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Wiley InterScience | ||
JOURNALS | ||
![]() European Financial Management© 2010 Blackwell Publishing Ltd Published in conjunction with the European Financial Management Association Journal Home | Journal Information | Society | News Product Information | Editorial Board | For Authors | Advertise | Online Submission Current IssueVolume 16 Issue 1 (January 2010)EXECUTIVE SUMMARIESExecutive Summaries (p 1-7) Abstract | Full Text:
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ORIGINAL ARTICLESProperty Derivatives for Managing European Real-Estate Risk (p 8-26) Abstract
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The Cross-Section of Expected Stock Returns: What Have We Learnt from the Past Twenty-Five Years of Research? (p 27-42) Abstract
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The CAPM is Alive and Well: A Review and Synthesis (p 43-71) Abstract
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Keeping Up with the Joneses: A Model and a Test of Collective Accounting Fraud (p 72-93) Abstract
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Corporate Governance in China: a Step Forward (p 94-123) Abstract
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Interest Rate Risk Rewards in Stock Returns of Financial Corporations: Evidence from Germany (p 124-154) Abstract
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ERRATUMErratum (p 155-155) Abstract | Full Text:
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