to covariance misspecification.pdf
    • Rank estimation of a generalized fixed-effects regression model.pdf
    • Testing for the cointegrating rank of a VAR process with a time trend.pdf
    • Testing time reversibility without moment restrictions.pdf
    • The econometric consequences of the ceteris paribus condition in economic theory.pdf
    • The incidental parameter problem since 1948.pdf
    • Unit root tests in the presence of uncertainty about the non-stochastic trend.pdf
    • Using a likelihood perspective to sharpen econometric discourse-- Three examples.pdf
  • 3.35 MB
  • 2005-9-9
  • 18090.rar
       Overconfidence and Cross-Sectional Returns

    本附件包括:
    • test_hml.pdf
  • 158.32 KB
  • 2005-6-30
  • 18089.rar
       Overconfidence and Cross-Sectional Returns

    本附件包括:
    • Overconfidence, Arbitrage, and Equilibrium Asset Pricing.pdf
  • 202.22 KB
  • 2005-6-30
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