Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ K: Law and Economics
/ / K2: Regulation and Business Law
/ / / K22: Business and Securities Law
2013
- Angela Miff, 2013, "The associative forms in Romania following the new Civil Code, republished in 2011," Juridical Tribune - Review of Comparative and International Law, Bucharest Academy of Economic Studies, volume 3, issue 2, pages 289-307, December.
- Sh. M. Hum. Taufiqurrahman, 2013, "Regulatory on the corporate social responsibility in the context of sustainable development by mandatory in the world trade organization law perspective (case study in Indonesia)," Juridical Tribune - Review of Comparative and International Law, Bucharest Academy of Economic Studies, volume 3, issue 2, pages 45-65, December.
- Moody, Daryn, 2013, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 192-193, January.
- Wymeersch, Eddy, 2013, "The banking union’s single supervisory mechanism and the securities business," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 194-202, January.
- Tsai, Brian J. & Magidson, Matthew A., 2013, "Counterparty risk management for today and the future," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 203-211, January.
- Nelson, Barnaby, 2013, "Back office outsourcing in Asia: Bridging the customer divide," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 212-217, January.
- Van De Velde, Jo, 2013, "The evolving role of collateral in international capital markets," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 218-231, January.
- Retzer, Daniel E., 2013, "Transforming uncertainty into opportunity: Coexistence of ISO 15022 and 20022 messaging standards," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 232-236, January.
- Von Maur, Peter, 2013, "The Dodd–Frank Title VII recordkeeping requirements: Finding a way to the light," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 237-250, January.
- Pitts, Gary & Aylott, Carla, 2013, "Opening Pandora’s box: The challenge of social media in a regulated environment," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 251-261, January.
- Douglas, Rohan & Pugachevsky, Dmitry, 2013, "Overnight index swap and integrated credit valuation adjustment discounting," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 262-275, January.
- Kashkin, Anton, 2013, "Corporate actions on Russian securities: Market practice, legislation and proposed changes to the legislation," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 3, pages 276-291, January.
- Moody, Daryn, 2013, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 297-298, March.
- Wallin, James, 2013, "Impact of reform on collateral and margin requirement practices," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 299-311, March.
- Wallin, James & Clingan, Camille, 2013, "An overview of Dodd–Frank as it relates to OTC derivatives reform," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 312-316, March.
- Williams, Jon, 2013, "Certainty of clearing: Creating a credit-checking tool for OTC derivatives," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 317-320, March.
- Mcvey, Richard M., 2013, "The Volcker Rule and other regulations: Regulatory impact on credit market structure," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 321-325, March.
- Herskovitz, Mike, 2013, "Infrastructure readiness for swaps clearing," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 326-330, March.
- Schiavetta, John & Feygin, Vlad, 2013, "Counterparty risk management at the advent of central clearing for swaps," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 331-337, March.
- Callahan, Jack, 2013, "Addressing initial margin challenges in the new swaps world," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 338-341, March.
- Lannoo, Karel & Valiante, Diego, 2013, "Prospects and challenges of a pan-European post-trade infrastructure," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 342-356, March.
- Cameron, Timothy & Nevins, Matt, 2013, "Swaps central clearing for asset managers: How clear is it?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 357-362, March.
- Hirani, Sunil, 2013, "Automated terminations in a cleared world (coming soon)," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 5, issue 4, pages 363-368, March.
- Millet, François, 2013, "ESMA earns strong credentials thanks to its convincing approach concerning ETF regulation," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 10-15, August.
- Gogna, Monica, 2013, "The ETF industry: A retrospective and suggestion for the future," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 16-18, August.
- Lansing, Townsend, 2013, "Regulation of exchange traded funds as part of ESMA guidelines implementation: Operational costs and requirements for exchanges," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 19-24, August.
- Vasanth, Sandilya B., 2013, "Asset allocation models," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 25-30, August.
- Costandinides, Christos & Sinclair, Leon, 2013, "Considerations when investing in and pricing emerging market fixed income securities," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 31-41, August.
- Moody, Daryn, 2013, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 4-5, August.
- Bingham-Peters, Pat, 2013, "Going global: The international impact of securities class actions," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 42-50, August.
- Yanagawa, Eiichiro, 2013, "Capital market trends in Japan: Drivers of innovation and a market in transition," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 51-64, August.
- Miller, Alan, 2013, "ESMA guidelines for securities lending: ‘Gaming’ the regulator?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 6-9, August.
- Choi, Keukjin & Han, Youngwoo, 2013, "Practical development of a CCP risk management system for institutional investor settlement in the Korean stock market," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 65-80, August.
- Coskun, Yener, 2013, "Financial engineering and engineering of financial regulation: Guidance for compliance and risk management," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 6, issue 1, pages 81-94, August.
- Andrew T. Young & Daniel Levy, 2013, "Explicit Evidence of an Implicit Contract," Working Papers, Bar-Ilan University, Department of Economics, number 2013-06, Oct.
- Francesca Cornelli & Zbigniew Kominek & Alexander Ljungqvist, 2013, "Monitoring Managers: Does It Matter?," Journal of Finance, American Finance Association, volume 68, issue 2, pages 431-481, April, DOI: jofi.12004.
- Gheorghe, BONCIU, 2013, "Legal Valences Of Good Faith In The Context Of Consumerist Relations Within The European Union," Management Strategies Journal, Constantin Brancoveanu University, volume 22, issue Special, pages 198-208.
- Édouard Vieillefond, 2013, "Désintermédiation, protection des consommateurs et devoir de conseil," Revue d'économie financière, Association d'économie financière, volume 0, issue 1, pages 249-264.
- John Buchanan & Dominic Heesang Chai & Simon Deakin, 2013, "Empirical Analysis of Legal Institutions and Institutional Change: Multiple-Methods Approaches and their Application to Corporate Governance Research," Working Papers, Centre for Business Research, University of Cambridge, number wp445, Sep.
- John Buchanan & Dominic Heesang Chai & Simon Deakin, 2013, "Agency Theory in Practice: A Qualitative Study of Hedge Fund Activism in Japan," Working Papers, Centre for Business Research, University of Cambridge, number wp448, Dec.
- Simon Deakin, 2013, "The Legal Framework Governing Business Firms & its Implications for Manufacturing Scale & Performance: The UK Experience in International Perspective," Working Papers, Centre for Business Research, University of Cambridge, number wp449, Dec.
- Bruno Maria Parigi & Loriana Pelizzon & Ernst-Ludwig von Thadden, 2013, "Stock Market Returns, Corporate Governance and Capital Market Equilibrium," CESifo Working Paper Series, CESifo, number 4496.
- Karol Pachnik, 2013, "The importance of responsibility for using fraudulent market’s actions," Ekonomia i Prawo, Uniwersytet Mikolaja Kopernika, volume 12, issue 2, pages 261-272, June, DOI: 10.12775/EiP.2013.020.
- Agata Adamska, 2013, "Corporate governance as an area of regulatory arbitrage," Ekonomia i Prawo, Uniwersytet Mikolaja Kopernika, volume 12, issue 4, pages 525-536, December, DOI: 10.12775/EiP.2013.038.
- Richard, Jacques (ed.), 2013, "Comparaison du droit comptable allemand et du droit comptable français : une approche systémique," Economics Thesis from University Paris Dauphine, Paris Dauphine University, number 123456789/13661.
- Bruggemann, Ulf & Kaul, Aditya & Leuz, Christian & Werner, Ingrid M., 2013, "The Twilight Zone: OTC Regulatory Regimes and Market Quality," Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics, number 2013-09, Aug.
- Ramstetter, Eric D. & Ngoc, Phan Minh, 2013, "Productivity, ownership, and producer concentration in transition: Further evidence from Vietnamese manufacturing," Journal of Asian Economics, Elsevier, volume 25, issue C, pages 28-42, DOI: 10.1016/j.asieco.2012.12.001.
- Lin, Hui Ling & Pukthuanthong, Kuntara & Walker, Thomas John, 2013, "An international look at the lawsuit avoidance hypothesis of IPO underpricing," Journal of Corporate Finance, Elsevier, volume 19, issue C, pages 56-77, DOI: 10.1016/j.jcorpfin.2012.10.003.
- Cicero, David & Wintoki, M. Babajide & Yang, Tina, 2013, "How do public companies adjust their board structures?," Journal of Corporate Finance, Elsevier, volume 23, issue C, pages 108-127, DOI: 10.1016/j.jcorpfin.2013.08.001.
- Cumming, Douglas & Li, Dan, 2013, "Public policy, entrepreneurship, and venture capital in the United States," Journal of Corporate Finance, Elsevier, volume 23, issue C, pages 345-367, DOI: 10.1016/j.jcorpfin.2013.09.005.
- Chen, Jiandong & Cumming, Douglas & Hou, Wenxuan & Lee, Edward, 2013, "Executive integrity, audit opinion, and fraud in Chinese listed firms," Emerging Markets Review, Elsevier, volume 15, issue C, pages 72-91, DOI: 10.1016/j.ememar.2012.12.003.
- Murphy, Kevin J., 2013, "Executive Compensation: Where We Are, and How We Got There," Handbook of the Economics of Finance, Elsevier, chapter 0, in: G.M. Constantinides & M. Harris & R. M. Stulz, "Handbook of the Economics of Finance", DOI: 10.1016/B978-0-44-453594-8.00004-5.
- La Porta, Rafael & Lopez-de-Silanes, Florencio & Shleifer, Andrei, 2013, "Law and Finance After a Decade of Research," Handbook of the Economics of Finance, Elsevier, chapter 0, in: G.M. Constantinides & M. Harris & R. M. Stulz, "Handbook of the Economics of Finance", DOI: 10.1016/B978-0-44-453594-8.00006-9.
- Wielhouwer, Jacco L., 2013, "When is public enforcement of insider trading regulations effective?," International Review of Law and Economics, Elsevier, volume 34, issue C, pages 52-60, DOI: 10.1016/j.irle.2012.12.001.
- Couwenberg, Oscar & Lubben, Stephen J., 2013, "Solving creditor problems in the twilight zone: Superfluous law and inadequate private solutions," International Review of Law and Economics, Elsevier, volume 34, issue C, pages 61-76, DOI: 10.1016/j.irle.2013.01.001.
- Miller, Amalia R. & Eibner, Christine & Gresenz, Carole Roan, 2013, "Financing of employer sponsored health insurance plans before and after health reform: What consumers don’t know won’t hurt them?," International Review of Law and Economics, Elsevier, volume 36, issue C, pages 36-47, DOI: 10.1016/j.irle.2013.04.005.
- Bøhren, Øyvind & Krosvik, Nils Erik, 2013, "The economics of minority freezeouts: Evidence from the courtroom," International Review of Law and Economics, Elsevier, volume 36, issue C, pages 48-58, DOI: 10.1016/j.irle.2013.04.007.
- Allen, Abigail & Ramanna, Karthik, 2013, "Towards an understanding of the role of standard setters in standard setting," Journal of Accounting and Economics, Elsevier, volume 55, issue 1, pages 66-90, DOI: 10.1016/j.jacceco.2012.05.003.
- Gao, Pingyang, 2013, "A measurement approach to conservatism and earnings management," Journal of Accounting and Economics, Elsevier, volume 55, issue 2, pages 251-268, DOI: 10.1016/j.jacceco.2012.10.001.
- Christensen, Hans B. & Hail, Luzi & Leuz, Christian, 2013, "Mandatory IFRS reporting and changes in enforcement," Journal of Accounting and Economics, Elsevier, volume 56, issue 2, pages 147-177, DOI: 10.1016/j.jacceco.2013.10.007.
- Barth, Mary E. & Israeli, Doron, 2013, "Disentangling mandatory IFRS reporting and changes in enforcement," Journal of Accounting and Economics, Elsevier, volume 56, issue 2, pages 178-188, DOI: 10.1016/j.jacceco.2013.11.002.
- Alexander, Cindy R. & Bauguess, Scott W. & Bernile, Gennaro & Lee, Yoon-Ho Alex & Marietta-Westberg, Jennifer, 2013, "Economic effects of SOX Section 404 compliance: A corporate insider perspective," Journal of Accounting and Economics, Elsevier, volume 56, issue 2, pages 267-290, DOI: 10.1016/j.jacceco.2013.09.002.
- Ahn, Seoungpil & Shrestha, Keshab, 2013, "The differential effects of classified boards on firm value," Journal of Banking & Finance, Elsevier, volume 37, issue 11, pages 3993-4013, DOI: 10.1016/j.jbankfin.2013.07.029.
- Cumming, Douglas & Zambelli, Simona, 2013, "Private equity performance under extreme regulation," Journal of Banking & Finance, Elsevier, volume 37, issue 5, pages 1508-1523, DOI: 10.1016/j.jbankfin.2012.04.002.
- Blazy, Régis & Chopard, Bertrand & Nigam, Nirjhar, 2013, "Building legal indexes to explain recovery rates: An analysis of the French and English bankruptcy codes," Journal of Banking & Finance, Elsevier, volume 37, issue 6, pages 1936-1959, DOI: 10.1016/j.jbankfin.2012.10.024.
- Tarantino, Emanuele, 2013, "Bankruptcy law and corporate investment decisions," Journal of Banking & Finance, Elsevier, volume 37, issue 7, pages 2490-2500, DOI: 10.1016/j.jbankfin.2013.02.007.
- Deakin, Simon, 2013, "The legal theory of finance: Implications for methodology and empirical research," Journal of Comparative Economics, Elsevier, volume 41, issue 2, pages 338-342, DOI: 10.1016/j.jce.2013.03.005.
- Awrey, Dan, 2013, "Toward a supply-side theory of financial innovation," Journal of Comparative Economics, Elsevier, volume 41, issue 2, pages 401-419, DOI: 10.1016/j.jce.2013.03.011.
- Langlois, Richard N., 2013, "Business groups and the natural state," Journal of Economic Behavior & Organization, Elsevier, volume 88, issue C, pages 14-26, DOI: 10.1016/j.jebo.2012.02.016.
- Balsmeier, Benjamin & Bermig, Andreas & Dilger, Alexander, 2013, "Corporate governance and employee power in the boardroom: An applied game theoretic analysis," Journal of Economic Behavior & Organization, Elsevier, volume 91, issue C, pages 51-74, DOI: 10.1016/j.jebo.2013.04.004.
- Agrawal, Ashwini K., 2013, "The impact of investor protection law on corporate policy and performance: Evidence from the blue sky laws," Journal of Financial Economics, Elsevier, volume 107, issue 2, pages 417-435, DOI: 10.1016/j.jfineco.2012.08.019.
- Bebchuk, Lucian A. & Cohen, Alma & Wang, Charles C.Y., 2013, "Learning and the disappearing association between governance and returns," Journal of Financial Economics, Elsevier, volume 108, issue 2, pages 323-348, DOI: 10.1016/j.jfineco.2012.10.004.
- Dyreng, Scott D. & Lindsey, Bradley P. & Thornock, Jacob R., 2013, "Exploring the role Delaware plays as a domestic tax haven," Journal of Financial Economics, Elsevier, volume 108, issue 3, pages 751-772, DOI: 10.1016/j.jfineco.2013.01.004.
- Field, Laura & Lowry, Michelle & Mkrtchyan, Anahit, 2013, "Are busy boards detrimental?," Journal of Financial Economics, Elsevier, volume 109, issue 1, pages 63-82, DOI: 10.1016/j.jfineco.2013.02.004.
- Cohen, Alma & Wang, Charles C.Y., 2013, "How do staggered boards affect shareholder value? Evidence from a natural experiment," Journal of Financial Economics, Elsevier, volume 110, issue 3, pages 627-641, DOI: 10.1016/j.jfineco.2013.08.005.
- Bubb, Ryan & Kaufman, Alex, 2013, "Consumer biases and mutual ownership," Journal of Public Economics, Elsevier, volume 105, issue C, pages 39-57, DOI: 10.1016/j.jpubeco.2013.06.002.
- Massa, Massimo & Vermaelen, Theo & Xu, Moqi, 2013, "Rights offerings, trading, and regulation: a global perspective," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 55403, Dec.
- Ferrarini, Guido & Saguato, Paolo, 2013, "Reforming securities and derivatives trading in the EU: from EMIR to MiFIR," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 59682, Oct.
- Agrawal, Ashwini K., 2013, "The impact of investor protection law on corporate policy and performance: evidence from the blue sky laws," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 69607, Feb.
- Kuntara Pukthuanthong & Thomas J. Walker & Dolruedee Nuttanontra Thiengtham & Heng Du, 2013, "Does family ownership create or destroy value? Evidence from Canada," International Journal of Managerial Finance, Emerald Group Publishing Limited, volume 9, issue 1, pages 13-48, February, DOI: 10.1108/17439131311298511.
- Diego Valiante, 2013, "Setting an institutional and regulatory framework for trading platforms," Journal of Financial Regulation and Compliance, Emerald Group Publishing Limited, volume 21, issue 1, pages 69-83, February, DOI: 10.1108/13581981311297830.
- Morten Balling & Ernest Gnan, 2013, "The development of financial markets and financial theory: 50 years of interaction," SUERF 50th Anniversary Volume Chapters, SUERF - The European Money and Finance Forum, chapter 5, in: Morten Balling & Ernest Gnan, "50 Years of Money and Finance: Lessons and Challenges".
- Tamara Milenkovic-Kerkovic & Mirjana Jemovic, 2013, "The Specific Legal Nature of the Transaction in Islamic Banking Law," European Research Studies Journal, European Research Studies Journal, volume 0, issue 1, pages 29-40.
- Borut Strazisar, 2013, "Financial Cirsis – Past Mistakes Repeated Or New Made?," EY International Congress on Economics I (EYC2013), October 24-25, 2013, Ankara, Turkey, Ekonomik Yaklasim Association, number 204.
- Massimo Massa & Theo Vermaelen & Moqi Xu, 2013, "Rights offerings, trading, and regulation: A global perspective," FMG Discussion Papers, Financial Markets Group, number dp727.
- Konstanin Yanovsky & Sergey Zhavoronkov & Daniel Shestakov, 2013, "Risks, responsibility and public respect: Cases of entrepreneurs elected in the USA and in Russia," Published Papers, Gaidar Institute for Economic Policy, number 142, revised 2013.
- Tristan Auvray, 2014, "Droit des actionnaires et concentration de la propriété en Europe," Post-Print, HAL, number hal-00843004, DOI: 10.3917/reco.651.0159.
- Elodie Rouviere & Karine Latouche, 2014, "Impact of Liability Rules on Modes of Coordination for Food Safety in Supply Chains," Post-Print, HAL, number hal-01323148, DOI: 10.1007/s10657-013-9413-0.
- Nadine Levratto & Evelyne Serverin, 2013, "Become independant! The paradoxical constraints of France's 'Auto-Entrepreneur' Regime," Post-Print, HAL, number hal-01385848.
- Régis Blazy & Bertrand Chopard & Nirjhar Nigam, 2013, "Buiding legal indexes to explain recovery rates: An analysis of the French and English bankrupcy codes," Post-Print, HAL, number hal-01514536, DOI: 10.1016/j.jbankfin.2012.10.024.
- Elodie Rouviere & Karine Latouche, 2013, "Impact of Liability Rules on Modes of Coordination for Food Safety in Supply Chains," Post-Print, HAL, number hal-01587298, Jun.
- Marc Lenglet & Angelo Riva, 2013, "Les conséquences inattendues de la régulation financière : pourquoi les algorithmes génèrent-ils de nouveaux risques sur les marchés financiers ?," Post-Print, HAL, number halshs-01517014, Oct.
- Iwasaki, Ichiro & 岩﨑, 一郎 & イワサキ, イチロウ, 2013, "Economics of Corporate Form: Why Do Russian Firms Prefer to Be Closed Companies?," RRC Working Paper Series, Russian Research Center, Institute of Economic Research, Hitotsubashi University, number 3, May.
- Iwasaki, Ichiro, 2011, "Executive Board: The Russian Experience," RRC Working Paper Series, Russian Research Center, Institute of Economic Research, Hitotsubashi University, number 32, May.
- Iwasaki, Ichiro & 岩﨑, 一郎, 2013, "Firm-Level Determinants of Board System Choice: Evidence from Russia," RRC Working Paper Series, Russian Research Center, Institute of Economic Research, Hitotsubashi University, number 32_v2, Feb.
- Jenny Poschmann, 2013, "Approaches to Shadow Banking Regulation - Monitoring and Policy Framework," Global Financial Markets Working Paper Series, Friedrich-Schiller-University Jena, number 43-2013, Aug.
- Michael Graff, 2013, "Legal origin and financial development: new evidence for old claims? The creditor rights index revisited," International Journal of Trade and Global Markets, Inderscience Enterprises Ltd, volume 6, issue 4, pages 326-344.
- William Forbes, 2013, "No conflict, no interest: on the economics of conflicts of interest faced by analysts," European Journal of Law and Economics, Springer, volume 35, issue 3, pages 327-348, June, DOI: 10.1007/s10657-011-9284-1.
- Klaus Gugler, 2013, "The determinants of rent extraction in the parent-subsidiary relation," Empirica, Springer;Austrian Institute for Economic Research;Austrian Economic Association, volume 40, issue 2, pages 343-362, May, DOI: 10.1007/s10663-012-9189-4.
- Satoshi Taguchi & Masayuki Ueeda & Kazunori Miwa & Satoru Mizutani, 2013, "Economic Consequences of Global Accounting Convergence: An Experimental Study," The Japanese Accounting Review, Research Institute for Economics & Business Administration, Kobe University, volume 3, pages 103-120, December.
- Ronald J. Gilson & Alan Schwartz, 2013, "Constraints on Private Benefits of Control: Ex Ante Control Mechanisms versus Ex Post Transaction Review," Journal of Institutional and Theoretical Economics (JITE), Mohr Siebeck, Tübingen, volume 169, issue 1, pages 160-183, March, DOI: 10.1628/093245613X660537.
- Eric van Damme, 2013, "Preventing Abuse by Controlling Shareholders," Journal of Institutional and Theoretical Economics (JITE), Mohr Siebeck, Tübingen, volume 169, issue 1, pages 190-196, March, DOI: 10.1628/093245613X660555.
- Sergey Stepanov, 2013, "Shareholder Protection and Outside Blockholders: Substitutes or Complements?," Journal of Institutional and Theoretical Economics (JITE), Mohr Siebeck, Tübingen, volume 169, issue 2, pages 355-381, June, DOI: 10.1628/093245613X666315.
- Engert, Andreas & Goldlücke, Susanne, 2013, "Why agents need discretion: The business judgment rule as optimal standard of care," Working Papers, University of Mannheim, Department of Economics, number 13-04.
- Emiliano Marchisio, 2013, "A Behavioural Analysis of Shareholders' Meetings," Banca Impresa Società, Società editrice il Mulino, issue 3, pages 427-468.
- Tomasz Piskorski & Amit Seru & James Witkin, 2013, "Asset Quality Misrepresentation by Financial Intermediaries: Evidence from RMBS Market," NBER Working Papers, National Bureau of Economic Research, Inc, number 18843, Feb.
- Joseph J. Gerakos & Chad Syverson, 2013, "Competition in the Audit Market: Policy Implications," NBER Working Papers, National Bureau of Economic Research, Inc, number 19251, Jul.
- Ulf Brüggemann & Aditya Kaul & Christian Leuz & Ingrid M. Werner, 2013, "The Twilight Zone: OTC Regulatory Regimes and Market Quality," NBER Working Papers, National Bureau of Economic Research, Inc, number 19358, Aug.
- Buklemishev, O. & Danilov, Yu., 2013, "Effective Financial Regulation and Creation of the Mega-Regulator in Russia," Journal of the New Economic Association, New Economic Association, volume 19, issue 3, pages 82-98.
- Héctor Lehuedé, 2013, "Colombian SOEs: A Review Against the OECD Guidelines on Corporate Governance of State-owned Enterprises," OECD Corporate Governance Working Papers, OECD Publishing, number 12, Dec, DOI: 10.1787/5k3v1ts5s4f6-en.
- Erik P. M. Vermeulen, 2013, "Beneficial Ownership and Control: A Comparative Study - Disclosure, Information and Enforcement," OECD Corporate Governance Working Papers, OECD Publishing, number 7, Jan, DOI: 10.1787/5k4dkhwckbzv-en.
- Fianna Jurdant, 2013, "Disclosure of Beneficial Ownership and Control in Indonesia: Legislative and Regulatory Policy Options for Sustainable Capital Markets," OECD Corporate Governance Working Papers, OECD Publishing, number 9, Jul, DOI: 10.1787/5k43m4pdrj36-en.
- Valeria Falce, 2013, "Interlocking Directorates: An Italian Antitrust Dilemma," Journal of Competition Law and Economics, Oxford University Press, volume 9, issue 2, pages 457-472.
- Luis Marín-Tobar, 2013, "Competition Regulation In Ecuador," Journal of Competition Law and Economics, Oxford University Press, volume 9, issue 3, pages 755-774.
- Henry E. Smith, 2013, "Property As Platform: Coordinating Standards For Technological Innovation," Journal of Competition Law and Economics, Oxford University Press, volume 9, issue 4, pages 1057-1089.
- Tracy Yue Wang, 2013, "Corporate Securities Fraud: Insights from a New Empirical Framework," The Journal of Law, Economics, and Organization, Oxford University Press, volume 29, issue 3, pages 535-568, June.
- Dhammika Dharmapala & Vikramaditya Khanna, 2013, "Corporate Governance, Enforcement, and Firm Value: Evidence from India," The Journal of Law, Economics, and Organization, Oxford University Press, volume 29, issue 5, pages 1056-1084, October.
- Alexander Muravyev, 2013, "Investor Protection and the Value of Shares: Evidence from Statutory Rules Governing Variations of Shareholders' Class Rights in an Emerging Market," The Journal of Law, Economics, and Organization, Oxford University Press, volume 29, issue 6, pages 1344-1383, December.
- Nicola Gennaioli & Stefano Rossi, 2013, "Contractual Resolutions of Financial Distress," The Review of Financial Studies, Society for Financial Studies, volume 26, issue 3, pages 602-634.
- Ichiro Iwasaki, 2013, "Firm-Level Determinants of Board System Choice: Evidence from Russia," Comparative Economic Studies, Palgrave Macmillan;Association for Comparative Economic Studies, volume 55, issue 4, pages 636-671, December.
- Piller, Zsuzsa, 2013, "The Modes of Matching of Insolvency Proceedings in International Comparison," Public Finance Quarterly, Corvinus University of Budapest, volume 58, issue 2, pages 148-162.
- Young, Andrew & Levy, Daniel, 2013, "Explicit Evidence of an Implicit Contract," MPRA Paper, University Library of Munich, Germany, number 49174, Aug.
- Alqatawni, Tahsen, 2013, "The Impact of the Dodd-Frank Act on Small Banks," MPRA Paper, University Library of Munich, Germany, number 51109, Oct.
- Heinrich, Gregor, 2013, "El posible impacto de las reformas internacionales en América Latina y el Caribe
[The possible impact of international reforms in Latin Americas and the Caribbean]," MPRA Paper, University Library of Munich, Germany, number 51457, Nov. - Boylan, Robert & Cebula, Richard & Foley, Maggie & Liu, Xiaowei, 2013, "An Analysis of Omitted Shareholder Proposals," MPRA Paper, University Library of Munich, Germany, number 56659, Dec.
- Filippo Cavazzuti, 2013, "Luigi Spaventa in Consob (Luigi Spaventa at Consob)," Moneta e Credito, Economia civile, volume 66, issue 263, pages 299-335.
- Andrew T. Young & Daniel Levy, 2013, "Explicit Evidence of an Implicit Contract," Working Paper series, Rimini Centre for Economic Analysis, number 49_13, Aug.
- Roberta Romano, 2013, "Regulating in the Dark," Journal of Financial Perspectives, EY Global FS Institute, volume 1, issue 1, pages 23-28.
- Allen Ferrell & Atanu Saha, 2013, "Calculating Damages in ERISA Litigation," Journal of Financial Perspectives, EY Global FS Institute, volume 1, issue 2, pages 93-103.
- Michael Lux, 2013, "Neustrukturierung von Unternehmen durch Sanierungsgesellschaften," Journal of Interdisciplinary Economic Research, Allensbach Hochschule, issue 1, pages 61-64.
- Anca POPESCU-CRUCERU, 2013, "Consideratii privind intentia de colaborare in afaceri (affectio societatis)," Romanian Statistical Review Supplement, Romanian Statistical Review, volume 61, issue 1, pages 207-211, March.
- Lenglet, Marc & Riva, Angelo, 2013, "Les conséquences inattendues de la régulation financière : pourquoi les algorithmes génèrent-ils de nouveaux risques sur les marchés financiers ?," Revue de la Régulation - Capitalisme, institutions, pouvoirs, Association Recherche et Régulation, volume 14.
- Dr. Bhavik M. Panchasara & Ms. Heena S. Bharadia, 2013, "Corporate Governance Disclosure Practices and Firm Performance: Evidence from Indian Banks," Paradigm, , volume 17, issue 1-2, pages 88-98, January, DOI: 10.1177/0971890720130110.
- Dr. Rajinder Kaur & Dr. Rashmi Aggarwal Aggarwal, 2013, "The Information Technology Act, 2000-Demystified with Reference to Cybercrimes," Paradigm, , volume 17, issue 1-2, pages 99-104, January, DOI: 10.1177/0971890720130111.
- Roxana Anca Adam, 2013, "Guarantee On All The Assets Of The Debtor In Insolvency Proceedings," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 1-7, December.
- Claudiu Florinel Augustin Ignat, 2013, "Mediation Clause In Commercial Contracts (The Advantages Of Mediation Clause In Commercial Contracts)," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 113-115, December.
- Alexandra-Gabriela Rolea, 2013, "The Main Operations Of Reorganization Through Mergers Of Trading Companies," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 175-185, December.
- Flaminia Stârc-Meclejan, 2013, "Groups Of Companies And Environmental Liability Confronting," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 234-246, December.
- Alexandru Bulearca, 2013, "Brief Considerations On The Warant, As Representative Title Of Goods In Warehouses, Analyzed From The Perspective Of Its Function Of Payment Instrument, In The Light Of Special Regulations And Provisi," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 46-52, December.
- George Chiocaru, 2013, "Unfair Contractual Terms And Practices In Relation Between Professionals," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 53-56, December.
- Cristina Cojocaru, 2013, "Some Considerations Regarding The Revocation Of The Company Director," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 66-69, December.
- Silvia Cristea, 2013, "Comparative Study: Limited Liability Company Versus Unlimited Liability Company," Perspectives of Law and Public Administration, Societatea de Stiinte Juridice si Administrative (Society of Juridical and Administrative Sciences), volume 2, issue 1, pages 70-78, December.
- Ahmet Burçin YERELİ & Ali Fuat KOÇ, 2013, "Türkiye’de Kredi Kartları Piyasasına Yönelik Kamu Müdahaleleri," Sosyoekonomi Journal, Sosyoekonomi Society, issue 20(20).
- Kevin Koh & Shiva Rajgopal & Suraj Srinivasan, 2013, "Non-audit services and financial reporting quality: evidence from 1978 to 1980," Review of Accounting Studies, Springer, volume 18, issue 1, pages 1-33, March, DOI: 10.1007/s11142-012-9187-6.
- William J. Mayew & Nathan Y. Sharp & Mohan Venkatachalam, 2013, "Using earnings conference calls to identify analysts with superior private information," Review of Accounting Studies, Springer, volume 18, issue 2, pages 386-413, June, DOI: 10.1007/s11142-012-9210-y.
- Peter Hostak & Thomas Lys & Yong George Yang & Emre Carr, 2013, "An examination of the impact of the Sarbanes–Oxley Act on the attractiveness of U.S. capital markets for foreign firms," Review of Accounting Studies, Springer, volume 18, issue 2, pages 522-559, June, DOI: 10.1007/s11142-013-9222-2.
- Ulf Br&?ggemann & J?rg-Markus Hitz & Thorsten Sellhorn, 2013, "Intended and Unintended Consequences of Mandatory IFRS Adoption: A Review of Extant Evidence and Suggestions for Future Research," European Accounting Review, Taylor & Francis Journals, volume 22, issue 1, pages 1-37, May, DOI: 10.1080/09638180.2012.718487.
- Andrew T. Young & Daniel Levy, 2013, "Explicit Evidence of an Implicit Contract," Working Papers, International School of Economics at TSU, Tbilisi, Republic of Georgia, number 001-13, Aug.
- Liang, H. & Renneboog, L.D.R., 2013, "The Foundations of Corporate Social Responsibility (replaced by CentER DP 2014-069)," Discussion Paper, Tilburg University, Center for Economic Research, number 2013-071.
- van Damme, E.E.C., 2013, "Preventing abuse by controlling shareholders," Other publications TiSEM, Tilburg University, School of Economics and Management, number 8b719086-6332-459b-b046-3.
- Billings, M.B. & Jennings, R. & Lev, B., 2013, "On guidance and volatility," Research Memorandum, Maastricht University, Graduate School of Business and Economics (GSBE), number 039, Jan, DOI: 10.26481/umagsb.2013039.
- SILBERSTEIN, Ianfred, 2013, "Role Of The Delegated Administrator Compared With The Role Of The Special Administrator In Banking," Studii Financiare (Financial Studies), Centre of Financial and Monetary Research "Victor Slavescu", volume 17, issue 3, pages 33-43.
- Fülbier, Rolf Uwe & Klein, Malte, 2013, "Financial accounting and reporting in Germany: A case study on German accounting tradition and experiences with the IFRS adoption," Bayreuth Working Papers on Finance, Accounting and Taxation (FAcT-Papers), University of Bayreuth, Chair of Finance and Banking, number 2013-01.
- Aitken, Michael & Cumming, Douglas & Zhan, Feng, 2013, "Exchange trading rules, surveillance and insider trading," CFS Working Paper Series, Center for Financial Studies (CFS), number 2013/15.
- Aitken, Michael & Cumming, Douglas & Zhan, Feng, 2013, "High frequency trading and end-of-day price dislocation," CFS Working Paper Series, Center for Financial Studies (CFS), number 2013/16.
- Tröger, Tobias, 2013, "Konzernverantwortung in der aufsichtsunterworfenen Finanzbranche," IMFS Working Paper Series, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS), number 69.
- Tröger, Tobias, 2013, "The Single Supervisory Mechanism - Panacea or Quack Banking Regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvement," IMFS Working Paper Series, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS), number 73.
- Tröger, Tobias H., 2013, "The single supervisory mechanism - Panacea of quack banking regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvement," SAFE Working Paper Series, Leibniz Institute for Financial Research SAFE, number 27, DOI: 10.2139/ssrn.2311353.
- Prantl, Susanne & Böhme, Ulrike, 2013, "Company Law and Firm Entry," VfS Annual Conference 2013 (Duesseldorf): Competition Policy and Regulation in a Global Economic Order, Verein für Socialpolitik / German Economic Association, number 80486.
2012
- Jonida Rustemaj, 2012, "The New Legal Regime On Minority Shareholder Protection In Albania," European Journal of Business and Economics, Central Bohemia University, volume 6, issue 0, pages 39-441:6, September, DOI: 10.12955/ejbe.v6i0.142.
- Rezart Dibra, 2012, "Corporate Governance In Transition Economies- Comparative Analysis Of Contemporary Corporate Governance Issues In Selected Of This Economies In South-Eastern Europe. The Albanian Case," European Journal of Business and Economics, Central Bohemia University, volume 7, issue 0, pages 14-181:7, September, DOI: 10.12955/ejbe.v7i0.130.
- Subosic, Dane & Cvetkovic, Dragan & Vukovic, Slavisa, 2013, "Forms Of Environmental Crime In Agribusiness," Economics of Agriculture, Institute of Agricultural Economics, volume 59, issue 4, pages 1-15, January, DOI: 10.22004/ag.econ.143174.
- Henry T.C. Hu, 2012, "Efficient Markets and the Law: A Predictable Past and an Uncertain Future," Annual Review of Financial Economics, Annual Reviews, volume 4, issue 1, pages 179-214, October.
- Moody, Daryn, 2012, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 189-190, January.
- Tjong, Eugen, 2012, "Leveraging a shared infrastructure to trade across asset classes, regions and strategies," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 191-197, January.
- De Meijer, Carlo R. W., 2012, "Renminbi cross-border trade settlement," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 198-206, January.
- Turrell, Richard, 2012, "How will Target 2 Securities affect the European securities landscape?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 207-217, January.
- Li, Shu-Pui, 2012, "A common platform model for Asia: How will an inter-Asian and cross-border processing infrastructure benefit Asian capital markets?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 218-228, January.
- Von Haartman, Annika, 2012, "Preventing market abuse: Can market surveillance really improve amid fragmentation and low-cost competition?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 229-236, January.
- Hamer, Tim, 2012, "Advancing transparency and harmonisation in corporate actions processing: Where are we now and where are we headed?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 237-245, January.
- Gowan, Jeff & Adolphson, Aaron, 2012, "Cost-basis reporting: The impact on investment advisers," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 246-252, January.
- Belghazi, Soraya, 2012, "CSD regulation: The missing piece in the European post-trade puzzle?," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 253-264, January.
- Tanasoiu, Adriana, 2012, "Evolution of the Romanian post-trade environment: Embracing the new European post-trade realities," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 3, pages 265-274, January.
- Moody, Daryn, 2012, "Editorial," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 285-286, March.
- Grosse-Nobis, Kerstin, 2012, "OTC derivatives: How OTC will they be? A buy-side view," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 287-294, March.
- Lewis, Amanda & Radmore, Emma, 2012, "Outsourcing for fund managers: Demystifying the regulatory structure," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 295-307, March.
- Trundle, John, 2012, "Risk management in securities settlement systems," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 308-320, March.
- Holloway, Daniel E., 2012, "The integrity of the price: Issues for securities fraud plaintiffs and defendants in US class actions," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 321-332, March.
- Tattersall, Phil, 2012, "The great race: Investment managers apply new technologies to get ahead," Journal of Securities Operations & Custody, Henry Stewart Publications, volume 4, issue 4, pages 333-345, March.
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