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Does R&D intensity matter in the executive risk incentives and firm risk relationship?. (2021). Liu, YU ; Abdoh, Hussein.
In: Economic Modelling.
RePEc:eee:ecmode:v:96:y:2021:i:c:p:13-24.

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  4. Rivals risk-taking incentives and firm corporate policy. (2023). Abdoh, Hussein.
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  6. External R&D and product innovation: Is over-outsourcing an issue?. (2021). carboni, oliviero ; Medda, Giuseppe.
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  51. Partial acquisitions, corporate control, and performance. (2004). Madura, Jeff ; Spencer, Carolyn ; Akhigbe, Aigbe.
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  55. Stock-options, décisions financières des dirigeants et création de valeur de lentreprise:le cas français. (2003). Poulain-Rehm, Thierry.
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  56. Capital Structure, Management Ownership and Large External Shareholders: A UK Analysis. (2002). Duxbury, Darren ; Keasey, Kevin ; Short, Helen.
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  57. A simulation model of corporate finances: A study of the companies listed on Karachi stock exchange. (2001). Mehar, Muhammad Ayub.
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  60. Why Hedge? - A Critical Review of Theory and Empirical Evidence -. (1998). Ammon, Norbert .
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  61. How does ownership structure and manager wealth influence risk? : a look at ownership structure, manager wealth, and risk in commercial banks. (1998). Spong, Kenneth.
    In: Financial Industry Perspectives.
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  62. The Owner–Manager Conflict in Insured Banks: Predetermined Salary versus Bonus Payments. (1997). Schreiber, Ben.
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  63. The Owner-Manager Conflict in Insured Banks: Predetermined Salary vs. Bonus Payments. (1996). Schreiber, Ben.
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  64. Mergers, motivation and directors remuneration. (1994). Abell, Peter ; Cranna, M. ; Samuels, J..
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  65. Mergers. (1994). Abell, P ; Cranna, M ; Samuels, J.
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  66. Agency Costs, Balance Sheets and the Business Cycle. (1993). Rohling, Thomas ; Lowe, Philip.
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