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The implied cost of capital: A new approach. (2012). van Dijk, Mathijs ; Hou, Kewei ; Zhang, Yinglei .
In: Journal of Accounting and Economics.
RePEc:eee:jaecon:v:53:y:2012:i:3:p:504-526.

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  2. Retail investors matter: The value of corporate interactions. (2024). Ying, Qianwei ; Shi, Jing ; Liu, Jinsong ; Huang, LI.
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  4. Information disclosure by industry and the cost of equity: Evidence from a quasi-natural experiment in China. (2024). Huang, Hao ; Zhao, Ling.
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  8. Supervision of not-for-profit minority institutional shareholder and the cost of equity: Evidence from a quasi-natural experiment. (2024). Cheng, Hanxiu ; Zhang, Zixi ; Sun, Qian.
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  18. Employment protection and the provision of trade credit. (2023). Lu, Chun ; Chewie, Tze Chuan ; Li, Tongxia.
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  20. Analysts’ underreaction and momentum strategies. (2023). Azevedo, Vitor.
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  21. Does the threat of enforcement of financial regulations affect the cost of equity in weak institutional environments?. (2023). Tian, Gary ; Pan, Zheyao ; Xu, Jing.
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  22. Validating implied cost of capital with realized returns by using alternative measures of cash-flow news. (2023). Tsalavoutas, Ioannis ; Dionysiou, Dionysia ; Ketterer, Simeon ; Eierle, Brigitte.
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  23. An empirical evaluation of dynamic approaches for estimating firms’ expected cost of equity capital. (2023). Suprano, Francesco ; Kempkes, Jan A ; Wompener, Andreas.
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  25. Size effect and the measurement of firm size. (2022). Liu, Yitong ; Yi, Kefu.
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  26. The mediating effect of stock price crash risk on the relationship between corporate social responsibility and cost of equity moderated by state ownership: Moderated?mediation analysis. (2022). Liem, Nguyen Thanh ; Canh, Nguyen Thi ; Khuong, Nguyen Vinh ; Mien, Cao Thi.
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  28. The moderating role of CEO sustainability reporting style in the relationship between sustainability performance, sustainability reporting, and cost of equity. (2022). Rudolf, Anna R ; Tideman, Sebastian A ; Kaspereit, Thomas ; Lopatta, Kerstin.
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  29. Does relative (absolute) efficiency affect capital costs?. (2022). Lim, Hyoung-Joo ; Mali, Dafydd.
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  30. Do family firms pay less for external funding?. (2022). Mieszko, Mazur ; Puwanenthiren, Premkanth ; Dang, Man ; Miglani, Seema ; Ali, Muhammad Jahangir.
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  31. What Drives Inventory Accumulation? News on Rates of Return and Marginal Costs. (2022). Lubik, Thomas A ; Gunn, Christopher ; Gortz, Christoph.
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  35. Does international experience of managers bring financing benefits? Evidence from the cost of equity capital. (2022). Yao, Daifei ; Dai, Ming ; Long, Wenbin ; Hu, Jun.
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  39. Employment protection and the cost of equity capital: Evidence from wrongful discharge laws. (2022). Zhao, Zucheng ; Si, Ieong Cheng ; Lu, Chun ; Li, Tongxia.
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  40. Industry-level versus firm-level forecasts of long-term earnings growth. (2022). Esplin, Adam.
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  42. Organization capital and analyst coverage. (2022). Yang, Hsiao-Lin ; Wang, Yanzhi A ; Guo, Re-Jin J ; Chan, Konan.
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  44. Does corrupt practice increase the implied cost of equity?. (2022). Banerjee, Rajabrata ; Krishnamurti, Chandrasekhar ; Gupta, Kartick.
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  47. Does corporate governance have a differential effect on downside and upside risk?. (2022). Je, Jen ; Liu, Benjamin ; Ali, Searat.
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  53. Separating Information About Cash Flows from Information About Risk in Losses. (2021). Li, Bin.
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  56. Litigation risk and cost of capital: Evidence from China. (2021). Sun, Lingxia ; He, Qing ; Yang, Xue ; Qin, Jiaqi.
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  59. Predicting stock returns with implied cost of capital: A partial least squares approach. (2021). Peng, Xiaowen ; Huang, Ronghong ; Cannavan, Damien ; Hoang, Khoa.
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  72. The role of market efficiency on implied cost of capital estimates: an international perspective. (2020). Schröder, David ; Schroder, David.
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  74. Can reputation concern restrain bad news hoarding in family firms?. (2020). Zheng, Xiaojia ; Nofsinger, John R ; Cai, Xinni ; Jiang, Fuxiu.
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  75. Cultural diversity on Wall Street: Evidence from consensus earnings forecasts. (2020). michaely, roni ; Pacelli, Joseph ; Merkley, Kenneth.
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  76. Beta and firm age. (2020). Moneta, Fabio ; Kim, Daehwan ; Chincarini, Ludwig B.
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  77. Exploiting ergodicity in forecasts of corporate profitability. (2020). Milaković, Mishael ; Alfarano, Simone ; Mundt, Philipp.
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  78. Climate risk: The price of drought. (2020). Truong, Cameron ; Ha, Thu ; Huynh, Thanh D.
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  79. Does short selling affect a firms financial constraints?. (2020). Meng, Qingbin ; Gao, Shenghao ; Chan, Kam C ; Li, Xinyu.
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  80. Analyst versus model?based earnings forecasts: implied cost of capital applications. (2020). Cannavan, Damien ; Paton, Alexander P ; Hoang, Khoa ; Gray, Stephen.
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  2. Analysts’ pre-tax income forecasts and the tax expense anomaly. (2016). Kim, Kyonghee ; Baik, Bok ; Roh, Yongoh ; Morton, Richard.
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  3. Do managers manipulate gross profits? Role of product market competition. (2016). Nagar, Neerav.
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  4. Pattern of trends in stock markets as revealed by the renormalization method. (2016). Shen, X Y ; Zhang, H S ; Huang, J P.
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  5. Technical, fundamental, and combined information for separating winners from losers. (2016). Shih, Wei K ; Chen, Hong-Yi ; Lee, Cheng-Few.
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  6. Screen winners from losers using simple fundamental analysis in the Pacific-Basin stock markets. (2016). Shen, Jianfu ; Allen, Chi Cheong .
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  7. Efficient Market Hypothesis and Fundamental Analysis: An Empirical Test in the European Securities Market. (2016). Campanella, Francesco ; Dangelo, Eugenio ; Mustilli, Mario.
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  8. The Piotroski F-Score: A fundamental value strategy revisited from an investors perspective. (2015). Krauss, Christopher ; Beerstecher, Daniel ; Kruger, Tom .
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  9. Improving profitability forecasts with information on earnings quality. (2015). Demmer, Matthias .
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  10. Can we consistently forecast a firm’s earnings? Using combination forecast methods to predict the EPS of Dow firms. (2015). Bansal, Naresh ; Strauss, Jack ; Nasseh, Alireza .
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  11. What explains the dynamics of 100 anomalies?. (2015). Jacobs, Heiko.
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  12. Interactions between analysts’ and managers’ earnings forecasts. (2015). Brown, Lawrence D. ; Zhou, Ling.
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  13. Managerial discretion over initial earnings forecasts. (2015). Iwasaki, Takuya ; Shuto, Akinobu ; Kitagawa, Norio .
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  14. Credibility of management earnings forecasts and future returns. (2015). Kitagawa, Norio ; Shuto, Akinobu.
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  15. The Impact of Recession on the Value-relevance of Accounting Information. (2015). Kane, Gregory D ; Velury, Uma ; Richardson, Frederick M ; Leece, Ryan D.
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  16. Can we Automate Earnings Forecasts and Beat Analysts?. (2014). Ghysels, Eric ; Ball, Ryan ; Zhou, Huan.
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  17. Managerial Discretion over Their Initial Earnings Forecasts. (2013). SHUTO, Akinobu ; Iwasaki, Takuya ; Kitagawa, Norio .
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  18. Credibility of Management Earnings Forecasts and Future Returns. (2013). SHUTO, Akinobu ; Kitagawa, Norio .
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  20. The influence of strategic patterns of internationalization on the accuracy and bias of earnings forecasts by financial analysts. (2013). Mauri, Alfredo J. ; de Figueiredo, Joo Neiva ; Lin, Jing.
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  21. Value relevance of financial reporting on the Warsaw Stock Exchange. (2012). Kubik-Kwiatkowska, Monika .
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  22. Value relevance and the dot-com bubble of the 1990s. (2012). Alam, Pervaiz ; Morris, John J..
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  23. The implied cost of capital: A new approach. (2012). van Dijk, Mathijs ; Hou, Kewei ; Zhang, Yinglei .
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  24. Research in accounting for income taxes. (2012). Shackelford, Douglas ; Graham, John R. ; Raedy, Jana S..
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  25. Fundamental Analysis and Relative Efficiency of Maritime Firms: Dry Bulk vs Tanker Firms. (2011). Lambertides, Neophytos ; Panayides, Photis .
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  26. Information in balance sheets for future stock returns: Evidence from net operating assets. (2011). Thomakos, Dimitrios ; Wang, Tao ; Papanastasopoulos, Georgios .
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  28. Disaggregated Earnings and Stock Prices: Evidence from International Listed Shipping Firms. (2010). Apergis, Nicholas ; Sorros, John.
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  29. Predicting Japanese bank stock performance with a composite relative efficiency metric: A new investment tool. (2010). Morita, Hiroshi ; Avkiran, Necmi K..
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  30. The hot-growth companies: How well do analysts predict their performance?. (2010). Webb, Gwendolyn ; Yu, Susana ; Lord, Richard A..
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  31. Accounting anomalies and fundamental analysis: A review of recent research advances. (2010). Wysocki, Peter ; Tuna, Irem ; Richardson, Scott.
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  32. Understanding earnings quality: A review of the proxies, their determinants and their consequences. (2010). Schrand, Catherine ; Ge, Weili ; Dechow, Patricia .
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  33. Residual income, non-earnings information, and information content. (2009). Wang, Hsiao-Wen ; Lin, Yi-Mien ; Tsay, Ruey S..
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  34. Voluntary Information Disclosure and Corporate Governance : The Empirical Evidence on Earnings Forecasts. (2009). Abe, Naohito ; Chung, Yessica C. Y., .
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  35. Earnings volatility and earnings predictability. (2009). TANG, WEI ; Dichev, Ilia D..
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  36. The financial analyst forecasting literature: A taxonomy with suggestions for further research. (2008). Shane, Philip ; Ramnath, Sundaresh ; ROCK, STEVE.
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  37. Accruals, Net Stock Issues and Value-Glamour Anomalies: New Evidence on their Relation. (2007). Thomakos, Dimitrios ; Hardouvelis, Gikas ; Wang, Tao ; Papanastasopoulos, George .
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  38. Electric power industry restructuring and ROE: The case of Korea Electric Power Corporation. (2007). Won, Gu-Hwan.
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  39. Fundamentals and stock returns on the Warsaw Stock Exchange. The application of panel data models. (2006). Witkowska, Monika .
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  40. Selective Hedging, Information Asymmetry, and Futures Prices. (2006). Nejadmalayeri, Ali ; Knill, April ; Minnick, Kristina.
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  41. Value Implications of Investments in Information Technology. (2006). Anderson, Mark C. ; Ravindran, Sury ; Banker, Rajiv D..
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  42. Do investors overvalue firms with bloated balance sheets?. (2004). Teoh, Siew Hong ; Hou, Kewei ; Hirshleifer, David ; Zhang, Yinglei .
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  43. Do Investors Overvalue Firms with Bloated Balance Sheets?. (2004). Teoh, Siew Hong ; Hou, Kewei ; Hirshleifer, David ; Zhang, Yinglei .
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  44. Limited attention, information disclosure, and financial reporting. (2003). Teoh, Siew Hong ; Hirshleifer, David.
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  45. Internet downturn: finding valuation factors in Spring 2000. (2003). Keating, Elizabeth K. ; Lys, Thomas Z. ; Magee, Robert P..
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  46. Investor psychology in capital markets: evidence and policy implications. (2002). Teoh, Siew Hong ; Hirshleifer, David ; Daniel, Kent.
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  47. Capital markets research in accounting. (2001). KOTHARI, S. P..
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  48. Fundamental Analysis and the Valuation of IPOs in the Construction Industry. (2000). Papadaki, Aphroditi ; Iriotis, Nikolaos ; Walker, Martin ; Ghicas, Dimitrios C..
    In: The International Journal of Accounting.
    RePEc:eee:accoun:v:35:y:2000:i:2:p:227-241.

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  49. A test of the markets mispricing of domestic and foreign earnings. (1999). Thomas, Wayne B..
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:28:y:1999:i:3:p:243-267.

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  50. The effect of reporting restructuring charges on analysts forecast revisions and errors. (1999). Hogan, Chris E. ; Chaney, Paul K. ; Jeter, Debra C..
    In: Journal of Accounting and Economics.
    RePEc:eee:jaecon:v:27:y:1999:i:3:p:261-284.

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