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9. Short-term contrarian strategies in the London stock exchange: are they profitable? Which factors affect them?

10. Re-evaluating IMF involvement in low-income countries

11. The effect of time-varying risk on the profitability of contrarian investment strategies in a thinly traded market: a Kalman filter approach.

12. Contrarian Profits and the Overreaction Hypothesis: the Case of the Athens Stock Exchange.

13. Fundamental variables and the cross-section of expected stock returns: the case of Hong Kong.

14. Stock returns and inflation: evidence from an emerging market.

15. Stock and credit market expansion and economic development in emerging markets: further evidence utilizing cointegration analysis.

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