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1

Velury, Uma. The Effect of institutional ownership on the quality of earnings. Ann Arbor, Mich: UMI Dissertation Services, 2002.

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2

Tigue, Joseph. The dividend rich investor: Building wealth with high-quality, dividend-paying stocks. New York: McGraw-Hill, 1999.

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3

Tigue, Joseph. The dividend rich investor: Building wealth with high-quality, dividend-paying stocks. New York: McGraw-Hill, 1997.

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4

Larrabee, David T. Valuation techniques: Discounted cash flow, earnings quality, measures of value added, and real options. Hoboken, N.J: John Wiley & Sons, 2013.

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5

Fundamental analysis: A back-to-the-basics investment guide to selecting quality stocks. Chicago: Irwin, 1996.

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6

Ritchie, John C. Fundamental analysis: A back-to-the-basics investment guide to selecting quality stocks. Chicago: Irwin Professional Pub., 1996.

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7

Ritchie, John C. Fundamental analysis: A back-to-the-basics investment guide to selecting quality stocks. Chicago, Ill: Probus Pub. Co., 1989.

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8

Ritchie, John C. Fundamental analysis: A back-to-the-basics investmentguide to selecting quality stocks. Chicago, Ill: Probus Pub. Co, 1989.

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9

The economics of automatic testing. 2nd ed. London: McGraw-Hill, 1994.

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10

Murphy, Austin. Scientific investment analysis. 4th ed. Waterloo, Iowa: SIA, 2007.

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11

Scientific investment analysis. Washington: Orchises, 1994.

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12

Murphy, Austin. Scientific investment analysis. Goodlettsville, Tennessee: SIA, 2008.

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13

1938-, Stoutjesdijk Ardy J., and World Bank, eds. Multicountry investment analysis. Baltimore: Published for the World Bank [by] The Johns Hopkins University Press, 1985.

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14

Murphy, Austin. Scientific investment analysis. 7th ed. Goodlettsville, Tenn: SIA Pub., 2010.

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15

Murphy, Austin. Scientific investment analysis. 6th ed. Goodlettsville, TN: SIA Pub., 2009.

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16

Page, Dominique. Insurance-investment diffusion analysis. Aix-en-Provence: Universite de droit, d'e conomie et des sciences d'aix-marseille, centre d'etude et de recherche sur les organisations et la gestion, 1988.

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17

C, Radcliffe Robert. Investment: Concepts, analysis, strategy. 3rd ed. Glenview, Ill: Scott, Foresman/Little, Brown Higher Education, 1990.

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18

S, Martin Robert, ed. Investment analysis for appraisers. Chicago, IL: Real Estate Education Co., 1994.

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19

Investment: Concepts, analysis, strategy. 5th ed. Reading, Mass: Addison-Wesley, 1997.

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20

H, Heizer Jerry, ed. Real estate investment analysis. Boston: Allyn and Bacon, 1990.

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21

Investment: Concepts, analysis, strategy. 4th ed. New York: HarperCollins College Publisher, 1994.

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22

Baddeley, Michelle. Investment: Theories and analysis. Houndmills, Basingstoke, Hampshire: Palgrave Macmillan, 2003.

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23

Young, Rhonda. Multimodal investment choice analysis. [Olympia, Wash.]: Washington State Dept. of Transportation, 2002.

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24

C, Brown Keith, ed. Investment analysis & portfolio management. Mason, OH: South-Western Cengage Learning, 2012.

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25

R, Randall Maury, ed. Investment analysis and management. 2nd ed. Boston: Allyn and Bacon, 1987.

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26

Schwager, Jack D. Technical analysis. New York: J. Wiley, 1996.

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27

Fabozzi, Frank J. Investment management. Englewoods Cliffs, N.J: Prentice Hall, 1995.

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28

Fabozzi, Frank J. Investment management. 2nd ed. Upper Saddle River, N.J: Pearson Education, 1999.

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29

Investment management. 2nd ed. Pretoria [South Africa]: Van Schaik, 2006.

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30

Gary, Smith. Investment. Glenview, Ill: Scott, Foresman/Little, Brown Higher Education, 1990.

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31

McLeavey, Dennis W., Richard A. DeFusco, Jerald E. Pinto, and David E. Runkle. Quantitative Investment Analysis, Workbook (CFA Institute Investment Series). New York, USA: Wiley, 2007.

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32

Reilly, Frank K. Investment analysis and portfolio management. 2nd ed. Chicago: Dryden Press, 1985.

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33

C, Brown Keith, ed. Investment analysis and portfolio management. 7th ed. U.S: South-Western/Thomson Learning, 2003.

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34

Brussee, Warren. Getting Started in Investment Analysis. New York: John Wiley & Sons, Ltd., 2008.

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35

Cohen, Jerome Bernard. Investment analysis and portfolio management. 5th ed. Homewood, Ill: Irwin, 1987.

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36

Reilly, Frank K. Investment analysis and portfolio management. 3rd ed. Chicago: Dryden Press, 1989.

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37

C, Radcliffe Robert. Investment: Concepts, analysis, and strategy. 2nd ed. Glenview, Ill: Scott, Foresman, 1987.

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38

Warrants: Analysis and investment strategy. Chicago, Ill: Probus Pub., 1986.

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39

Palm, Thomas. Private and public investment analysis. Cincinnati: South-Western Pub. Co., 1985.

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40

Tigue, Joseph, and Joseph Lisanti. The Dividend Rich Investor: Building Wealth With High-Quality, Dividend-Paying Stocks. Glencoe/Mcgraw-Hill, 1996.

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41

Tigue, Joseph, and Joseph Lisanti. The Dividend Rich Investor: Building Wealth with High-Quality, Dividend-Paying Stocks. McGraw-Hill, 1998.

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42

Tigue, Joseph, and Joseph Lisanti. The Dividend Rich Investor: Building Wealth with High-Quality, Dividend-Paying Stocks. McGraw-Hill, 1998.

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43

Tigue, Joseph, and Joseph Lisanti. The Dividend Rich Investor: Building Wealth With High-Quality, Dividend-Paying Stocks. Glencoe/Mcgraw-Hill, 1996.

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44

Larrabee, David T., and Jason A. Voss. Valuation Techniques: Discounted Cash Flow, Earnings Quality, Measures of Value Added, and Real Options. Wiley & Sons, Incorporated, John, 2012.

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45

Larrabee, David T., and Jason A. Voss. Valuation Techniques: Discounted Cash Flow, Earnings Quality, Measures of Value Added, and Real Options. Wiley & Sons, Incorporated, John, 2012.

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46

Larrabee, David T., and Jason A. Voss. Valuation Techniques: Discounted Cash Flow, Earnings Quality, Measures of Value Added, and Real Options. Wiley & Sons, Incorporated, John, 2012.

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47

Quality of foreign direct investment, knowledge spillovers and host country productivity: A framework of analysis. New Delhi: Institute for Studies in Industrial Development, 2006.

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48

Ritchie, John C. Fundamental Analysis: A Back-to-the-Basics Investment Guide to Selecting Quality Stocks, Revised Edition. McGraw-Hill Companies, 1995.

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49

Kambale, Kavese, Abonta E. Nkem, Newmarch David, and KwaZulu-Natal (South Africa). Provincial Treasury., eds. Sector analysis with supply and use tables: A regional economic model for investment development. Pietermaritzburg: Provincial Treasury, Province of KwaZulu-Natal, 2007.

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50

Jens-Hinrich, Binder. Part II Investment Firms and Investment Services, 3 Governance of Investment Firms Under MiFID II. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198767671.003.0003.

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Abstract:
In response to widespread concerns about the quality of governance arrangements in financial intermediaries as a source of systemic risk, the revised framework for the regulation of investment services in the EU has reinforced the governance requirements that have been in place for a long time, and increased significantly their complexity and intensity. Investment firms, subject to both the CRD IV and the MiFID II, must now comply with numerous regulatory requirements. While the underlying policy—to address systemic implications of financial intermediation irrespective of the business model—is consistent, the equal treatment of banks and investment firms under broadly identical regulatory frameworks, albeit with additional requirements imposed by MiFID II, is nonetheless questionable, in view of the diversity of existing business models and activities. Starting with an analysis of the underlying history and policy of the new approach, this chapter seeks to identify potential weaknesses and implications for its implementation.
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