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Introduction and context -- Corporate governance and firm value: issues-causality, interaction and non-linearity -- Econometric methods: data, summary statistics and models -- Empirical evidence 1: causality model results -- Empirical evidence 2: interaction model results -- Empirical evidence...
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The emphasis of this book is on understanding special characteristics of the financial systems of emerging markets, where the existence of market imperfections such as asymmetric information, adverse selection and moral hazard can cause financial market failures. Considering the Thai stock...
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