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Publisher: Routledge, part of the Taylor & Francis Group

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Volume 18, Number 21, December 2008

A new perspective on financial anomalies in emerging markets: the case of China
pp. 1681-1695(15)
Authors: Zhang, Zhichao; Sun, Wai; Wang, Hua

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Effect of intervalling and skewness on portfolio selection in developed and developing markets
pp. 1697-1707(11)
Authors: Chang, Chun-Hao; Dupoyet, Brice; Prakash, Arun

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Causality-in-variance and causality-in-mean among European government bond markets
pp. 1709-1720(12)
Authors: Li, Guangzhong; Refalo, James; Wu, Lifan

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Family ownership and the cost of under-diversification
pp. 1721-1737(17)
Authors: Heaney, Richard; Holmen, Martin

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Aggregate hedge funds' flows and returns
pp. 1755-1764(10)
Authors: Beltratti, Andrea; Morana, Claudio

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