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Managerial Finance


Volume 34 Issue 11

Published: 2008 | Start Page: 744


Special Issue: Empirical studies in stock markets and mutual funds
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Articles

Articles
Article No: Article Information:
1747488 Analysis of the long-term relationship between macro-economic variables and the Chinese stock market using heteroscedastic cointegration
Ming-Hua Liu, Keshab M. Shrestha (pp. 744-755)
Keywords: China, Macro-economics, Statistical analysis, Stock markets
ArticleType: Research paper
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1747489 Cross-autocorrelations among asset classes: Evidence from the mutual fund industry
Edward M. Miller, Larry J. Prather, M. Imtiaz Mazumder (pp. 756-771)
Keywords: Assets, Cause and effect analysis, Rate of return, Unit trusts
ArticleType: Research paper
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1747490 Investor sentiment, mutual fund flows and its impact on returns and volatility
Rob Beaumont, Marco van Daele, Bart Frijns, Thorsten Lehnert, Aline Muller (pp. 772-785)
Keywords: Behavioral economies, Flow of funds, Fund management, Investors, Unit trusts
ArticleType: Research paper
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1747491 Tournaments in the UK mutual fund industry
Rob Jans, Rogér Otten (pp. 786-798)
Keywords: Game theory, Management strategy, Unit trusts, United Kingdom
ArticleType: Research paper
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1747492 Mean reversion of profitability: evidence from the European-listed firms
Yener Altunbas¸s, Antonis Karagiannis, Ming-Hua Liu, Alireza Tourani-Rad (pp. 799-815)
Keywords: Europe companies, Profit forecasting
ArticleType: Research paper
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