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Publisher: Routledge, part of the Taylor & Francis Group

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Volume 20, Number 3, February 2010

Sources of output volatility from financial crisis in emerging markets
pp. 183-199(17)
Authors: Pattanachak, Kritchaya; Lee, Jin Man

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Misvaluation and UK mergers 1986-2002
pp. 201-211(11)
Authors: Coakley, Jerry; Fu, Lei; Thomas, Hardy

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Is the crisis treatment exacerbating cautiousness or risk-taking?
pp. 213-218(6)
Authors: Damette, Olivier; Froute, Philippe

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To have a target debt ratio or not: what difference does it make?
pp. 219-226(8)
Authors: de Jong, Abe; Verwijmeren, Patrick

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Global liquidity and commodity prices-a cointegrated VAR approach for OECD countries
pp. 227-242(16)
Authors: Belke, Ansgar; Bordon, Ingo; Hendricks, Torben

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Endogenous mergers: bidder momentum and market reaction
pp. 243-254(12)
Authors: Kling, Gerhard; Weitzel, Utz

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An empirical analysis of calendar anomalies in the Malaysian stock market
pp. 255-264(10)
Authors: Lim, Shiok Ye; Mun Ho, Chong; Dollery, Brian

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