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The Journal of Finance, ISSN 0022-1082, 8/2001, Volume 56, Issue 4, pp. 1533 - 1597
Journal Article
International Tax and Public Finance, ISSN 0927-5940, 04/2019, Volume 26, Issue 2, pp. 257 - 281
This paper shows that a small country can have an incentive to tax inbound FDI even in a setting with perfect competition and free entry that is compatible... 
Production efficiency | Foreign direct investment | International taxation | Diamond–Mirrlees | Rents | Firm heterogeneity | Diamond-Mirrlees | COMPETITION | HETEROGENEOUS FIRMS | TAXATION | INVESTMENT | ECONOMICS | MODEL | Taxable income | Apportionment | Foreign investment
Journal Article
2011, ISBN 9780821384794, 108
Two years into the deepest global financial crisis in the post-war era, the world economy is still experiencing uneven economic recovery and financial... 
Country risk | Political aspects | Investments, Foreign | FOREIGN DIRECT INVESTORS | INVESTMENT DECISIONS | INVESTMENT PLANS | INFORMATION CONSTRAINT | CROSS-BORDER CAPITAL | PORTFOLIO INVESTMENT FLOWS | UNEMPLOYMENT RATES | FOREIGN CAPITAL FLOWS | INTEREST RATES | LIABILITY | HUMAN RESOURCES | CAPITAL FORMATION | PRIVATE CREDITORS | GROUP OF INVESTORS | INVESTMENT DISPUTES | INVESTING | HOST COUNTRIES | TECHNOLOGY TRANSFER | INVESTMENT CORPORATION | PRIVATE INVESTMENT | POLITICAL STABILITY | EQUITY INVESTMENT | DEVELOPING COUNTRIES | INTANGIBLE ASSETS | GOVERNMENT SPENDING | INVESTOR INTERESTS | TRANSITION COUNTRIES | BANKS | HOME COUNTRIES | INVESTMENT INSURANCE | FOOD PRICES | POLITICAL RISKS | POVERTY ALLEVIATION | EQUITY FLOWS | DEVELOPING ECONOMIES | TREATY | LOCAL GOVERNMENTS | CAPITAL FLOWS | INTERNATIONAL FINANCE | GROWTH RATE | PUBLIC FINANCE | PORTFOLIO INVESTMENT | CREDIT AGENCY | RISK MANAGEMENT | ARBITRATION | INSTITUTIONAL INVESTOR | SETTLEMENT | BANK LENDING | FINANCIAL SERVICES | BUSINESS OPPORTUNITIES | INTERNATIONAL BANK | STATISTICAL ANALYSIS | INVESTMENT OPPORTUNITIES | COMMODITY | CONFIDENCE INDEX | DEBT | GLOBAL ECONOMY | COMMODITY PRICES | INVENTORY | PRIVATE CAPITAL | ARREARS | REINSURANCE | HUMAN RIGHTS | GLOBAL FINANCIAL STABILITY | OUTPUT | DEBT DEFAULT | LARGE-SCALE INVESTMENTS | INTERNATIONAL MARKETS | AFFILIATES | CREDIT AGENCIES | NET DEBT | ECONOMIC PERFORMANCE | BOND ISSUANCE | MARKET SIZE | INSURANCE | MARKET FAILURE | LONG-TERM INVESTMENT | RETURN | ECONOMIC CRISIS | INSURANCE MARKET | GLOBAL TRADE | ECONOMIC DEVELOPMENT | INSURANCE INDUSTRY | BOND | EXCHANGE RATE | CURRENCY | BORROWING POLICY | REGULATORY ENVIRONMENT | INTERNATIONAL DEBT MARKETS | CONSOLIDATION | EXPORT CREDIT | CREDIT DEFAULT | INVESTOR PERCEPTIONS | MULTILATERAL INVESTMENT GUARANTEE AGENCY | MARKET CONFIDENCE | REMITTANCES | RATES OF RETURN | GROSS DOMESTIC PRODUCT | INTERNATIONAL CAPITAL FLOWS | DEBT FINANCING | FOREIGN FIRMS | COPYRIGHT CLEARANCE | CONTRACT RENEGOTIATIONS | INTANGIBLE | CIVIL WARS | DEFICITS | INTERNATIONAL INVESTMENT AGREEMENTS | REGULATORY FRAMEWORKS | EMPLOYMENT | FINANCIAL MARKETS | GOVERNMENT INTERVENTIONS | JOINT VENTURES | AMORTIZATION | FINANCIAL SYSTEM | INTERNATIONAL DEBT | LAWS | ECONOMIC DOWNTURN | POLITICAL RISK INSURANCE | COINSURANCE | FINANCIAL SECTOR | PRIVATE DEBT | DEBT FLOWS | SUBSIDIARY | MIDDLE-INCOME COUNTRIES | INVESTOR PREFERENCE | NEW MARKETS | FOREIGN CAPITAL | INTERNATIONAL INVESTMENT | CONVERTIBILITY RESTRICTIONS | MANDATES | EXPROPRIATION | RED TAPE | NATURAL RESOURCE | INCOME | INVESTOR BEHAVIOR | INCOMES | PROFITABILITY | HOST GOVERNMENT | TREATIES | RETURNS | PRIVATE CAPITAL FLOWS | COPYRIGHT CLEARANCE CENTER | INVESTMENT FLOWS | FINANCIAL CRISIS | DOMESTIC DEBT | DEPOSITS | INTERNATIONAL BANKING | MARKET ECONOMIES | SOVEREIGN GUARANTEES | CREDIT DEFAULT SWAPS | LIBERALIZATION | COMMODITIES | FINANCIAL SYSTEMS | HOLDING | VIRTUOUS CYCLE | POLITICAL RISK | SOCIAL SERVICES | COUNTRY RISK | EMERGING MARKET ECONOMIES | OWNERSHIP STRUCTURE | MACROECONOMIC INSTABILITY | RISK MITIGATION | ACCOUNTING | TERRORISM | FINANCIAL FLOWS | PUBLIC UTILITIES | LOW-INCOME COUNTRIES | GOVERNMENT INTERVENTION | SECURITY CONCERNS | INSURERS | INVESTMENT FLOW | MACROECONOMIC DATA | TELECOMMUNICATIONS | GLOBAL EXPORTS | LOCAL ECONOMIES | INTERNATIONAL CAPITAL | CIVIL WAR | EXPROPRIATIONS | FOREIGN INVESTORS | BANKING SYSTEM | GLOBAL ECONOMIC PROSPECTS | INTEREST RATE | LOCAL CURRENCIES | EMERGING MARKET | INTERNATIONAL DEVELOPMENT | PRIVATE DEBT FLOWS | JOINT VENTURE | FOREIGN OWNERSHIP | NATURAL RESOURCES | TRANSPARENCY | HOST GOVERNMENTS | PUBLIC DEBT | PORTFOLIO | CURRENT PRICES | RECAPITALIZATION | MONETARY FUND | STATE INTERVENTION | FOREIGN INVESTMENT | FOREIGN DIRECT INVESTMENT | LOCAL ENTERPRISES | WORLD ECONOMY | PRIVATE MARKET | FOREIGN DIRECT INVESTOR | PRODUCTIVITY | BUSINESS ENVIRONMENT | INVESTMENT LOCATION DECISIONS | LEVEL OF RISK
Book
Journal of Financial Economics, ISSN 0304-405X, 06/2019, Volume 132, Issue 3, pp. 182 - 204
The term structure of equity risk has been shown to be downward sloping. We capture this feature using return dynamics driven by both a transitory and a... 
Learning | Portfolio choice | Short-term risks | Long-term risks | Structured notes (Securities) | Equity | Investors | Asset allocation | Portfolio management | Risk assessment
Journal Article
2010, Wolrd Investment and Political Risk, ISBN 9780821381151, 96
Political risk is a top concern for corporate foreign investors from industrialized but also developing countries when venturing into emerging markets. At the... 
Country risk | Political aspects | Investments, Foreign | ECONOMIC IMBALANCES | INFORMATION TECHNOLOGY | INVESTMENT REGIMES | INVESTMENT DECISIONS | CORPORATE INVESTORS | CDS | FOREIGN CURRENCY | MACROECONOMIC STABILITY | NEW PRODUCTS | MARKET CONDITIONS | CAPITAL ACCOUNT | HOST COUNTRY | LIABILITY | GOVERNMENT BUDGETS | MONETARY POLICIES | COMMODITY PRICE | EXPROPRIATION RISK | INVESTMENT CLIMATE | POLICY RESPONSES | PRIVATE CREDITORS | FOREIGN EXCHANGE | LIQUIDITY | INVESTING | HOST COUNTRIES | INVESTMENT CORPORATION | FINANCIAL INSTITUTIONS | PRIVATE INVESTMENT | EQUITY INVESTMENT | RISK AVERSION | DEVELOPING COUNTRIES | FOREIGN INVESTMENT FLOWS | TRANSITION COUNTRIES | CAPITAL ACCOUNT TRANSACTIONS | CONSUMER GOODS | POLITICAL RISKS | EQUITY FLOWS | DEVELOPING ECONOMIES | LOCAL CURRENCY | TREATY | LOCAL GOVERNMENTS | DURABLE | CAPITAL FLOWS | GROWTH RATE | CREDIT AGENCY | RISK MANAGEMENT | SETTLEMENT | FINANCIAL SERVICES | BANK DEPOSITS | CREDIT RISK PREMIUMS | INTERNATIONAL BANK | GLOBALIZATION | INVESTMENT OPPORTUNITIES | GROWTH RATES | COMMODITY | CREDIT RATING | FINANCIAL MARKET | DEBT | GLOBAL ECONOMY | COMMODITY PRICES | OIL PRICES | GLOBAL INVESTORS | PRIVATE CAPITAL | REINSURANCE | INVESTOR DEMAND | DOMESTIC FINANCIAL MARKETS | OUTPUT | RESERVE BANK | EMERGING ECONOMIES | CREDIT AGENCIES | RISK OF EXPROPRIATION | INVESTMENT REGULATIONS | MARKET CAPITALIZATION | RESERVE | NET DEBT | MARKET MECHANISMS | EQUITY FUNDS | DIRECT INVESTMENTS | INSURANCE | LONG-TERM INVESTMENT | RETURN | BALANCE OF PAYMENTS | EXCHANGE CONTROLS | ECONOMIC CRISIS | INSURANCE MARKET | CRITICAL MASS | EXPENDITURES | LOCAL GOVERNMENT | EXCHANGE RATES | GLOBAL TRADE | CONTRACTUAL OBLIGATIONS | INSURANCE INDUSTRY | BOND | EXPOSURE | SOCIAL RELATIONS | CURRENCY | INTERNATIONAL DEBT MARKETS | FINANCIAL CRISES | OUTPUT LOSSES | EXPORT CREDIT | RESERVES | CREDIT DEFAULT | INVESTOR PERCEPTIONS | SAVINGS | EXPROPRIATION RISKS | FOREIGN ASSETS | PRIVATE CAPITAL INFLOWS | REMITTANCES | GROSS DOMESTIC PRODUCT | COPYRIGHT CLEARANCE | CONTRACT RENEGOTIATIONS | CREDIT RISK | DEBT CRISIS | FINANCIAL MARKETS | GOVERNMENT REVENUES | GOVERNMENT INTERVENTIONS | REINVESTMENT | GLOBAL FINANCIAL MARKETS | JOINT VENTURES | DIVESTMENT | INTERNATIONAL DEBT | DECENTRALIZATION | INTERNATIONAL TRADE | ECONOMIC DOWNTURN | POLITICAL RISK INSURANCE | INVESTMENT PROJECTS | CAPITAL ACCOUNTS | PRIVATE DEBT | DEBT FLOWS | RISK PREMIUMS | LOCAL MARKETS | REGULATORY FRAMEWORK | NEW MARKETS | INTERNATIONAL INVESTMENT | CONVERTIBILITY RESTRICTIONS | ECONOMIC CRISES | EXPROPRIATION | NATURAL RESOURCE | INCOME | FOREIGN INVESTMENTS | HOME MARKETS | FINANCIAL LIBERALIZATION | HOST GOVERNMENT | TREATIES | RETURNS | PRIVATE CAPITAL FLOWS | COPYRIGHT CLEARANCE CENTER | INVESTMENT FLOWS | FINANCIAL CRISIS | FINANCIAL INSTABILITY | PROPERTY MARKETS | EQUITY MARKETS | LIQUIDITY CONSTRAINTS | SOVEREIGN GUARANTEES | CREDIT DEFAULT SWAPS | CREDITORS | DOMESTIC MARKETS | INFRASTRUCTURE PROJECTS | COMMODITIES | WITHDRAWAL | POLITICAL RISK | INFORMATION SHARING | EMERGING MARKET ASSETS | INVESTOR CONFIDENCE | PORTFOLIOS | TAX | MACROECONOMIC INSTABILITY | PRIVATE EQUITY | INVESTMENT HORIZONS | DOMESTIC BANKS | FOREIGN MARKETS | ACCOUNTING | TERRORISM | GOVERNMENT INTERVENTION | INSURERS | MACROECONOMIC DATA | FOREIGN FUNDS | FIXED INVESTMENT | FINANCIAL CONSTRAINTS | EMERGING MARKETS | GLOBAL INVESTMENT | EXPROPRIATIONS | FOREIGN INVESTORS | FLOATING EXCHANGE RATE | GOVERNMENT GUARANTEES | BUSINESS ENVIRONMENTS | CREDIT GUARANTEE | WEALTH EFFECTS | EMERGING MARKET | PRIVATE DEBT FLOWS | PROPERTY RIGHTS | NATURAL RESOURCES | REGULATORY ENVIRONMENTS | ACCESS TO FINANCING | HOST GOVERNMENTS | INTERNATIONAL COOPERATION | MARKET INVESTORS | PORTFOLIO | MONETARY FUND | FOREIGN INVESTMENT | OUTPUT GAP | FOREIGN DIRECT INVESTMENT | BANKING SECTOR | WORLD ECONOMY | EMERGING-MARKET | PRIVATE MARKET | BALANCE OF PAYMENTS CRISES | INVESTOR AWARENESS | CAPITAL MARKETS | INTELLECTUAL PROPERTY | LOCAL FINANCIAL MARKETS | BUSINESS ENVIRONMENT | STOCK MARKETS | SOVEREIGN ENTITIES
Book
Journal of Financial Economics, ISSN 0304-405X, 10/2017, Volume 126, Issue 1, pp. 122 - 146
This paper challenges the view that foreign investors lead firms to adopt a short-term orientation and forgo long-term investment. Using a comprehensive sample... 
Patents | Innovation | Institutional ownership | Monitoring | Investment | BEHAVIOR | MARKET VALUE | DEVELOPMENT INVESTMENT | CORPORATE GOVERNANCE | BUSINESS, FINANCE | PRIVATE EQUITY | FINANCE | MANUFACTURING FIRMS | MERGERS | ECONOMICS | ACQUISITIONS | Corporate governance | Foreign investments | Business schools | Financial institutions | Lead industry
Journal Article
Discrete Dynamics in Nature and Society, ISSN 1026-0226, 2014, Volume 2014, pp. 1 - 9
Taking the stock market as a whole object, we assume that prior losses and gains are two different factors that can influence risk preference separately. The... 
HOUSE MONEY | MATHEMATICS, INTERDISCIPLINARY APPLICATIONS | LONG-TERM-MEMORY | TAIWAN | PRIOR OUTCOMES | BEHAVIOR | MULTIDISCIPLINARY SCIENCES | EXCHANGE | DISPOSITION | EXERCISE | PROSPECT-THEORY | BREAK-EVEN | Risk aversion | Psychological aspects | Economic models | Risk | Decision making | Houses | Dynamics | Markets | Mathematical models | Raw materials | Empirical analysis | Gain
Journal Article