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The colors of investors money: The role of institutional investors around the world. (2008). Ferreira, Miguel ; Matos, Pedro.
In: Journal of Financial Economics.
RePEc:eee:jfinec:v:88:y:2008:i:3:p:499-533.

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  2. Institutional investors ownership concentration and its effect on disclosure and transparency of United Nations sustainable development goals. (2024). Nirino, Niccolo ; Jabeen, Fauzia ; Giordino, Daniele ; Bresciani, Stefano.
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  3. Institutional investors, heterogeneity, and capital structure decisions: Evidence from an emerging market. (2024). Luo, Yan ; Wang, Bin.
    In: Research in International Business and Finance.
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  4. Institutional investors by nationality and long-term investor value appropriation. (2024). Song, Jun Myung ; Chung, Chune Young.
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  5. The impact of free trade zones on ESG performance: Evidence from China. (2024). Li, Kevin K ; Zhang, Bingqian ; Zeng, Jing.
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  6. Foreign institutional ownership and Cross-Listing. (2024). Tsang, Albert ; Kong, Xiangting ; Yan, Shuo.
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  7. Foreign ownership and bribery in Chinese listed firms: An institutional perspective. (2024). Wang, Liwen ; Luo, Daokang ; Jiang, Wei ; Zhou, Kevin Zheng.
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  17. ESG rating disagreement and stock returns: Evidence from China. (2024). Dong, Minghua ; Wang, Shaolin.
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  18. Institutional monitoring on corporate earnings: Evidence from U.S. Cross-listed Firms. (2024). Liu, Chang ; Kim, Hye Seok ; Chung, Chune Young.
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  19. Multiple time scales investor sentiment impact the stock market index fluctuation: From margin trading business perspective. (2024). Song, Yingying ; Guo, Yanhong ; Chen, Xinxin.
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  21. Does informal governance matter to institutional investors? Evidence from social capital. (2024). Shang, Chenguang ; Huang, Kershen.
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  25. Does increasing the QFII quota promote Chinese institutional investors to drive ESG?. (2023). Han, Haozhe.
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  26. Foreign ownership and national governance quality affect liquidity risk – case in Vietnam. (2023). Trung, Kim Quoc ; Dat, Pham Tien.
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  60. Institutional investors, non-mandatory regulations, and board gender diversity. (2023). Zhang, Zhifang ; Li, Yiwei ; Fu, XI.
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  70. Foreign institutional investment horizon and earnings management: Evidence from around the world. (2023). Mian, Affan ; Irfan, Saadia.
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  72. Stock market openness and ESG performance: Evidence from Shanghai-Hong Kong connect program. (2023). Wan, Die ; Liu, Xufeng ; Wang, YE.
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  74. Foreign institutional ownership externalities and supplier innovation. (2023). Lin, Bingxuan ; Wei, Minghai ; Xu, Xiaowei ; Yi, Zhaoying.
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  75. Corporate site visit and tax avoidance: The effects of monitoring and tax knowledge dissemination. (2023). Lin, Bingxuan ; Guo, Yingwen.
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  76. Boosting Foreign Investment: The Role of Certification of Corporate Governance. (2023). Ormazabal, Gaizka ; Bonetti, Pietro.
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  77. Stock market, credit market, and heterogeneous innovations. (2023). Wang, Xun.
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  78. Corporate green innovation and stock liquidity in China. (2023). Jiang, Kangqi ; Xiao, YU ; Chen, Zhongfei.
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  79. Capital market liberalisation and voluntary corporate social responsibility disclosure: Evidence from a quasi?natural experiment in China. (2023). Yao, Daifei ; Pan, Yukun ; Liao, Lin.
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  80. Do foreign institutional investors monitor opportunistic managerial behaviour? Evidence from real earnings management. (2023). Li, Donghui ; Chen, Chen ; An, Zhe ; Gu, Xiaolong.
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  81. Volume dynamics around FOMC announcements. (2023). Zhu, Sonya.
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  86. Who creates and who bears flow externalities in mutual funds?. (2022). Wilke, Hannes ; Jank, Stephan ; Fricke, Daniel.
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  87. Are institutional investors “in love” with the sustainable development goals? Understanding the idyll in the case of governments and pension funds. (2022). Aibarguzman, Beatriz ; Nueztorrado, Miriam ; Garciasanchez, Isabelmaria.
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  88. Foreign Investment under the Spotlight of Home Media. (2022). Zhang, Bohui ; Yu, Jing ; Liu, Waiman.
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  89. Arrests and indictments of corporate insiders, ownership structure, and corporate governance: Evidence from Korea. (2022). Kim, Joonseok.
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  90. Does ownership structure affect the optimal capital structure? A PSTR model for China. (2022). Zhou, Taiyun ; Yao, Gang ; Hu, Xiaojian.
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  91. Does board structure affect stock price overshooting informativeness measured by stochastic oscillator indicators?. (2022). Huang, Paoyu ; Liao, Yulu ; Cheng, Yirung ; Ni, Yensen.
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  92. Do sustainable institutional investors influence senior executive compensation structures according to their preferences? Empirical evidence from Europe. (2022). Focke, Maximilian.
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  93. The Impact of China’s Capital Market Opening Up to the Domestic Stock Idiosyncratic Risk. (2022). Du, Chenpeng.
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  94. Green new hiring. (2022). Shen, Michael ; Darendeli, Alper.
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  95. Does foreign institutional ownership mediate the nexus between board diversity and the risk of financial distress? A case of an emerging economy of China. (2022). Ali, Rizwan ; Ahmad, Muhammad Ishfaq ; Yuan, Wang ; Ur, Ramiz.
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  96. Foreign ownership and corporate excess perks. (2022). Li, Yong ; Han, Minghui ; Chen, Lifang ; Zhang, Hao ; Megginson, William L.
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  97. Does board composition and ownership structure affect banks’ systemic risk? European evidence. (2022). Mateus, Cesario ; Garcia-Gomez, Conrado Diego ; Farinha, Jorge Bento ; Diez-Esteban, Jose Maria.
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  98. Global Portfolio Rebalancing and Exchange Rates. (2022). Rey, Helene ; Hau, Harald ; Camanho, Nelson.
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  99. Do Responsible Investors Invest Responsibly?*. (2022). Steffen, Tom ; Matos, Pedro ; Krueger, Philipp ; Glossner, Simon ; Brandon, Rajna Gibson.
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  100. Momentum, Reversals, and Investor Clientele*. (2022). Titman, Sheridan ; Subrahmanyam, Avanidhar.
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  101. Innovation, institutional ownerships and board diversity. (2022). Phan, Thi-Thanh ; Yu, Hai-Chin.
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  102. Gaming governance: cosmetic or real corporate governance changes?. (2022). Ang, James S ; Chen, Wei Mike ; Li, Shan ; Wang, Lihong.
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  103. Earnings quality and investment efficiency: the role of the institutional settings. (2022). Power, David ; Ahmed, Ahmed H ; Tahat, Yasean A.
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  104. Payout policy and the interaction of firm-level and country-level governance. (2022). Herron, Richard.
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  105. How Foreign Institutional Shareholders Religious Beliefs Affect Corporate Social Performance?. (2022). Zhang, KE ; Fang, Libing ; Zhao, Xuezhou.
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  106. Shareholder Disputes and Commonality in Liquidity: Evidence from the Equity Markets in China. (2022). Wang, Mu-Shun.
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  107. The Capital Market Consequences of Tenure-Based Voting Rights: Evidence from the Florange Act. (2022). Garel, Alexandre ; Brochet, Franois ; Bourveau, Thomas.
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  108. Institutional Ownership Types and ESG Reporting: The Case of Saudi Listed Firms. (2022). Thomran, Murad ; Alquhaif, Abdulsalam ; Bamahros, Hasan Mohamad ; Wan-Hussin, Wan Nordin ; Al-Duais, Shaker Dahan ; Qasem, Ameen.
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  109. Do Investor Overconfidence and Loss Aversion Drive Saudi Firm Market Performance? The Moderating Effect of Corporate Governance. (2022). Chebbi, Kaouther E ; Aljughaiman, Abdullah A.
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  110. Institutional Ownership and Firm Performance: Evidence from an Emerging Economy. (2022). Kabir, Md Nurul ; Shahjahan, Tanjina ; Haque, Humaira ; Abedin, Syeda Humayra.
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  111. Cross-country cultural and economic freedom influences on the relationship between economic policy uncertainty and ADR mispricing. (2022). Ngo, Thanh ; Grossmann, Axel.
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  112. How do heterogeneous institutional investors influence corporate advertising decisions?. (2022). Choi, Wonseok ; Chung, Chuneyoung ; Kang, Sanggyu.
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  113. Foreign ownership and earnings management. (2022). Zhang, Hao ; Ding, Ashley.
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  114. Do foreign investors deter corporate fraud? Evidence from China. (2022). Xie, Hongji ; Gao, Wenlian ; Liang, Quanxi.
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  115. Do institutional investors corporate site visits improve ESG performance? Evidence from China. (2022). Wan, Jing ; Li, Sha ; Wang, Cai ; Jiang, Yahan.
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  116. Capital market opening and stock price crash risk – Evidence from the Shanghai-Hong Kong stock connect and the Shenzhen-Hong Kong stock connect. (2022). Wang, Tewei ; Sha, Yezhou ; Zhang, Ping.
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  117. Economic policy uncertainty and stock price informativeness. (2022). Wan, Xiangyu ; Tang, Liang.
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  118. Female senior managers and the gender equality environment: Evidence from south Korean firms. (2022). Song, Jun Myung.
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  119. Do underwriters with foreign shareholders help protect bond investors? Evidence from bond covenants in China. (2022). Chan, Kam C ; Gao, XI ; Zhang, ChunQiang .
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  120. Media coverage and corporate risk-taking: International evidence. (2022). Li, Donghui ; Xu, Weidong ; Gao, Xin.
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  121. Stewardship, institutional investors monitoring, and firm value: Evidence from the United Kingdom. (2022). Shiu, Cheng-Yi ; Nguyen, Nghia Huu.
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  122. Institutional investors and earnings management associated with controlling shareholders promises: Evidence from the split share structure reform in China. (2022). Lau, Archie ; Wu, Yue ; Wang, Kun Tracy ; Wilson, Mark.
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  123. The effect of foreign institutional ownership on corporate tax avoidance: International evidence. (2022). Wu, Qiang ; Teng, Haimeng ; Kim, Incheol ; Hasan, Iftekhar.
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  124. International asset pricing with strategic business groups1. (2022). Zhang, Hong ; O'Donovan, James ; Massa, Massimo.
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  125. Capital account liberalization, financial dependence and technological innovation: Cross-country evidence. (2022). Wang, Xun.
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  126. Importing activists: Determinants and consequences of increased cross-border shareholder activism. (2022). Skinner, Douglas J ; Nakhmurina, Anya ; Maffett, Mark.
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  127. Foreign ownership and stock liquidity uncertainty. (2022). faff, robert ; Zhang, Hao ; Li, Yong.
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  128. Corporate social responsibility in market liberalization: Evidence from Shanghai-Hong Kong Stock Connect. (2022). Luo, Deming ; Wang, Beibei ; Yang, Liuyong.
    In: Journal of International Financial Markets, Institutions and Money.
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  129. GCC Sovereign Wealth Funds: Why do they take control?. (2022). Carpantier, J F ; Lecourt, C ; Amar, J.
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  130. Transfer of corporate governance practices into weak emerging market environments by foreign institutional investors. (2022). Tunyi, Abongeh ; Adegbite, Emmanuel ; Areneke, Geofry.
    In: International Business Review.
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  131. Cross-border spillover of institutional activism: The monitoring role of locally-aggressive foreign institutional investors. (2022). Ilyas, Muhammad ; Safdar, Nabeel ; Mian, Affan.
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  132. Foreign ownership and corporate risk-taking: Panel threshold evidence from a transactional economy. (2022). Vu, Manh Chien ; Reddy, Krishna ; Le, Nhu Tuyen ; Ng, Rey.
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  133. Foreign shareholders, relative foreign policy uncertainty and corporate cash holdings. (2022). Suardi, Sandy ; Han, Yikai ; Ding, Mingfa ; Cui, DI.
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  134. Zero-leverage policy and stock price crash risk: Evidence from Korea. (2022). Park, Kunsu ; Choi, Young Mok.
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    RePEc:eee:finana:v:81:y:2022:i:c:s1057521922000722.

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  135. Does political risk matter for sovereign wealth funds? International evidence. (2022). Rouatbi, Wael ; Labidi, Chiraz ; Grira, Jocelyn.
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  136. Market discipline or rent extraction: Impacts of share trading by foreign institutional investors in different corporate governance and investor protection environments. (2022). Strange, Roger ; Chen, Ding ; Zhang, Xiaoxiang.
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  137. Do all institutional investors care about corporate carbon emissions?. (2022). Islam, Md Shahidul ; Alam, Md Samsul ; Safiullah, M D.
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  138. Capital market opening and green innovation——Evidence from Shanghai-Hong Kong stock connect and the Shenzhen-Hong Kong stock connect. (2022). Sha, Yezhou ; Zhang, Ping ; Wang, Yiru ; Xu, Yifan.
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  139. Institutional conditions, economic policy uncertainty and foreign institutional investment in China. (2022). Fang, Liting ; Huang, Liying ; He, Lerong.
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  140. Ownership structure and firm performance in emerging markets: A comparative meta-analysis of East European EU member states, Russia and China. (2022). Mizobata, Satoshi ; Ma, Xinxin ; Iwasaki, Ichiro.
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  141. Are institutional investors marching into the crypto market?. (2022). Wang, Peng ; Lin, Juan ; Huang, Xiaoran.
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  142. Order Choices: An Intraday Analysis of the Taiwan Stock Exchange. (2022). Lo, Hsiang-Yu ; Hung, Pi-Hsia ; Lien, Donald.
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  143. Asymmetric effects of foreign capital on income inequality: The case of the Post-China 16 countries. (2022). Brůna, Karel ; Brna, Karel ; Kabrt, Toma.
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  144. Capital market liberalization and green innovation for sustainability: Evidence from China. (2022). Liu, Jian ; Wang, Jun-Zhuo ; Niu, Peng ; Feng, Gen-Fu.
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  145. Mandatory corporate social responsibility and foreign institutional investor preferences. (2022). Roy, Partha P ; Rao, Sandeep ; Marshall, Andrew ; Thapa, Chandra.
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  146. Soft activism and corporate dividend policy: Evidence from institutional investors site visits. (2022). Zhou, Sili ; Wang, Hanyang ; Cao, Jerry .
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  147. Mandatory CSR expenditure and stock market liquidity. (2022). Zhu, Min ; Rao, Sandeep ; Roy, Partha P.
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  148. Internal control weaknesses, agency costs, and the value of cash holdings. (2022). Anderson, Benjamin Carl.
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  149. Multiple large shareholder coalitions, institutional ownership and investment decisions: Evidence from cross-border deals in Latin America. (2022). Pombo, Carlos ; Jara-Betin, Mauricio ; Pinto-Gutierrez, Cristian.
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  150. The Endurance of Shareholder Value Maximization as the Preferred Corporate Objective. (2022). Sundaram, Anant K ; Inkpen, Andrew C.
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  151. Cultural Biases in Equity Analysis. (2022). Pursiainen, Vesa.
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  152. Valuation effects of the US–China trade war: The effects of foreign managers and foreign exposure. (2022). Qi, Tong ; Pu, BO ; Ding, Haoyuan ; Wang, Kai.
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  153. Do foreign investors crowd out sell?side analysts? Evidence from China. (2022). Kong, Dongmin ; Cheng, XU ; Tang, QI ; Zheng, Xinwei.
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  154. Foreign institutional ownership and bank performance: Evidence from Tunisia. (2022). Othmani, Hidaya.
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  155. COVID?19 impact, sustainability performance and firm value: international evidence. (2022). Mihret, Dessalegn ; Ali, Muhammad Jahangir ; Shams, Syed ; Bose, Sudipta.
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  159. The Impact of Institutional Investors’ Ownership on Performance and Financial Position: Evidence from Firms in the Republic of Croatia. (2021). Klamer, Alopa Marina ; Silvije, Orsag ; Unek, Kokotec Ivana.
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  160. How does size affect capital expenditures? Evidence from Borsa Istanbul. (2021). Ocak, Murat ; Gunay, Samet ; Can, Gokberk.
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  161. A risk management perspective on CSR and the marginal cost of debt: empirical evidence from Europe. (2021). Kordsachia, Othar.
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  162. Ownership Characteristics,Corporate Social Responsibility, Resource Productivity And Firm Performance: An Empirical Study. (2021). ben Prince, John.
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  163. Relationship Between FDI and Economic Growth in the Presence of Good Governance System: Evidence from OECD Countries. (2021). Raza, Syed ; Arif, Imtiaz ; Shah, Nida.
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  164. Institutional investment horizons and firm valuation around the world. (2021). Schroder, Henning ; Guedhami, Omrane ; el Ghoul, Sadok ; Drobetz, Wolfgang ; Doring, Simon.
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  165. The effect of board composition and managerial pay on Saudi firm performance. (2021). Saleh, Mamdouh Abdulaziz.
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  166. Does ownership structure affect performance? Evidence from Chinese mutual funds. (2021). mamatzakis, emmanuel ; Xu, Bingrun .
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  167. Geographic proximity, long-term institutional ownership, and corporate social responsibility. (2021). Li, Ying ; Kabongo, Jean ; Chang, Kiyoung.
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  168. The Beta Anomaly in the REIT Market. (2021). Shen, Jianfu ; Fan, Kwokyuen.
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  169. ETF Activity and Informational Efficiency of Underlying Securities. (2021). Zou, Yuan ; Nallareddy, Suresh ; Glosten, Lawrence .
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  170. Does Foreign Institutional Equity Participation Instigate Sustainable Corporate Investment Efficiency? Evidence from Emerging Economies. (2021). Zainir, Fauzi ; Hanifa, Mohamed Hisham ; Riaz, Sabahat.
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  171. The Role of Institutional Investors in Improving Board of Director Attributes around the World. (2021). Alshabibi, Badar.
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  172. Does Board Diversity Attract Foreign Institutional Ownership? Insights from the Chinese Equity Market. (2021). Ahmad, Muhammad Ishfaq ; Ur, Ramiz ; Ali, Shoukat ; Ueng, Joe.
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  173. The systemic governance influence of universal owners: evidence from an expectation document. (2021). Cuat, Vicente ; Capape, Javier ; Bermejo, Vicente ; Aguilera, Ruth.
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  174. Institutional investors and corporate governance. (2021). Sautner, Zacharias ; Fos, Vyacheslav ; Dasgupta, Amil.
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  175. Family ownership, market development, and internationalization of Turkish business groups (1925-2017). (2021). Yurtoglu, Burcin B ; Karaevli, Ayse.
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  176. Internationalization through foreign listing: A review and future research agenda. (2021). Kumar, Vikas ; Purkayastha, Anish.
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  177. Institutional ownership and firm performance in the global shipping industry. (2021). Schroder, Henning ; Ehlert, Sebastian ; Drobetz, Wolfgang.
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  178. Institutional ownership and commonality in liquidity. (2021). Vo, Thi Thuy Anh ; Dang, Man ; Hoang, Viet Anh ; Anh, Thi Thuy.
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  179. Board network, investment efficiency, and the mediating role of CSR: Evidence from China. (2021). Zhao, Tianjiao.
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    RePEc:eee:reveco:v:76:y:2021:i:c:p:897-919.

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  180. Export effect and influence mechanism of foreign ownership. (2021). Zhang, Shunming ; Ye, Zhiqiang.
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    RePEc:eee:reveco:v:76:y:2021:i:c:p:258-276.

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  181. Who knows more and makes more? A perspective of order submission decisions across investor types. (2021). Chen, Hung-Ju ; Hung, Pi-Hsia ; Lien, Donald.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:79:y:2021:i:c:p:381-398.

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  182. Institutional ownership and insider trading profitability: Evidence from an emerging market. (2021). Ji, YU ; Li, Tao.
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    RePEc:eee:pacfin:v:70:y:2021:i:c:s0927538x2100175x.

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  183. Foreign ownership, appointment of independent directors, and firm value: Evidence from Japanese firms. (2021). Iwasaki, Takuya ; Ahmed, Anwer S.
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  184. Corporate Inversions and Governance. (2021). Gopalan, Radhakrishnan ; Gomes, Armando ; Cortes, Felipe.
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  185. Does regulatory cooperation help integrate equity markets?. (2021). Silvers, Roger.
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  186. Stock market liberalization and innovation. (2021). Tian, Xuan ; Zhang, Wenrui ; Moshirian, Fariborz.
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  187. Firm value and pyramidal structures: New evidence for family firms. (2021). López-Iturriaga, Félix ; Torres, Juan Pablo ; Lopez-Iturriaga, Felix J ; Jara, Mauricio.
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  188. A tale of two forms of proximity: Geography and market. (2021). Sul, Hong Kee ; Chung, Chune Young ; Wang, Kainan.
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  189. The rise of domestic capital markets for corporate financing: Lessons from East Asia. (2021). Schmukler, Sergio ; Cortina, Juan J ; Abraham, Facundo.
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  190. Seeking strategic assets within cross-border acquisition waves: a study of Indian firms. (2021). Sinha, Ashutosh Kumar ; Fuad, Mohammad ; Ahsan, Faisal Mohammad.
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  191. Corporate social activities and stock price crash risk in the banking industry: International evidence. (2021). Wu, Yue ; Liu, Simeng ; Wang, Kun Tracy.
    In: Journal of International Financial Markets, Institutions and Money.
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  192. What if your owners also own other firms in your industry? The relationship between institutional common ownership, marketing, and firm performance. (2021). Mintz, Ofer ; Healey, John.
    In: International Journal of Research in Marketing.
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  193. Common ownership and firm dividend policies. (2021). Sekerci, Naciye ; Karmaziene, Egle ; Di Giuli, Alberta .
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    RePEc:eee:finlet:v:40:y:2021:i:c:s1544612320315932.

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  194. Cross-country determinants of institutional investors’ investment horizons. (2021). Schroder, Henning ; Guedhami, Omrane ; el Ghoul, Sadok ; Drobetz, Wolfgang ; Doring, Simon.
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  195. Multi-dimensional corporate social responsibilities and stock price crash risk: Evidence from China. (2021). An, Yunbi ; Bian, Yun ; Yang, Jun ; Qi, Yawei ; Zhu, Jichen ; Zhou, Fangzhao.
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  196. The influence of qualified foreign institutional investors on internal control quality: Evidence from China. (2021). Zhou, Dan ; Wu, Tianlong ; Wang, BO ; Li, Zhe.
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  197. How does stock market liberalization influence corporate innovation? Evidence from Stock Connect scheme in China. (2021). Wang, Shuxun.
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  198. Does stock market liberalization mitigate litigation risk? Evidence from Stock Connect in China. (2021). Xiao, Lijuan ; Deng, Hui ; Xiong, Lingyun.
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  199. Does carbon risk matter for corporate acquisition decisions?. (2021). Shams, Syed ; Minnick, Kristina ; Bose, Sudipta.
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  200. Institutional investors and bank governance: An international analysis of bank earnings management. (2021). Yang, Tina ; Wang, Bin ; Moussawi, Rabih ; Miller, Steve M.
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  201. Stock price effects of climate activism: Evidence from the first Global Climate Strike. (2021). Rancan, Michela ; Ossola, Elisa ; Ramelli, Stefano.
    In: Journal of Corporate Finance.
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  202. A global analysis of Private Investments in Public Equity. (2021). Andriosopoulos, Dimitris ; Panetsidou, Styliani.
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  203. Foreign institutional ownership and the speed of leverage adjustment: International evidence. (2021). Chen, Chen ; An, Zhe ; Yin, Chao ; Li, Donghui.
    In: Journal of Corporate Finance.
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  204. Mimicking insider trades. (2021). Thapa, Chandra ; Neupane, Biwesh ; Marshall, Andrew.
    In: Journal of Corporate Finance.
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  205. Institutional investment horizons, corporate governance, and credit ratings: International evidence. (2021). Guedhami, Omrane ; el Ghoul, Sadok ; Drobetz, Wolfgang ; Driss, Hamdi.
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  206. Major shareholders’ trust and market risk: Substituting weak institutions with trust. (2021). Batten, Jonathan ; Aysan, Ahmet ; Chantziaras, Antonios ; Abdelsalam, Omneya.
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  207. Foreign shareholding, corporate governance and firm performance: Evidence from Chinese companies. (2021). Guo, Lin ; Tsafack, Georges.
    In: Journal of Behavioral and Experimental Finance.
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  208. The liabilities of foreign institutional ownership: Managing political dependence through corporate political spending. (2021). Aguilera, Ruth V ; Gao, Cheng ; Shi, Wei.
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  209. Do Majority?of?Minority Shareholder Voting Rights Reduce Expropriation? Evidence from Related Party Transactions. (2021). Li, Nan.
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  210. Does green banking performance pay off? Evidence from a unique regulatory setting in Bangladesh. (2021). Monem, Reza M ; Khan, Habib Zaman ; Bose, Sudipta.
    In: Corporate Governance: An International Review.
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  211. Institutional investors, controlling shareholders and CEO pay?performance relationship: evidence from China. (2021). Pan, Xiaofei ; Ma, Shiguang ; Zhang, Dan.
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  213. Institutional Ownership and Firm Value: A Study on the Bist Manufacturing Index. (2020). Doan, Mesut.
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  214. Rising markups, common ownership, and technological capacities. (2020). Schain, Jan Philip ; Gibbon, Alexandra.
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  215. The Effect of Institutional Investors’ Voice on the Terms and Outcome of Freeze-out Tender Offers. (2020). Mugerman, Yevgeny ; Lauterbach, Beni.
    In: Quarterly Journal of Finance (QJF).
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  216. Corporate governance and stock price crash risk: Evidence from Taiwan. (2020). Chen, Wei ; Fang, Chungyi ; Wu, Shengfu.
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  217. The Role of Pension Business Benefits in Institutional Block Ownership and Corporate Governance. (2020). Matsunaga, Steven R ; Huang, Jing ; Wang, Jay Z.
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  218. Mediating Effect of Agency Cost on the Relationship between Ownership Structure and Firm Value. (2020). Okiro, Kennedy ; Ochieng, Duncan Elly ; Mwangi, Mirie ; Mukaria, Henry Kimathi.
    In: Journal of Finance and Investment Analysis.
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  219. An agent-based early warning indicator for financial market instability. (2020). Vidal-Tomás, David ; Alfarano, Simone ; Vidal-Tomas, David.
    In: Journal of Economic Interaction and Coordination.
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  220. Institutional Ownership and Corporate Social Performance in Emerging Economies Multinationals: Evidence from India. (2020). Yadav, Sandeep.
    In: Indian Journal of Corporate Governance.
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  221. Investor protection and the value impact of stock liquidity. (2020). Zhang, Bohui ; Yu, Jing ; Wu, Fei ; Huang, Tao.
    In: Journal of International Business Studies.
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  222. The Determinants of China’s International Portfolio Equity Allocations. (2020). Prasad, Eswar ; Gu, Grace Weishi ; Agarwal, Isha.
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  223. The firm–investor level characteristics of institutional investor engagement in Brazil. (2020). , Ricardo ; Ricardo, ; Bortolon, Patricia M ; Maranho, Flavia S.
    In: International Journal of Disclosure and Governance.
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  224. Essays on the Vietnam Stock Market. (2020). Mai, Nhat Chi.
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  225. How Global is Your Mutual Fund? International Diversification from Multinationals. (2020). Sialm, Clemens ; Ferreira, Miguel ; Matos, Pedro ; Demirci, Irem.
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  226. The Corporate Finance of Multinational Firms. (2020). Weisbach, Michael ; Jang, Yeejin ; Erel, Isil.
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  227. Price limit changes, order decisions, and stock price movements: an empirical analysis of the Taiwan Stock Exchange. (2020). Pan, Chiu-Ting ; Hung, Pi-Hsia ; Lien, Donald.
    In: Review of Quantitative Finance and Accounting.
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  228. Foreign institutional ownership and demand for accounting conservatism: evidence from an emerging market. (2020). Khalil, Mohamed ; YilmazYildiz, ; Ozkanc, Aydin.
    In: Review of Quantitative Finance and Accounting.
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  229. What Does It Mean When Managers Talk About Trust?. (2020). Salzmann, Astrid Juliane ; Knetsch, Andreas ; Breuer, Wolfgang.
    In: Journal of Business Ethics.
    RePEc:kap:jbuset:v:166:y:2020:i:3:d:10.1007_s10551-018-4072-2.

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  230. The Corporate Board Glass Ceiling: The Role of Empowerment and Culture in Shaping Board Gender Diversity. (2020). Muller-Kahle, Maureen I ; Lewellyn, Krista B.
    In: Journal of Business Ethics.
    RePEc:kap:jbuset:v:165:y:2020:i:2:d:10.1007_s10551-019-04116-9.

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  231. Exposure to Provincial and National Information and Firm Performance: Crisis Period Evidence from China. (2020). Douch, Mohamed ; Kalinina, Yuliya ; Farooq, Omar.
    In: International Advances in Economic Research.
    RePEc:kap:iaecre:v:26:y:2020:i:1:d:10.1007_s11294-020-09769-1.

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  232. The Impact of Institutional Shareholdings on Price Limits. (2020). Ni, Yensen ; Huang, Paoyu ; Wu, Manhwa.
    In: Asia-Pacific Financial Markets.
    RePEc:kap:apfinm:v:27:y:2020:i:3:d:10.1007_s10690-019-09296-y.

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  233. The Determinants of Chinas International Portfolio Equity Allocations. (2020). Prasad, Eswar ; Gu, Grace Weishi ; Agarwal, Isha.
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  234. Institutional Ownership and Firm Performance under Stakeholder-Oriented Corporate Governance. (2020). Watanabel, Naoki ; Sakawa, Hideaki.
    In: Sustainability.
    RePEc:gam:jsusta:v:12:y:2020:i:3:p:1021-:d:314934.

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  235. Role of Foreign and Domestic Institutional Investors in Corporate Sustainability: Focusing on R&D Investment. (2020). Park, Sorah ; Shin, Ilhang.
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    RePEc:gam:jsusta:v:12:y:2020:i:20:p:8754-:d:432670.

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  236. The effect of institutional ownership and ownership dispersion on eco-innovation. (2020). Aibar-Guzman, Beatriz ; Garcia-Sanchez, Isabel-Maria.
    In: Technological Forecasting and Social Change.
    RePEc:eee:tefoso:v:158:y:2020:i:c:s0040162520309999.

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  237. Institutional and foreign ownership vis-à-vis default risk: Evidence from Japanese firms. (2020). Sharma, Parmendra ; Ali, Searat ; Miah, Mohammad Dulal ; Kabir, Md Nurul.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:69:y:2020:i:c:p:469-493.

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  238. Are better-governed firms more innovative? Evidence from Korea. (2020). Vo, Xuan Vinh ; Wang, Kainan ; Chung, Chune Young ; Sub, Paul Moon.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:69:y:2020:i:c:p:263-279.

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  239. The impact of Japan’s stewardship code on shareholder voting. (2020). Tsukioka, Yasutomo.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:67:y:2020:i:c:p:148-162.

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  240. Entry of foreign banks, state ownership, and corporate innovation. (2020). Peng, Yuchao ; Gu, Leilei ; Zhang, Huilin ; Ni, Xiaoran.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:61:y:2020:i:c:s0927538x20300597.

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  241. The impact of corporate governance on corporate social performance: Cases from listed firms in Taiwan. (2020). Chiang, Sue-Jane ; Shu, Pei-Gi.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:61:y:2020:i:c:s0927538x19304342.

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  242. Monitoring role of institutional investors and acquisition performance: Evidence from East Asian markets. (2020). Shiu, Cheng-Yi ; Lu, Yang-Kai ; Lou, Kuo-Ren.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:59:y:2020:i:c:s0927538x19302653.

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  243. The impact of ownership concentration on payout across Nordic firms. (2020). Wendt, Stefan ; Khalfan, Twahir M.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:56:y:2020:i:c:s1042444x20300293.

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  244. Political connections and income smoothing: Evidence of institutional investors’ monitoring in Malaysia. (2020). Tee, Chwee Ming.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:55:y:2020:i:c:s1042444x20300153.

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  245. The investment behavior of Qualified Foreign Institutional Investors in China. (2020). Bredin, Don ; Liu, Ningyue ; Cao, Huijuan.
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:54:y:2020:i:c:s1042444x20300037.

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  246. Does CSR reporting matter to foreign institutional investors in China?. (2020). Zheng, Ying ; Yu, Wei.
    In: Journal of International Accounting, Auditing and Taxation.
    RePEc:eee:jiaata:v:40:y:2020:i:c:s1061951820300239.

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  247. Regulatory cooperation and foreign portfolio investment. (2020). Silvers, Roger ; Omartian, James D ; Maffett, Mark ; Lang, Mark.
    In: Journal of Financial Economics.
    RePEc:eee:jfinec:v:138:y:2020:i:1:p:138-158.

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  248. Voting methods for director election, monitoring costs, and institutional ownership. (2020). Lee, Choonsik ; Chung, Kee H.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:113:y:2020:i:c:s0378426620300054.

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  249. Foreign ownership and capital structure dynamics. (2020). , Thuy ; Lai, Tuan N ; Do, Trung K.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:36:y:2020:i:c:s1544612319307317.

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  250. Country factors in earnings management of ADR firms. (2020). Wei, Peihwang ; Chou, Yan-Yu ; Sheng, Clara Chia.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:32:y:2020:i:c:s1544612318307335.

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  251. Is institutional monitoring time-varying? Evidence from the Korean market. (2020). Liu, Chang ; Chung, Chune Young ; Kim, Kyung Soon.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:32:y:2020:i:c:s1544612318304719.

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  252. Capital market pressure, real earnings management, and institutional ownership stability - Evidence from Poland. (2020). Jewartowski, Tomasz ; Kadoski, Micha ; Mizerka, Jacek.
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  253. Foreign institutional ownership and corporate cash holdings: Evidence from emerging economies. (2020). Loncan, Tiago.
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  254. Foreign investors and stock price crash risk: Evidence from China. (2020). Tang, QI ; Huang, Zhi-Xiong.
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  255. Responsible investing in the gaming industry. (2020). Zhang, Yang ; Lin, Yongjia ; Fu, Xiaoqing.
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  256. How mixed ownership affects decision making in turbulent times: Evidence from the digital revolution in telecommunications. (2020). Wehrheim, David ; Helmers, Christian ; Fosfuri, Andrea ; Dalay, Hakki Doan.
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  257. Do shareholders benefit from green bonds?. (2020). Zhang, Yupu ; Tang, Dragon Yongjun.
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  258. Large investors’ portfolio composition and firms value. (2020). Sekerci, Naciye ; Ravid, Abraham S.
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  259. Why do privatized firms pay higher dividends?. (2020). Goyal, Abhinav ; Muckley, Cal B ; Jategaonkar, Shrikant P.
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  260. Global Portfolio Rebalancing and Exchange Rates. (2020). Rey, Helene ; Hau, Harald ; Camanho, Nelson.
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  261. Where do institutional investors seek shelter when disaster strikes? Evidence from COVID-19. (2020). Wagner, Alexander F ; Ramelli, Stefano ; Matos, Pedro Pinto ; Glossner, Simon.
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  262. Carbon Premium around the World. (2020). Kacperczyk, Marcin ; Bolton, Patrick.
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  263. International investment positions revisited: Investor heterogeneity and individual security characteristics. (2020). Vermeulen, Robert ; Boermans, Martijn.
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  264. Differences in CEO compensation under large and small institutional ownership. (2020). Tosun, Onur Kemal.
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  265. Bringing owners back on board: A review of the role of ownership type in board governance. (2020). Ponomareva, Yuliya ; Federo, Ryan ; Losada, Carlos ; Sazcarranza, Angel ; Aguilera, Ruth V.
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  266. Do institutional investors drive corporate transparency regarding business contribution to the sustainable development goals?. (2020). Aibarguzman, Beatriz ; Rodriguezariza, Lazaro ; Garciasanchez, Isabelmaria ; Isabel Maria GARCÍA SÁNCHEZ, .
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  267. Institutional ownership, cross‐shareholdings and corporate cash reserves in Japan. (2020). Rahman, Nahid ; Nguyen, Pascal.
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  268. Ethnic board diversity, earnings quality and institutional investors: evidence from Malaysian corporate boards. (2020). Rassiah, Puspavathy ; Tee, Chwee Ming.
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  269. Effects of investor tax heterogeneity on stock prices and trading behaviour around the ex?dividend day: the case of Australia. (2020). Yin, Xiangkang ; Anh, Nguyen Ngoc ; Zhao, Jing.
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  270. Quality investing in Asian stock markets. (2020). Shen, Jianfu ; Allen, Chi Cheong .
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  271. Investor reaction to accounting misstatements under IFRS: Australian evidence. (2020). Ahmed, Kamran ; Simsir, Serif Aziz ; Atilgan, Yigit ; Goodwin, John.
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  272. Audit committee characteristics and financial statement comparability. (2020). Shan, Yaowen ; Lu, Meiting ; Feng, Zhuoan ; Endrawes, Medhat.
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  273. Does an External Governance Framework Enhance the Performance of Pakistans Banking Sectors? Foreign Ownership as Moderator. (2020). Naveed, Hafiz Muhammad ; Ali, Shoaib ; Khaliq, Abubakar.
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  277. Exploring Value‐Based Management Sophistication: The Role of Potential Economic Benefits and Institutional Influence. (2019). Wolff, Michael ; Schmidt, Torben ; Firk, Sebastian.
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  278. The Preferences of Non-governmental Organizations to Sustainable Investment: Evidence From Emerging Equity Market. (2019). Tangjitprom, Nopphon ; Aribawa, Dwitya.
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  279. Securities regulation, household equity ownership, and trust in the stock market. (2019). Maffett, Mark ; Christensen, Hans B ; Vollon, Lauren.
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  280. Stock liquidity and corporate tax avoidance. (2019). Ge, Rui ; Chen, Yangyang ; Zolotoy, Leon ; Louis, Henock.
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  281. Foreign institutional investors and stock price synchronicity of Chinese listed firms: further evidence. (2019). , Gordon ; He, Tina T.
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  282. Foreign ownership, bank information environments, and the international mobility of corporate governance. (2019). Wang, Qingwei ; Leung, Woon Sau ; Hasan, Iftekhar ; Fang, Yiwei.
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  283. The role of foreign institutional investors in restraining earnings management activities across countries. (2019). Lel, Ugur.
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  284. Electoral systems and the economy: a firm-level analysis. (2019). Ulupinar, Bahar ; Camyar, Isa.
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  285. Pursuing the New While Sustaining the Current: Incumbent Strategies and Firm Value During the Nascent Period of Industry Change. (2019). Kapoor, Rahul ; Eklund, John.
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  286. Institutional ownership and firm operating performance Evidence from India. (2019). Lukose, Jijo ; Jacob, Chacko.
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  287. Foreign Ownership, Agency Costs, and Long-Term Firm Growth: Evidence from Korea. (2019). Park, Kunsu ; Choi, Young Mok.
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  288. Ownership Concentration and Performance Recovery Patterns in the European Union. (2019). BELASCU, LUCIAN ; Horobet, Alexandra ; PENTESCU, Alma ; Curea, Tefania Cristina.
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  289. Institutional Investors and Corporate Performance: Insights from China. (2019). Lu, Jun ; Lin, Shu-Ling.
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  290. The Role of Institutional Investors in the Sustainable CEO Compensation Structure. (2019). Kim, Young Jin ; Park, Kyung Jin ; Mo, Kyoungwon.
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  291. Foreign Monitoring and Predictability of Future Cash Flow. (2019). Kim, Eun Soo ; Lee, Jaehong.
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  292. Stewardship Code, Institutional Investors, and Firm Value: International Evidence. (2019). Kotaro, Inoue ; Yasuhiro, Arikawa ; Naoshi, Ikeda ; Yutaro, Shiraishi.
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  293. Professionals on Corporate Boards: How do they affect the bottom line?. (2019). Kubo, Katsuyuki ; Katsuyuki, Kubo ; Mari, Sako.
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  294. Integrated reporting: An accounting disclosure tool for high quality financial reporting. (2019). Iatridis, George Emmanuel ; Magnis, Chris ; Pavlopoulos, Athanasios.
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  295. Does accounting comparability alleviate the informational disadvantage of foreign investors?11We thank the editor, Professor Carl R. Chen, and two reviewers for their comments that greatly improved th. (2019). Kumar, Surya B ; Chauhan, Yogesh.
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  296. The effect of institutional blockholders short-termism on firm innovation: Evidence from the Korean market. (2019). Kim, Dong-soon ; Chung, Chune Young ; Kang, Sanggyu.
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  297. Hot money flows and production uncertainty: Evidence from China. (2019). Shenoy, Catherine ; Huang, Jian ; Chen, Fang ; Zhang, Yihao.
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  298. Institutional ownership and corporate governance of public companies in China. (2019). Platikanov, Stefan ; Guo, Lin.
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  299. Crouching tigers, hidden dragons: Private equity fund selection in China. (2019). Suchard, Jo-Ann ; Azzi, Sarah.
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  300. The value relevance of nonfinancial disclosure: Evidence from foreign equity investment. (2019). Chauhan, Yogesh ; Kumar, Surya Bhushan.
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  301. Institutional stock ownership and firm innovation: Evidence from China. (2019). Liao, Jing ; Chi, Jing ; Yang, Jingjing.
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  302. Gender diversity on Japanese corporate boards. (2019). Tanaka, Takanori .
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  303. Do institutional factors influence cross-border portfolio equity flows? New evidence from emerging markets. (2019). Varanasi, Padmasai ; Cleary, Siobhan ; Alderighi, Stefano.
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  304. Do corporate governance and disclosure tone drive voluntary disclosure of related-party transactions in China?. (2019). Shan, Yuan George.
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  305. Do institutional investors drive corporate social responsibility? International evidence. (2019). Wagner, Hannes ; Roth, Lukas ; Lins, Karl V ; Dyck, Alexander.
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  306. Institutional ownership horizon, corporate social responsibility and shareholder value. (2019). Huang, Kershen ; Erhemjamts, Otgontsetseg.
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  307. The labor market for directors and externalities in corporate governance: Evidence from the international labor market. (2019). Lel, Ugur ; Miller, Darius.
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  308. Risk perceptions and international stock market liquidity. (2019). Marshall, Ben R ; Anderson, Hamish D.
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  309. Do different forms of government ownership matter for bank capital behavior? Evidence from China. (2019). Molyneux, Philip ; Liu, Hong ; Jiang, Chunxia.
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  310. Learning Chinese? The changing investment behavior of foreign institutions in the Chinese stock market. (2019). Virk, Nader ; Korkeamaki, Timo ; Wang, Peng.
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  311. Do the institutional environment and types of owners influence the relationship between ownership concentration and board of director independence? An international meta-analysis. (2019). López-Iturriaga, Félix ; Lopez-Iturriaga, Felix J ; Hurtado-Gonzalez, Jose Manuel ; Perez-Calero, Leticia.
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  312. Price effect and investor awareness: Evidence from MSCI Standard Index reconstitutions. (2019). Wei, Hui-Shan ; Shiu, Cheng-Yi ; Chen, Hung-Ling .
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  313. Foreign strategic ownership and minority shareholder protection. (2019). Anderson, Hamish ; Chi, Jing ; Liao, Jing.
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  314. Do investment determinants and effects vary across sovereign wealth fund categories? A firm-level analysis. (2019). Graziano, Domenico ; Mustilli, Mario ; Meles, Antonio ; Gangi, Francesco ; Varrone, Nicola.
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  315. Determinants of foreign and domestic investment bias in global bond markets: Some empirical evidence. (2019). Taniguchi, Kiyoshi ; PARK, DONGHYUN ; Tian, Shu.
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  316. Board structure, considerable capital, and stock price overreaction informativeness in terms of technical indicators. (2019). Chen, Yuhsin ; Huang, Paoyu ; Ni, Yensen.
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  317. Chilean pension fund managers and corporate governance: The impact on corporate debt. (2019). López-Iturriaga, Félix ; san Martin, Pablo ; Lopez-Iturriaga, Felix ; Jara, Mauricio ; Tenderini, Giannina ; Saona, Paolo.
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  318. Does managerial ability matter for the choice of seasoned equity offerings?. (2019). Dang, Man ; al Mamun, MD ; Puwanenthiren, Pratheepkanth ; Henry, Darren.
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  319. Liquidity shocks and institutional investors. (2019). Dang, Tung ; Zhang, Bohui ; Moshirian, Fariborz.
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  320. What is the role of institutional investors in corporate capital structure decisions? A survey analysis. (2019). Brown, Stephen ; Veld-Merkoulova, Yulia ; Dutordoir, Marie.
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  321. Government investment in publicly traded firms. (2019). Holland, Kateryna .
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  322. Stock market integration, cost of equity capital, and corporate investment: Evidence from Brazil. (2019). Loncan, Tiago ; Hillier, David.
    In: European Financial Management.
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  323. Long-Term Dependency Structure and Structural Breaks: Evidence from the U.S. Sector Returns and Volatility. (2018). Ngene, Geoffrey ; Lynch, Allen K ; Mungai, Ann Nduati.
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  324. Engagement of directors representing institutional investors on environmental disclosure. (2018). Maria Consuelo Pucheta Martinez, ; Lopezzamora, Blanca ; Puchetamartinez, Maria Consuelo.
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  325. Inside the family firms: The impact of family and institutional ownership on executive remuneration. (2018). Ho, Poh-Ling ; Jong, Ling.
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  326. Foreign institutional investors and stock return comovement. (2018). Pang, Lei ; Kim, Jeong-Bon ; Jiang, LI.
    In: Frontiers of Business Research in China.
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  327. The Extent to Which Professional Advice Can Reduce the Disposition Effect: An Emerging Market Study. (2018). .
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  328. Institutional Ownership and Dividend Payout in Emerging Markets: Evidence from India. (2018). Lukose PJ, Jijo.
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  329. An agent based early warning indicator for financial market instability. (2018). Alfarano, Simone ; Vidal-Tomas, David.
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  330. Does corporate hedging attract foreign institutional investors? Evidence from international firms. (2018). Massa, Massimo ; Zhang, Lei.
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  331. Does hometown advantage matter? The case of institutional blockholder monitoring on earnings management in Korea. (2018). Liu, Chang ; Wang, Kainan ; Sul, Hong Kee ; Chung, Chune Young.
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  332. Behavioral Corporate Finance. (2018). Malmendier, Ulrike.
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  333. Global Portfolio Rebalancing and Exchange Rates. (2018). Rey, Helene ; Hau, Harald ; Camanho, Nelson.
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  334. Behavioural Factors in the Hungarian Retail Government Bond Market. (2018). Kutasi, Gabor ; Szabo, Krisztina ; Gyorgy, Laszlo .
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  335. Good Growth, Bad Growth: How Effective are REITs’ Corporate Watchdogs?. (2018). Ooi, Joseph ; Xu, Ruoran.
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  336. Female Institutional Directors on Boards and Firm Value. (2018). Olcina-Sempere, Gustau ; Bel-Oms, Inmaculada ; Pucheta-Martinez, Maria Consuelo.
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  337. An agent based early warning indicator for financial market instability. (2018). Vidal-Tomás, David ; Alfarano, Simone ; Vidal-Tomas, David.
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  338. Outsourcing Corporate Governance: Conflicts of Interest Within the Proxy Advisory Industry. (2018). Li, Tao.
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  339. Investor–Stock Decoupling in Mutual Funds. (2018). Matos, Pedro ; Massa, Massimo ; Ferreira, Miguel A.
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  340. THE INFLUENCE OF THE OWNERSHIP STRUCTURE ON THE PERFORMANCE OF INNOVATIVE COMPANIES IN THE US. (2018). Kokoreva, Maria ; Stepanova, Anastasia ; Karnoukhova, Elena.
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  341. GCC Sovereign Wealth Funds: Why do they Take Control?. (2018). Carpantier, Jean-François ; Amar, Jeanne ; Lecourt, Christelle.
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  342. Professionals On Corporate Boards In Japan: How Do They Affect The Bottom Line?. (2018). Kubo, Katsuyuki ; Sako, Mari.
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  343. Better than independent: the role of minority directors on bank boards. (2018). Strobel, Frank ; Barry, Thierno ; Tran, Thu ; Lepetit, Laetitia.
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  344. The Effect of Corporate Governance on Earnings Quality and Market Reaction to Low Quality Earnings: Korean Evidence. (2018). Kim, Su-In ; Shin, Hyejeong.
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  345. Sustainable Returns: The Effect of Regional Industrial Development Policy on Institutional Investors’ Behavior in China. (2018). Lu, Jun ; Lin, Shuling ; Chen, Wei-Peng ; Su, Jung-Bin.
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  346. R&D Investments and Firm Value: Evidence from China. (2018). Park, Kunsu ; Kim, Woosung ; Lee, Sang Hoon.
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  347. Insider Trading and Institutional Holdings in Seasoned Equity Offerings. (2018). Yang, Tung-Hsiao ; Wu, Ching-Chih.
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  348. Corporate Governance, Employment, and Financial Performance of Japanese firms: A cross-country analysis. (2018). Takuji, SAITO ; Kotaro, Inoue ; Yasuhiro, Arikawa.
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  349. Earnings informativeness and institutional investors on boards. (2018). Bona-Sanchez, Carolina ; Perez-Aleman, Jeronimo ; Garcia-Meca, Emma.
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  350. Institutional Investors and firm characteristics: New evidence from India. (2018). Deb, Soumya Guha .
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  351. Financial openness & institutions in developing countries. (2018). Kant, Chander.
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  352. Changes in corporate governance and top executive turnover: The evidence from Japan. (2018). Miyajima, Hideaki ; Saito, Takuji ; Ogawa, Ryo.
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  353. The impact of share pledging regulations on stock trading and firm valuation. (2018). Wang, Yu-Chun ; Chou, Robin K.
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  354. Corporate governance and default risk in financial firms over the post-financial crisis period: International evidence. (2018). Switzer, Lorne N ; Wang, Jun ; Tu, Qiao.
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  355. Corporate ownership and the theory of the multinational enterprise. (2018). Strange, Roger.
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  356. Sovereign wealth fund governance and national culture. (2018). Aggarwal, Raj ; Goodell, John W.
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  357. Institutional ownership and corporate transparency in China. (2018). Liu, Ningyue ; Zhang, Xiaofei ; Cao, Yue ; Laing, Elaine.
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  358. Motivated monitoring: The importance of the institutional investment horizon. (2018). Yin, Chao ; Tsolacos, Sotiris ; Ward, Charles.
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  359. Who exacerbates the extreme swings in the Chinese stock market?. (2018). Wu, Eliza ; Tian, Shu.
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  360. International work experience and compensation: Is more always better for CFOs?. (2018). Altfeld, Frederic ; Schmid, Stefan.
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    RePEc:eee:eurman:v:36:y:2018:i:4:p:530-543.

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  361. Economic, environmental, and social performance indicators of sustainability reporting: Evidence from the Russian oil and gas industry. (2018). Orazalin, Nurlan ; Mahmood, Monowar.
    In: Energy Policy.
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  362. Ownership concentration and market liquidity: Evidence from a natural experiment. (2018). Leao, Miguel ; Pedraza, Alvaro.
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  363. Do institutional blockholders influence corporate investment? Evidence from emerging markets. (2018). Alvarez, Roberto ; Pombo, Carlos ; Jara, Mauricio.
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  364. Sovereign wealth funds and equity pricing: Evidence from implied cost of equity of publicly traded targets. (2018). Boubaker, Sabri ; Guizani, Asma ; Grira, Jocelyn ; Boubakri, Narjess.
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  365. Foreign institutional ownership and liquidity commonality around the world. (2018). Deng, Baijun ; Li, Yong.
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  366. Multiple large shareholders and corporate investment: Evidence from China. (2018). Jiang, Fuxiu ; Zhu, Bing ; Wang, Xue ; Cai, Wenjing .
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  367. Are all regulatory compliant independent director appointments the same? An analysis of Taiwanese board appointments. (2018). Chou, Hsin-I, ; Yeh, Yin-Hua ; Hamill, Philip A.
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  368. Employee welfare and stock price crash risk. (2018). Ben-Nasr, Hamdi ; Ghouma, Hatem.
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  369. The Role of Stakeholders in Corporate Governance: A View from Accounting Research. (2018). Ormazabal, Gaizka.
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  370. Does board diversity affect institutional investor preferences? Evidence from Latin America. (2018). Taborda, Rodrigo ; Pombo, Carlos ; De-La, Maria Camila .
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  371. Learning Chinese? The changing investment behavior of foreign institutions in the Chinese stock market. (2018). Wang, Peng ; Virk, Nader ; Korkeamaki, Timo.
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  372. Does Ownership Identity Matter? A Meta‐analysis of Research on Firm Financial Performance in Relation to Government versus Private Ownership. (2018). Wang, Kun Tracy ; Shailer, Greg.
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  373. Do Institutional Investors Drive Corporate Social Responsibility? International Evidence. (2018). Wagner, Hannes ; Roth, Lukas ; Lins, Karl V ; Dyck, Alexander.
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  375. Essays in financial intermediation and political economy. (2017). Luo, Mancy .
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  376. Effects of Innovation Investment on Profitability and Moderating Role of Corporate Governance: Empirical Study of Indian Listed Firms. (2017). Shanmugasundaram, G ; Busru, Showkat Ahmad.
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  377. How the corporate governance mechanisms affect bank risk taking. (2017). mamatzakis, emmanuel ; Wang, Chaoke ; Zhang, Xiaoxiang.
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  378. Foreign political connections. (2017). Sojli, Elvira ; Tham, Wing Wah.
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  379. The governance impact of a changing investor landscape. (2017). Aguilera, Ruth V ; Ho, Jun ; Lamy, Monica Lopez-Puertas ; Desender, Kurt A.
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  380. Foreign independent directors and the quality of legal institutions. (2017). Wintoki, Babajide M ; Poulsen, Annette ; Miletkov, Mihail .
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  381. Returns to Hedge Fund Activism: An International Study. (2017). Wagner, Hannes ; Becht, Marco ; Grant, Jeremy ; Franks, Julian.
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  382. An examination of independent directors in Vietnam. (2017). Mai, Thi Tuyet.
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  383. Changes in Corporate Governance and Top Executive Turnover: The Evidence from Japan. (2017). Miyajima, Hideaki ; Saito, Takuji ; Ogawa, Ryo.
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  384. Governance and Stakeholders. (2017). Morck, Randall ; Mehrotra, Vikas .
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  385. Foreign Institutional Investors, Shareholding Change, and Corporate Governance. (2017). Ni, Yensen ; Huang, Paoyu ; Liao, Yulu.
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  386. Institutional Investors on Boards: Does Their Behavior Influence Corporate Finance?. (2017). López-Iturriaga, Félix ; Tejerina-Gaite, Fernando ; Lopez-Iturriaga, Felix ; Garcia-Meca, Emma.
    In: Journal of Business Ethics.
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  387. Foreign ownership and financial reporting quality in private subsidiaries. (2017). Rusanescu, Simona ; de Albornoz, Belen Gill .
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  388. Declining Labor Share and Innovation. (2017). HOUNGBONON, Georges Vivien ; Da Costa, Pascal ; Da-Costa, Pascal.
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  389. Patterns and Trends in Sovereign Wealth Fund Investments: A Post-Crisis Descriptive Analysis. (2017). Cheraghlou, Amin Mohseni.
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  390. Stock Allocation in Turkish Capital Markets: Industry and Firm Level Perspectives. (2017). Furtuna, Ozlem Kutlu.
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  391. Foreign Institutional Ownership and Risk Taking. (2017). Peng, XU.
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  392. Corporate risk-taking, returns and the nature of major shareholders: Evidence from prospect theory. (2017). López-Iturriaga, Félix ; Lopez-Iturriaga, Felix Javier ; Diez-Esteban, Jose Maria ; Santamaria-Mariscal, Marcos ; Garcia-Gomez, Conrado Diego .
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  393. Stock liquidity and second blockholder as drivers of corporate value: Evidence from Latin America. (2017). Taborda, Rodrigo ; Pombo, Carlos.
    In: International Review of Economics & Finance.
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  394. Hot money and cross-section of stock returns during the global financial crisis. (2017). Kim, Daehwan ; Iwasawa, Seiichiro .
    In: International Review of Economics & Finance.
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  395. Does institutional ownership influence firm performance? Evidence from China. (2017). Lin, Yongjia Rebecca ; Fu, Xiaoqing Maggie .
    In: International Review of Economics & Finance.
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  396. Board structure and stock price informativeness in terms of moving average rules. (2017). Huang, Paoyu ; Ni, Yensen.
    In: The Quarterly Review of Economics and Finance.
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  397. Cross-country evidence on the relation between capital gains taxes, risk, and expected returns. (2017). Hail, Luzi ; Wang, Clare ; Sikes, Stephanie .
    In: Journal of Public Economics.
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  398. Integrated reporting: Is it the last piece of the accounting disclosure puzzle?. (2017). Pavlopoulos, Athanasios ; Iatridis, George Emmanuel ; Magnis, Chris.
    In: Journal of Multinational Financial Management.
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  399. Non-financial disclosure and market-based firm performance: The initiation of financial inclusion. (2017). Bose, Sudipta ; Islam, Shajul ; Khan, Habib Zaman ; Saha, Amitav.
    In: Journal of Contemporary Accounting and Economics.
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  400. Does institutional ownership matter for international stock return comovement?. (2017). Ferreira, Miguel ; Faias, Jose.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:78:y:2017:i:c:p:64-83.

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  401. Are foreign investors locusts? The long-term effects of foreign institutional ownership. (2017). Ferreira, Miguel ; Bena, Jan ; Pires, Pedro ; Matos, Pedro.
    In: Journal of Financial Economics.
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  402. Portfolio concentration and performance of institutional investors worldwide. (2017). Sokolyk, Tatyana ; Choi, Nicole ; Fedenia, Mark ; Skiba, Hilla .
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  403. Do locals know better? A comparison of the performance of local and foreign institutional investors. (2017). Ferreira, Miguel ; Pires, Pedro ; Pereira, Joo Pedro ; Matos, Pedro.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:82:y:2017:i:c:p:151-164.

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  404. Family ownership, country governance, and foreign portfolio investment. (2017). Bodnaruk, Andriy ; Yadav, Vijay ; Massa, Massimo.
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:41:y:2017:i:c:p:96-115.

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  405. Does founder ownership affect foreign investments? Evidence from India. (2017). Kumar, Satish ; Chauhan, Yogesh.
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  406. A pecking order of shareholder structure. (2017). Kim, Kenneth ; Zhu, Bing ; Nofsinger, John R ; Jiang, Fuxiu.
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  407. Do state and foreign ownership affect investment efficiency? Evidence from privatizations. (2017). Chen, Ruiyuan ; Wang, HE ; Guedhami, Omrane ; el Ghoul, Sadok.
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  408. Do tax havens create firm value?. (2017). Ng, Travis ; Lai, Tat-kei ; Choy, Siu Kai.
    In: Journal of Corporate Finance.
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  409. Philanthropic giving, market-based performance and institutional ownership: Evidence from an emerging economy. (2017). Biswas, Kumar ; Podder, Jyotirmoy ; Bose, Sudipta.
    In: The British Accounting Review.
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  410. The Effect of Ownership Composition on Stock’s Liquidity: Evidence from Weak Corporate Governance Setting. (2017). Iskandrani, Majd ; Al-Amarneh, Asmaa .
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  411. The Impact of Stock Market Performance on Foreign Portfolio Investment in China. (2017). Khan, Muhammad Asif ; Haider, Muhammad Afaq ; Hashmi, Shujahat Haider ; Saddique, Shamila .
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  412. Do institutional blockholders influence corporate investment? Evidence from emerging markets. (2017). Pombo, Carlos ; Jara Bertin, Mauricio ; Alvarez, Roberto.
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  413. Stock Price Synchronicity and Information Environment. (2017). Hassan, Arshad ; Fraz, Ahmad.
    In: Business & Economic Review.
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  414. Taming Leviathan: Mitigating Political Interference in Sovereign Wealth Funds’ Public Equity Investments. (2017). Loss, Giacomo ; Fotak, Veljko ; Bortolotti, Bernardo.
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  415. INSTITUTIONAL INVESTORS AND THE DEPENDENCE STRUCTURE OF ASSET RETURNS. (2016). Cont, Rama ; Wagalath, Lakshithe.
    In: International Journal of Theoretical and Applied Finance (IJTAF).
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  416. The Differential Impact of Public and Private Governance Institutions on the Different Modes of Foreign Investment. (2016). Goda, Thomas ; Solomon, Offiong Helen ; Lysandrou, Photis.
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  417. Corporate governance and the institutionalization of socially responsible investing (SRI) in Korea. (2016). Jun, Hannah.
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  418. EFFECT OF INTERNATIONAL FINANCIAL REPORTING STANDARDS (IFRS) ON CORPORATE FINANCING IN NIGERIAN BANKING INDUSTRY. (2016). Jibril, Maryam Ahmed ; Abubakar, Modibbo .
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  419. Corporate Governance and Foreign Investment in India. (2016). Banerji, Amit ; Khan, Mohammad Iftekhar .
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  420. Corporate Governance Determinants of FII in Indian IT Firms. (2016). Sensarma, Rudra ; Mitra, Sumit ; Panicker, Vidya Sukumara.
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  421. Foreign Investor Heterogeneity and Stock Liquidity around the World. (2016). , Jingyu ; Wu, Fei ; Ng, Lilian ; Zhang, Bohui ; Yu, Jing.
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  422. Applications of simultaneous equations in finance research: methods and empirical results. (2016). Lee, Cheng Few ; Liang, Woan-Lih ; Yang, Yating ; Lin, Fu-Lai.
    In: Review of Quantitative Finance and Accounting.
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  423. Mutual Fund Activism and Market Regulation During the Pre-IFRS Period: The Case of Earnings Informativeness in China from an Ethical Perspective. (2016). Wu, Zhenyu ; Jia, Chunxin ; Ding, Shujun.
    In: Journal of Business Ethics.
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  424. Foreign ownership and stock market liquidity - evidence from Vietnam. (2016). Vo, Xuan Vinh.
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  425. Reaction of Foreign Institutional Investors to Mandatory IFRS Adoption: French Evidence. (2016). Garrouch, Hela .
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  426. Ownership Monitoring Mechanism over Sukuk Credit Rating. (2016). Zakaria, Nor Balkish ; Abulgasem, Mohamed ; Ramli, Nathasa Mazna ; Muhamed, Nurul Aini .
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  427. The Coming Wave: Where Do Emerging Market Investors Put Their Money?. (2016). Karolyi, G. ; Prasadauthor-Workplace, Eswar S ; Ng, David T.
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  428. Changes in the Corporate Governance System and Presidential Turnover. (2016). Saito, Takuji ; Ogawa, Ryo ; Miyajima, Hideaki.
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  429. Does Ownership Really Matter? : The Role of Foreign Investors in Corporate Governance in Japan. (2016). Ogawa, Ryo ; Hoda, Takaaki ; Miyajima, Hideaki.
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  430. Political Conflict and Foreign Portfolio Investment : Evidence from North Korean Attacks. (2016). Gerlach, Jeffrey R ; Yook, Youngsuk.
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  431. Convergence or Emerging Diversity? Understanding the impact of foreign investors on corporate governance in Japan. (2016). Hideaki, Miyajima ; Ryo, Ogawa.
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  432. The role of institutional investors in propagating the 2007 financial crisis in Southern Europe. (2016). Garcia-Gomez, Conrado Diego ; Farinha, Jorge Bento ; Diez-Esteban, Jose Maria .
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  433. Labor protection and the privatization or partial privatization method. (2016). Belkhir, Mohamed ; Ben-Nasr, Hamdi.
    In: International Review of Economics & Finance.
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  434. Institutional investors in Australia: Do they play a homogenous monitoring role?. (2016). Johl, Shireenjit K ; Tanewski, George ; Muniandy, Puspa .
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:40:y:2016:i:pb:p:266-288.

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  435. Domestic and foreign institutional investors investment in IPOs. (2016). Paudyal, Krishna ; Neupane, Suman ; Thapa, Chandra.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:39:y:2016:i:c:p:197-210.

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  436. Political conflict and foreign portfolio investment: Evidence from North Korean attacks. (2016). Gerlach, Jeffrey R ; Yook, Youngsuk.
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:39:y:2016:i:c:p:178-196.

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  437. Foreign bias in Australian-domiciled mutual fund holdings. (2016). Mishra, Anil.
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  438. The stock preferences of domestic versus foreign investors: Evidence from Qualified Foreign Institutional Investors (QFIIs) in China. (2016). Zou, Liping ; Li, Xiaoming ; Tang, Tiantian .
    In: Journal of Multinational Financial Management.
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  439. Trader activities, ownership, and stock price reactions to MSCI standard index changes: Evidence from Taiwan. (2016). Shiu, Cheng-Yi ; Hung, Chung-Wen .
    In: Journal of Multinational Financial Management.
    RePEc:eee:mulfin:v:36:y:2016:i:c:p:49-63.

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  440. International reserves for emerging economies: A liquidity approach. (2016). Pyun, Ju Hyun ; Jung, Kuk Mo ; Hyun, JU ; Mo, Kuk.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:68:y:2016:i:c:p:230-257.

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  441. Sovereign debt ratings and stock liquidity around the World. (2016). Sapriza, Horacio ; Wu, Yangru ; Lee, Kuan-Hui .
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    RePEc:eee:jbfina:v:73:y:2016:i:c:p:99-112.

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  442. Does institutional shareholder activism stimulate corporate information flow?. (2016). wongchoti, udomsak ; Marshall, Ben ; Prevost, Andrew K.
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    RePEc:eee:jbfina:v:70:y:2016:i:c:p:105-117.

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  443. Institutional stock ownership and firms’ cash dividend policies: Evidence from China. (2016). Firth, Michael ; Zhang, Yuanyuan ; Shen, Jianghua ; Gao, Jin .
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:65:y:2016:i:c:p:91-107.

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  444. Sovereign Wealth Funds Internationalization Strategies: The Use of Investment Vehicles. (2016). Murtinu, Samuele ; Scalera, Vittoria G.
    In: Journal of International Management.
    RePEc:eee:intman:v:22:y:2016:i:3:p:249-264.

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  445. Sovereign wealth funds targets selection: A comparison with pension funds. (2016). Grira, Jocelyn ; Boubakri, Narjess ; Cosset, Jean-Claude .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:42:y:2016:i:c:p:60-76.

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  446. Insurance companies’ trading behaviour during the European sovereign debt crisis: Flight home or flight to quality?. (2016). Vermeulen, Robert ; Bijlsma, Melle.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:27:y:2016:i:c:p:137-154.

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  447. Social trust and foreign ownership: Evidence from qualified foreign institutional investors in China. (2016). Jin, Dawei ; Yin, Desheng ; Wang, Peng.
    In: Journal of Financial Stability.
    RePEc:eee:finsta:v:23:y:2016:i:c:p:1-14.

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  448. Foreign investors and corporate risk taking behavior in an emerging market. (2016). Vo, Xuan Vinh.
    In: Finance Research Letters.
    RePEc:eee:finlet:v:18:y:2016:i:c:p:273-277.

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  449. The market valuation of M&A announcements in the United Kingdom. (2016). Andriosopoulos, Dimitris ; Li, Wei-An ; Yang, Shuai.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:48:y:2016:i:c:p:350-366.

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  450. Institutional investors: Arbitrageurs or rational trend chasers. (2016). Zeng, Yeqin.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:45:y:2016:i:c:p:240-262.

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  451. Board structure, controlling ownership, and business groups: Evidence from India. (2016). Jha, Rajneesh Ranjan ; Chauhan, Yogesh ; Dey, Dipanjan Kumar.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:27:y:2016:i:c:p:63-83.

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  452. Institutional investor heterogeneity and firm valuation: Evidence from Latin America. (2016). Pombo, Carlos ; De-La, Maria Camila .
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:26:y:2016:i:c:p:197-221.

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  453. Macroeconomic uncertainty, foreign direct investment and institutional quality: Evidence from Sub-Saharan Africa. (2016). Adjasi, Charles ; Alhassan, Abdul Latif ; Asamoah, Michael Effah ; Charles, .
    In: Economic Systems.
    RePEc:eee:ecosys:v:40:y:2016:i:4:p:612-621.

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  454. The simultaneous estimation of credit growth, valuation, and stability of the Gulf Cooperation Council banking industry. (2016). Arouri, Houda ; Al-Khouri, Ritab .
    In: Economic Systems.
    RePEc:eee:ecosys:v:40:y:2016:i:3:p:499-518.

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  455. State and foreign ownership and the value of working capital management. (2016). Ben-Nasr, Hamdi.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:41:y:2016:i:c:p:217-240.

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  456. Drivers behind the monitoring effectiveness of global institutional investors: Evidence from earnings management. (2016). Kim, Incheol ; Wang, Bin ; Miller, Steve.
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    RePEc:eee:corfin:v:40:y:2016:i:c:p:24-46.

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  457. Management Forecasts, Idiosyncratic Risk, and the Information Environment. (2016). Okuda, Shin'ya ; Kitagawa, Norio .
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    RePEc:eee:accoun:v:51:y:2016:i:4:p:487-503.

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  458. Investor-Stock Decoupling in Mutual Funds. (2016). Ferreira, Miguel ; Matos, Pedro Pinto ; Massa, Massimo.
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  459. Institutional Investors and Corporate Political Activism. (2016). Albuquerque, Rui ; Zhang, Chendi ; Rocholl, Jorg ; Lei, Zicheng .
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  460. Do institutional investors unbind firm financial constraints? Evidence from emerging markets. (2016). Pombo, Carlos ; Jara Bertin, Mauricio ; Alvarez, Roberto ; Jara-Bertin, Mauricio.
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  461. The effect of foreign institutional ownership on corporate tax avoidance: international evidence. (2016). Wu, Qiang ; HASAN, IFTEKHAR ; Kim, Incheol ; Teng, Haimeng .
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  462. The Impact of Cross-Listing on the Home Markets Information Environment and Stock Price Efficiency. (2016). Dodd, Olga ; Gilbert, Aaron.
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    RePEc:bla:finrev:v:51:y:2016:i:3:p:299-328.

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  463. Foreign investors and corporate social responsibility: evidence from the career advancement of women in Japan. (2015). Tanaka, Takanori .
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    RePEc:taf:applec:v:47:y:2015:i:33:p:3510-3524.

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  464. Red versus Blue: Do Political Dimensions Influence the Investment Preferences of State Pension Funds?. (2015). Schopohl, Lisa ; Hoepner, Andreas .
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  465. Corporate Governance and Disclosure Practices in India: MNC Subsidiaries versus Domestic Cross-Listed Firms. (2015). Sapovadia, Vrajlal ; Madhani, Pankaj.
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  466. International Reserves for Emerging Economies: A Liquidity Approach.. (2015). Pyun, Ju Hyun ; Jung, Kuk Mo.
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  467. The Coming Wave: Where Do Emerging Market Investors Put Their Money?. (2015). Prasad, Eswar ; Ng, David ; Karolyi, G..
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  468. The Coming Wave: Where Do Emerging Market Investors Put Their Money?. (2015). Prasad, Eswar ; Karolyi, G. ; Ng, David T.
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  469. Does Ownership Really Matter? The role of foreign investors in corporate governance in Japan. (2015). Hideaki, Miyajima ; Ryo, Ogawa ; Takaaki, Hoda .
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  470. Betting on presidential elections: Should we buy stocks connected with the winning party?. (2015). Shen, Chung-Hua ; Lin, Chih-Yung.
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  471. Foreign ownership and stock return volatility – Evidence from Vietnam. (2015). Vo, Xuan Vinh.
    In: Journal of Multinational Financial Management.
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  472. Shareholder diversification and bank risk-taking. (2015). Mura, Roberto ; Marchica, Maria-Teresa ; Garcia-Kuhnert, Yamileh .
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  473. When firms talk, do investors listen? The role of trust in stock market reactions to corporate earnings announcements. (2015). Xie, Fei ; Pevzner, Mikhail ; Xin, Xiangang .
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  474. The impact of institutional investors on mergers and acquisitions in the United Kingdom. (2015). Andriosopoulos, Dimitris ; Yang, Shuai.
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  475. Information asymmetry, disclosure and foreign institutional investment: An empirical investigation of the impact of the Sarbanes-Oxley Act. (2015). Abdioglu, Nida ; Stathopoulos, Konstantinos ; Khurshed, Arif ; Cavusgil, Tamer S ; Bamiatzi, Vassiliki .
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  476. Cross-listings and liquidity commonality around the world. (2015). Zhang, Bohui ; Dang, Tung ; Wee, Claudia Koon Ghee, ; Moshirian, Fariborz .
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  477. Exchange risk premia and firm characteristics. (2015). Majerbi, Basma ; Rizeanu, Sorin ; Chung, Hyunchul.
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    RePEc:eee:ememar:v:22:y:2015:i:c:p:96-125.

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  478. The effects of stock liquidity on firm value and corporate governance: Endogeneity and the REIT experiment. (2015). Cheung, William Mingyan ; Fung, Scott ; Chung, Richard.
    In: Journal of Corporate Finance.
    RePEc:eee:corfin:v:35:y:2015:i:c:p:211-231.

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  479. Foreign institutional investors and corporate governance in emerging markets: Evidence of a split-share structure reform in China. (2015). Huang, Wei ; Zhu, Tao.
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    RePEc:eee:corfin:v:32:y:2015:i:c:p:312-326.

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  480. Multiple lead underwriter IPOs and firm visibility. (2015). Via, Tony M. ; Jeon, Jin Q. ; Lee, Cheolwoo ; Nasser, Tareque .
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  481. Board independence and firm performance in China. (2015). Miletkov, Mihail K. ; Wei, Zuobao ; Liu, YU ; Yang, Tina .
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  482. The impact of mandatory versus voluntary auditor switches on stock liquidity: Some Korean evidence. (2015). Lee, Woo-Jong ; Gul, Ferdinand A ; Choi, Youn-Sik.
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  483. Insurance companies trading behaviour during the European Sovereign debt crisis: Flight home or flight to quality?. (2015). Vermeulen, Robert ; Bijlsma, Melle.
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  484. Institutional Investors and Corporate Political Activism. (2015). Albuquerque, Rui ; Zhang, Chendi ; Rocholl, Jorg ; Lei, Zicheng .
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  485. The Returns to Hedge Fund Activism: An International Study. (2015). Wagner, Hannes ; Becht, Marco ; Franks, Julian R ; Grant, Jeremy .
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  486. Investing in Low-Trust Countries: Trust in the Global Mutual Fund Industry. (2015). Wang, Chengwei ; Massa, Massimo ; Zhang, Jian.
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  487. Subcontracting in International Asset Management: New Evidence on Market Integration. (2015). Schumacher, David ; Massa, Massimo.
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  488. Stock liquidity and second blockholder as drivers of corporate value: Evidence from Latin America. (2015). Taborda, Rodrigo ; Pombo, Carlos.
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  489. Institutional Investors and Firm Valuation: Evidence from Latin America. (2015). Pombo, Carlos ; Maria Camila De-La-Hoz, .
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  490. Do Improvements in the Information Environment Enhance Insiders’ Ability to Learn from Outsiders?. (2015). Loureiro, Gilberto ; Taboada, Alvaro G.
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  491. Foreign Institutional Ownership and the Global Convergence of Financial Reporting Practices. (2015). Fang, Vivian W ; Zhang, Bohui ; Maffett, Mark .
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  492. When Is a Firms Information Asymmetry Priced? The Role of Institutional Investors. (2015). Yin, Xiangkang ; Nguyen, Huong Giang ; Luong, Hoang Luong .
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  493. When Do Sell†side Analyst Reports Really Matter? Shareholder Protection, Institutional Investors and the Informativeness of Equity Research. (2015). Arand, Daniel ; Walter, Andreas ; Kerl, Alexander.
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  494. Mutual Funds and Information Diffusion: The Role of Country-Level Governance. (2014). Zhang, and Hong ; Massa, Massimo ; Lin, Chunmei.
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  495. The role of corporate governance in foreign investments. (2014). Das, Praveen .
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  496. The Effects of Ownership Concentration and Origin on Listed Firms’ Value: Empirical Evidence from Romania. (2014). Vintila, Georgeta ; Gherghina, Ştefan ; Nedelescu, Mihai .
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  497. The Diffusion of Corporate Governance to Emerging Markets: Evaluating Two Dimensions of Investor Heterogeneity. (2014). Wei, Shang-Jin ; Sung, Taeyoon ; Kim, Woochan.
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  498. Price informativeness and institutional ownership: evidence from Japan. (2014). Chen, Tao ; Luo, Miao ; Yan, Isabel.
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  499. Does Corporate Governance Influence Earnings Management in Latin American Markets?. (2014). Gonzalez, Jesus Saenz ; Garcia-Meca, Emma.
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  500. Foreign Ownership and Firm Value: Evidence from Australian Firms. (2014). Mishra, Anil.
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  501. Institutional Investors and the Dependence Structure of Asset Returns. (2014). Cont, Rama ; Wagalath, Lakshithe.
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  502. Taxation of domestic dividend income and foreign investment holdings. (2014). Ratti, Ronald ; Mishra, Anil.
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  503. Directors and officers liability insurance and investment efficiency: Evidence from Taiwan. (2014). Li, Kuei-Fu ; Liao, Yi-Ping.
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  504. Stock volatility and pension funds under an individual capitalization-based system. (2014). Fernandez, Viviana.
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  505. Does auditor choice matter to foreign investors? Evidence from foreign mutual funds worldwide. (2014). Zhang, Bohui ; Zaiats, Nataliya ; Chou, Julia .
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  506. Bank efficiency and shareholder value in Asia Pacific. (2014). Molyneux, Philip ; Lin, Yongjia ; Fu, Xiaoqing.
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  507. Institutional trading and attention bias. (2014). Hung, Weifeng.
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  508. The role of corporate board structure in attracting foreign investors. (2014). Poulsen, Annette B. ; Miletkov, Mihail K. ; Wintoki, Babajide M..
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  509. Effects of Foreign Institutional Ownership on Foreign Bank Lending: Some Evidence for Emerging Markets. (2014). Jiang, Liangliang ; Zhu, YI.
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  511. Is local bias a cross-border phenomenon? Evidence from individual investors international asset allocation. (2013). Baltzer, Markus ; Walter, Andreas ; Stolper, Oscar .
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  512. Do Foreign Institutional Investors Reward Transparency and Disclosure. (2013). .
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  513. Taxation of Domestic Dividend Income and Foreign Investment Holdings. (2013). Ratti, Ronald ; Mishra, Anil.
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  514. The effects of ownership structure on corporate financing decisions: Evidence from stock market liberalization. (2013). O'Connor, Thomas ; Flavin, Thomas.
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  515. Management Forecasts, Idiosyncratic Risk, and Information Environment. (2013). Kitagawa, Norio ; Shin' ya Okuda, .
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  516. Competition and Cooperation in Corporate Governance: The Effects of Labor Institutions on Blockholder Effectiveness in 23 European Countries. (2013). van Essen, Marc ; van Oosterhout, J.
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  517. Foreign Investors as Change Agents: The Swedish Firm Experience. (2013). Palmberg, Johanna ; Lee, Wayne Y. ; Fogel, Kathy S..
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  518. Institutional Investors Flows and the Geography of Contagion. (2013). PUY, Damien.
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  535. Investment Performance: A Review and Synthesis. (2013). Ferson, Wayne E.
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  537. Dividend privileges and the value of voting rights: Evidence from Italy. (2013). BIGELLI, MARCO ; Croci, Ettore .
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  4. Institutional trading and attention bias. (2014). Hung, Weifeng.
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  6. International portfolio choice and political instability risk: A multi-objective approach. (2014). Smimou, K..
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  10. Are foreign investors really beneficial? Evidence from South Korea. (2013). Garner, Jacqueline L. ; Kim, Wonyong .
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  11. Investor protection rights and foreign investment. (2013). Giofre', Maela.
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  12. Is local bias a cross-border phenomenon? Evidence from individual investors’ international asset allocation. (2013). Baltzer, Markus ; Walter, Andreas ; Stolper, Oscar .
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  13. Financial Liberalization, Foreign Ownership and Corporate Operational Efficiency: The Case of Taiwan Market. (2013). Huang, Jiun-Kai ; Lee, Tung-Hao.
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  15. Investability, Corporate Governance and Firm Value. (2012). O'Connor, Thomas ; Suurlaht, Anita .
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  16. Does foreign institutional ownership motivate firms in an emerging market to increase voluntary disclosure? Evidence from Taiwan. (2012). Lin, Mei-Feng ; Chin, Chen-Lung.
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  17. U.S. international equity investment. (2012). Warnock, Francis ; Smith, David C. ; Holland, Sara B. ; Ammer, John.
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  18. Equity home bias and corporate disclosure. (2012). Eichler, Stefan.
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  19. Country-specific equity market characteristics and foreign equity portfolio allocation. (2012). Thapa, Chandra ; Poshakwale, Sunil S..
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  21. Foreign ownership in Vietnam stock markets - an empirical analysis. (2011). Vo, Xuan Vinh.
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  23. Cultural influences on home bias and international diversification by institutional investors. (2011). Anderson, Christopher W. ; Hirschey, Mark ; Fedenia, Mark ; Skiba, Hilla .
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  24. Does corporate governance risk at home affect investment choices abroad?. (2011). Wei, Shang-Jin ; Sung, Taeyoon ; Kim, Woochan.
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  25. Foreign equity flows and the “Size Bias”: Evidence from an emerging stock market. (2011). Diyarbakirlioglu, Erkin .
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  36. The effects of portfolio size on international equity home bias puzzle. (2009). Ni, Jinlan.
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  37. Foreign institutional ownership and stock market liquidity: Evidence from Indonesia. (2009). Wang, Jianxin ; Rhee, Ghon S..
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  38. Investor protection and convertible debt design. (2009). Lee, Cheng-Few ; Yeo, Gillian Hian-Heng .
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  39. Auditor choice in privatized firms: Empirical evidence on the role of state and foreign owners. (2009). Pittman, Jeffrey A. ; Saffar, Walid ; Guedhami, Omrane.
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  40. Idiosyncratic risk and the cross-section of stock returns: Merton (1987) meets Miller (1977). (2009). Kumar, Praveen ; Danielsen, Bartley R. ; Sorescu, Sorin M. ; Boehme, Rodney D..
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  41. Patterns of international capital raisings. (2008). Schmukler, Sergio ; Levine, Ross ; Gozzi, Juan Carlos.
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  42. How Does Corporate Governance Risk at Home Affect Investment Choices Abroad?. (2008). Wei, Shang-Jin ; Sung, Taeyoon ; Kim, Woochan.
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  43. Why do U.S. cross-listings matter?. (2008). Warnock, Francis ; Smith, David C. ; Holland, Sara B. ; Ammer, John.
    In: International Finance Discussion Papers.
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  44. The colors of investors money: The role of institutional investors around the world. (2008). Ferreira, Miguel ; Matos, Pedro.
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  45. Emerging Capital Markets and Globalization : The Latin American Experience. (2007). de la Torre, Augusto ; Schmukler, Sergio L..
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  46. What drives home bias? Evidence from fund managers views. (2007). Menkhoff, Lukas ; Luetje, Torben ; Lutje, Torben .
    In: International Journal of Finance & Economics.
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  47. Emerging Capital Markets and Globalization: The Latin American Experience. (2007). de la Torre, Augusto ; Schmukler, Sergio .
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  48. ADR holdings of US-based emerging market funds. (2007). Klapper, Leora ; Aggarwal, Reena ; Dahiya, Sandeep.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:31:y:2007:i:6:p:1649-1667.

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  49. Do Foreigners Invest Less in Poorly Governed Firms?. (2006). Warnock, Francis ; Leuz, Christian ; Lins, Karl V..
    In: NBER Working Papers.
    RePEc:nbr:nberwo:12222.

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  50. Revealed stock preferences of individual investors: Evidence from Chinese equity markets. (2006). wu, fei ; Ng, Lilian .
    In: Pacific-Basin Finance Journal.
    RePEc:eee:pacfin:v:14:y:2006:i:2:p:175-192.

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