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Publisher: Routledge, part of the Taylor & Francis Group

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Volume 16, Number 11, 1 July 2006

Volatility relationship between stock performance and real output
pp. 777-784(8)
Authors: Ahn, Eun S.; Lee, Jin Man

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Resource discovery and stock market hysteresis
pp. 785-788(4)
Authors: Gazioglu, Saziye; McCausland, W. David

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Competition and structure of South Asian banking: a revenue behaviour approach
pp. 789-801(13)
Authors: Perera, Shrimal; Skully, Michael; Wickramanayake, J.

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Evaluation of performance and conditional information: the case of Spanish mutual funds
pp. 803-817(15)
Authors: Agudo, Luis Ferruz; Magallón, María Vargas; Sarto, José L.

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A systematic modelling strategy for futures markets volatility
pp. 819-833(15)
Authors: Carvalho, Ana Filipa; Costa, José Sá da; Lopes, José Assis

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Liquidity adjusted value-at-risk based on the components of the bid-ask spread
pp. 835-851(17)
Authors: Angelidis, Timotheos; Benos, Alexandros

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