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*Where is the correlation matrix? It must be presented and its coefficients analysed.
*Finally, there is another problem in the work of these authors and the main objective of the paper and the fact that the authors want to understand the difference between so-called public and private acquisitions. At the beginning of the development of the empirical work the authors must demonstrate to us that in fact the two subsamples are different in terms of the variables that will be studied. Thus, differences tests should be performed and reported to these two subsamples, only by so that it will make sense to perform all the empirical work later.
 
===Build Notes===
 
I started a new database called [[wrds]] for the major pulls.
===Ed To Do===
*MA activity 2016 to 2020
*Take a look at the dynamic panel
 
Note see also: [[Governance Measures]]
====Institutional Investors====
**See above. This is the more general dataset
*Blockholders' data is reported by firm for the period 1996-2001: https://wrds-www.wharton.upenn.edu/pages/get-data/blockholders/
 
I pulled everything (8 vars) for the full date range (1980-1 to 2020-9) as tdt. The file is:
===Restoring the old data===

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