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Faff, R.
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Faff, R.
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Faff, R.
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1
An investigation into the extent of beta instability in the Singapore stock market
by
Brooks, R.D.
,
Faff
,
R
.W.
,
Ariff, M.
Published 2013
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2
New evidence on the impact of financial leverage on beta risk: A time-series approach
by
Faff
,
R
.W.
,
Brooks, R.D.
,
Kee, H.Y.
Published 2013
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3
The effects of forecast specificity on the asymmetric short-window share market response to management earnings forecasts
by
Chan, H.
,
Faff
,
R
.
,
Ho, Y.K.
,
Ramsay, A.
Published 2013
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4
Reported earnings and analyst forecasts as competing sources of information: A new approach
by
Anderson, H.
,
Chan, H.
,
Faff
,
R
.
,
Ho, Y.K.
Published 2014
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5
Diminishing marginal returns from R&D investment: Evidence from manufacturing firms
by
Faff
,
R
.
,
Ho, Y.-K.
,
Lin, W.
,
Yap, C.-M.
Published 2014
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6
Diminishing marginal returns from R&D investment: Evidence from manufacturing firms
by
Faff
,
R
.
,
Ho, Y.-K.
,
Lin, W.
,
Yap, C.-M.
Published 2014
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7
The relation between R&D intensity and future market returns: Does expensing versus capitalization matter?
by
Chan, H.W.H.
,
Faff
,
R
.W.
,
Gharghori, P.
,
Ho, Y.K.
Published 2013
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The relation between R&D intensity and future market returns: Does expensing versus capitalization matter?
by
Chan, H.W.H.
,
Faff
,
R
.W.
,
Gharghori, P.
,
Ho, Y.K.
Published 2014
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9
Exploring the economic rationale of extremes in GARCH generated betas The case of U.S. banks
by
McKenzie, M.D.
,
Brooks, R.D.
,
Faff
,
R
.W.
,
Ho, Y.K.
Published 2013
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