The impact of corporate governance, regulatory differences and futures contracts on movements among portfolios of cross-listed equities : the case of Germany
Year of publication: |
2013
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Authors: | Koulakiotis, Athanasios ; Kartalis, Nikos D. ; Lyroudi, Katerina ; Papasyriopoulos, Nicholas |
Published in: |
Journal of multinational financial management. - Amsterdam [u.a.] : North-Holland, ISSN 1042-444X, ZDB-ID 1117284-8. - Vol. 23.2013, 1/2, p. 34-53
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Subject: | Corporate governance | Cross-listing | Volatility spillovers | Futures contracts | GARCH-BEKK model | Corporate Governance | Deutschland | Germany | Volatilität | Volatility | Zweitlisting | Dual listing | Spillover-Effekt | Spillover effect | Derivat | Derivative | Schätzung | Estimation |
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