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Items where division is "Divisions > Kent Business School - Division > Department of Accounting and Finance"

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Number of items at this level: 611.

A

Abdullah, Fahad, Shah, Attaullah, Iqbal, Abdullah, Gohar, Raheel (2011) The Effect of Group and Family Ownership on Firm Performance: Empirical Evidence from Pakistan. International Review of Business Research Papers, 7 (4). pp. 177-194. ISSN 1832-9543. (KAR id:28516)
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Abdullah, Fahad, Shah, Attaullah, Iqbal, Abdullah, Gohar, Raheel (2011) Investors’ Power and the Dividend Cost Minimization Model: Which One Better Explains the Dividend Policy in Pakistan? African Journal of Business Management, 5 (26). pp. 10747-10759. ISSN 1993-8233. (doi:10.5897/AJBM11.450) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:34895)

Abu Hasan, Norhafizah (2016) The Effect of Talent- and Knowledge Management on the Performance of SMEs: Evidence from Malaysia. Doctor of Philosophy (PhD) thesis, University of Kent,. (KAR id:62513)
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Acquaye, Adolf, Ibn-Mohammed, Taofeeq, Genovese, Andrea, Afrifa, G.A., Yamoah, Fred A., Oppon, Eunice (2018) A Quantitative Model for Environmentally Sustainable Supply Chain Performance Measurement. European Journal of Operational Research, 269 (1). pp. 188-205. ISSN 0377-2217. (doi:10.1016/j.ejor.2017.10.057) (KAR id:64215)
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Afrifa, G.A. (2016) Net working capital, cash flow and performance of UK SMEs. Review of Accounting and Finance, 15 (1). pp. 21-44. ISSN 1475-7702. (doi:10.1108/RAF-02-2015-0031) (KAR id:66500)
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Afrifa, G.A. (2014) WCM component importance ranking order by SMEs: financial directors perspective. International Journal of Current Research, 6 (1). pp. 4631-4639. ISSN 0975-833X. (doi:10.2139/ssrn.2356843) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66506)

Afrifa, G.A. (2015) Working Capital Management Practices and Profitability of AIM Listed SMEs. Journal of Enterprising Culture, 23 (01). pp. 1-23. (doi:10.1142/S0218495815500016) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66504)

Afrifa, G.A. (2013) Working capital management practices of UK SMEs: the role of education and experience. International Journal of Academic Research in Accounting, Finance and Management Sciences, 3 (4). pp. 185-196. ISSN 2225-8329. (doi:10.2139/ssrn.2354522) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66507)

Afrifa, G.A., Adesina, O. (2018) How does Directors remuneration affect SMEs’ performance? Review of Accounting and Finance, 17 (2). pp. 238-258. ISSN 1475-7702. (doi:10.1108/RAF-12-2016-0199) (KAR id:66536)
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Afrifa, G.A., Cohen, J. (2019) Bringing accounting to life through iterative curriculum design and assessment for learning: A case study in enhancing student performance. In: Accounting Education Sig Annual Conference 2019, Wednesday 22 - Friday 24 May 2019, Ghent, Belgium. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:74370)

Afrifa, G.A., Gyapong, Ernest, Monem, Reza M. (2018) Product differentiation, market dynamics and the value relevance of trade payables: Evidence from UK listed firms. Journal of Contemporary Accounting & Economics, 14 (3). pp. 235-253. ISSN 1815-5669. (doi:10.1016/j.jcae.2018.06.001?) (KAR id:67602)
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Afrifa, G.A., Padachi, K. (2016) Working capital level influence on SME profitability. Journal of Small Business and Enterprise Development, 23 (1). pp. 44-63. ISSN 1462-6004. (doi:10.1108/JSBED-01-2014-0014) (KAR id:66499)
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Afrifa, G.A., Tauringana, V. (2015) Corporate governance and performance of UK listed small and medium enterprises. Corporate Governance, 15 (5). pp. 719-733. ISSN 1472-0701. (doi:10.1108/CG-03-2015-0029) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66501)

Afrifa, G.A., Tauringana, Venancio, Tingbani, Ishmael (2015) Working capital management and performance of listed SMEs. Journal of Small Business & Entrepreneurship, 27 (6). pp. 557-578. (doi:10.1080/08276331.2015.1114351) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66505)

Afrifa, G.A., Tingbani, I. (2018) Working capital management, cash flow and SMEs' performance. International Journal of Banking Accounting and Finance, 9 (1). pp. 19-43. ISSN 1755-3830. (doi:10.1504/IJBAAF.2018.10010466) (KAR id:66496)
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Afrifa, Godfred Adjapong, Alshehabi, Ahmad, Tingbani, Ishmael, Halabi, Hussein (2020) Abnormal inventory and performance in manufacturing companies: evidence from the trade credit channel. Review of Quantitative Finance and Accounting, . ISSN 0924-865X. (doi:10.1007/s11156-020-00903-y) (KAR id:82208)
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Afrifa, Godfred Adjapong, Gyapong, Ernest (2019) National Culture and Women Managers: Evidence from Microfinance Institutions around the World. Business & Society, . ISSN 0007-6503. E-ISSN 1552-4205. (doi:10.1177/0007650319876101) (KAR id:77093)
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Afrifa, Godfred Adjapong, Gyapong, Ernest (2017) Net trade credit: what are the determinants? International Journal of Managerial Finance, 13 (3). pp. 246-266. ISSN 1743-9132. (doi:10.1108/IJMF-12-2015-0222) (KAR id:66497)
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Afrifa, Godfred Adjapong, Gyapong, Ernest, Zalata, Alaa Mansour (2019) Buffer Capital, Loan Portfolio Quality and the Performance of Microfinance Institutions: A Global Analysis. Journal of Financial Stability, 44 . Article Number 100691. ISSN 1572-3089. (doi:10.1016/j.jfs.2019.100691) (KAR id:76073)
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Afrifa, Godfred Adjapong, Tingbani, Ishmael, Adesina, Oluseyi Oluseun (2022) Stochastic frontier modelling of working capital efficiency across Europe. Technological Forecasting and Social Change, 184 . Article Number 122012. ISSN 0040-1625. (doi:10.1016/j.techfore.2022.122012) (KAR id:97079)
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Afrifa, Godfred Adjapong, Tingbani, Ishmael, Yamoah, Fred A., Appiah, Gloria (2020) Innovation input, governance and climate change: Evidence from emerging countries. Technological Forecasting and Social Change, 161 . ISSN 0040-1625. (doi:10.1016/j.techfore.2020.120256) (KAR id:83785)
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Ahmed, R., Chaudhry, S.M., Kumpamool, C., Benjasak, C. (2022) Tail risk, systemic risk and spillover risk of crude oil and precious metals. Energy Economics, 112 . Article Number 106063. ISSN 0140-9883. (doi:10.1016/j.eneco.2022.106063) (KAR id:96227)
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Ahmed, Rashad, Hasan, Mohammad S., Sultan, Jahangir (2020) Meteor shower and global asset allocation. European Journal of Finance, 26 (17). pp. 1703-1724. ISSN 1351-847X. E-ISSN 1466-4364. (doi:10.1080/1351847X.2020.1774406) (KAR id:80921)
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Ahsan, Syed and Oberoi, Jaideep S (2003) Institutions, inequality and well-being in Latin America and Caribbean Countries. Working paper. CESifo, Munich, Germany Working Paper No. 846. (doi:Working Paper No. 846) (KAR id:70616)
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Akhter, Waheed, Pappas, Vasileios, Khan, Saad Ullah (2020) Insurance Demand in Emerging Asian and OECD countries: A Comparative Perspective. International Journal of Social Economics, 47 (3). pp. 350-364. ISSN 0306-8293. (doi:10.1108/IJSE-08-2019-0523) (KAR id:79617)
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Akhter, Waheed, Pappas, Vasileios, Khan, Saad Ullah (2017) A comparison of Islamic and conventional insurance demand: Worldwide evidence during the Global Financial Crisis. Research in International Business and Finance, 42 . pp. 1401-1412. ISSN 0275-5319. (doi:10.1016/j.ribaf.2017.07.079) (KAR id:65970)
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Al-Bataineh, Omar (2022) Essays on Corporate Finance and Social Capital: Dividend Policy, Capital Structure, and Corporate Risk-Taking. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.93811) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:93811)
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Al-Mohaimeed, Ali Mohammad (2000) Performance auditing in the Saudi public sector : its nature and effectiveness. Doctor of Philosophy (PhD) thesis, University of Kent. (doi:10.22024/UniKent/01.02.86135) (KAR id:86135)
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Alai, Daniel H., Oberoi, Jaideep S, Tapadar, Pradip (2016) Review of a Mortality Projection Model. Not for publication (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70629)

Alexakis, Christos, Cummins, Mark, Dowling, Michael, Pappas, Vasileios (2018) A high-frequency analysis of price resolution and pricing barriers in equities on the adoption of a new currency. Applied Economics, 50 (36). pp. 3949-3965. ISSN 0003-6846. (doi:10.1080/00036846.2018.1430347) (KAR id:66108)
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Alexakis, Christos, Dowling, Michael, Pappas, Vasileios, Ramachandiran, Manimozhi, Sklavos, Favianos (2021) Do hotel financial factors influence satisfaction? Annals of Tourism Research, . Article Number 103128. ISSN 0160-7383. (doi:10.1016/j.annals.2020.103128) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:84373)
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Alexakis, Christos, Izzeldin, Marwan, Johnes, Jill, Pappas, Vasileios (2018) Performance and Productivity in Islamic and Conventional Banks: Evidence from the Global Financial Crisis. Economic Modelling, 79 . pp. 1-14. ISSN 0264-9993. (doi:10.1016/j.econmod.2018.09.030) (KAR id:69325)
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Alexakis, Christos, Kenourgios, Dimitris, Pappas, Vasileios, Petropoulou, Athina (2021) From dotcom to Covid-19: A convergence analysis of Islamic investments. Journal of International Financial Markets, Institutions and Money, 75 (101423). ISSN 1042-4431. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:90097)
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Alexakis, Christos, Pappas, Vasileios (2018) Sectoral dynamics of financial contagion in Europe - The cases of the recent crises episodes. Economic Modelling, 73 . pp. 222-239. ISSN 0264-9993. (doi:10.1016/j.econmod.2018.03.018) (KAR id:66685)
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Alexakis, Christos, Pappas, Vasileios, Petropoulou, Athina (2020) How Islamic banks compare to other financial institutions. Business Daily, . (KAR id:85544)
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Alexakis, Christos, Pappas, Vasileios, Skarmeas, Emmanouil (2021) Market abuse under different close price determination mechanisms: A European case. International Review of Financial Analysis, . Article Number 101707. ISSN 1057-5219. (doi:10.1016/j.irfa.2021.101707) (KAR id:85727)
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Alexakis, Christos, Pappas, Vasileios, Tsikouras, Alexandros (2016) Hidden cointegration reveals hidden values in Islamic investments. Journal of International Financial Markets, Institutions and Money, 46 . pp. 70-83. ISSN 1042-4431. (doi:10.1016/j.intfin.2016.08.006) (KAR id:66102)
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Alexandridis, Antonios K., Hasan, Mohammad S. (2020) Global financial crisis and multiscale systematic risk: Evidence from selected European stock markets. International Journal of Finance and Economics, 25 (4). pp. 518-546. ISSN 1076-9307. (doi:10.1002/ijfe.1764) (KAR id:76523)
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Alexandridis, Antonis, Hasan, Mohammad S (2016) Global Financial Crisis and Multiscale Systematic Risk: Evidence from Selected European Markets. In: Financial Econometrics and Empirical Asset Pricing Conference, 30 June – 1st July, 2016, Lancaster, UK. (KAR id:55888)
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Alexandridis, Antonis, Hasan, Mohammad S, Sultan, Jahangir (2017) The behaviour of multi-horizon hedge ratios. In: World Finance Conference, 26-28 Jul 2017, Sardinia, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62689)

Algieri, Bernardina, Leccadito, Arturo, Tunaru, Diana (2021) Risk premia in electricity derivatives markets. Energy Economics, 100 . Article Number 105300. ISSN 0140-9883. (doi:10.1016/j.eneco.2021.105300) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:88751)
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Alzugaiby, B., Gupta, J., Mullineux, A., Ahmed, R. (2021) Relevance of size in predicting bank failures. International Journal of Finance and Economics, 26 (3). pp. 3504-3543. ISSN 1076-9307. (doi:10.1002/ijfe.1973) (KAR id:96232)
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Andrews, Doug W., Bonnar, Stephen, Curtis, Lori, Oberoi, Jaideep S, Pittea, Aniketh, Tapadar, Pradip (2021) Impact of the Choice of Risk Assessment Time Horizons on Defined Benefit Pension Schemes. Annals of Actuarial Science, . ISSN 1748-4995. E-ISSN 1748-5002. (doi:10.1017/S1748499521000178) (KAR id:81154)
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Andrews, Doug W., Bonnar, Stephen, Curtis, Lori, Oberoi, Jaideep S, Pittea, Aniketh, Tapadar, Pradip (2021) Population aging, implications for asset values, and impact for pensions plans: An international study. Canadian Institute of Actuaries; Society of Actuaries; Institute and Faculty of Actuaries., 36 pp. (KAR id:88985)
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Andrews, Doug W., Oberoi, Jaideep S (2018) From traditional reverse mortgages to broader home equity participation. In: European Financial Management Association Annual Conference, 27 - 30 June 2018, Milan, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71073)

Andrews, Doug W., Oberoi, Jaideep S (2015) Home Equity Release Loans for Long Term Care Needs. In: Hot Topics in Health and Care, June 2015, Staple Inn, London. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:51348)

Andrews, Doug W., Oberoi, Jaideep S (2017) Home Equity Release for UK Seniors: A Twenty-First Century Product Design. In: 31st International Congress of Actuaries, 4 - 8 June 2018, Berlin, Germany. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71077)

Andrews, Doug W., Oberoi, Jaideep S (2015) Home Equity Release: An Improved Market Structure and Pricing Approach. In: Actuarial Teachers' and Researchers' Conference, 13-14 July 2015, Dublin. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71087)

Andrews, Doug W., Oberoi, Jaideep S (2015) Home equity release for long term care financing: an improved market structure and pricing approach. Annals of Actuarial Science, 9 (1). pp. 85-107. ISSN 1748-4995. (doi:10.1017/S1748499514000268) (KAR id:48176)
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Andrews, Doug W., Oberoi, Jaideep S (2015) Home equity release: An alternative product and its pricing. In: ASTIN, AFIR/ERM and IACA Colloquia, August 2015, Sydney. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:51346)

Andrews, Doug W., Oberoi, Jaideep S (2013) Practical Considerations in Evaluating a Long-term Care Securitization. In: Colloquium of the International Actuarial Association, June 24-26, 2013, Lyon. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:48178)

Andrews, Doug W. and Oberoi, Jaideep S (2019) Structuring and Pricing Home Equity Release with Better Sharing of House Price Risks. Working paper. SSRN 10.2139/ssrn.3305050. (doi:10.2139/ssrn.3305050) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70633)

Andrews, Doug W. and Oberoi, Jaideep S (2016) Waterloo International Workshop on the Implications of Aging on Asset Values. N/A. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71084)

Andrews, Doug W., Oberoi, Jaideep S, Rybczynski, Kathleen, Tapadar, Pradip (2015) Future Equity Patterns and Baby Boomer Retirements. Society of Actuaries, 38 pp. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:48177)

Andrews, Doug W. and Oberoi, Jaideep S and Rybczynski, Kathleen and Tapadar, Pradip and Wirijanto, Tony (2014) Does Population Age Structure Affect Asset Values? Can it be Deflationary? N/A, https://uwaterloo.ca/statistics-and-actuarial-science/events/university-waterloo-and-university-kent-invite-you-one-day. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:48179)

Andrews, Doug W., Oberoi, Jaideep S, Wirijanto, Tony, Zhou, Chenggang (2016) Investigating the Link between Population Aging and Deflation. Society of Actuaries, 49 pp. (KAR id:70624)
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Andrews, Doug, Oberoi, Jaideep S, Wirjanto, Tony, Zhou, Chenggang (2018) Demography and Inflation: An International Study. North American Actuarial Journal, 22 (2). pp. 210-222. ISSN 1092-0277. (doi:10.1080/10920277.2017.1387572) (KAR id:63398)
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Antonelli, V., Bigoni, M., Cafaro, E. M., Deidda Gagliardo, Enrico (2018) Accounting, Art and the State: Technologies of government in the Ministry of Popular Culture (Fascist Italy, 1937-1945). In: Proceedings of the XIV National Conference of the Italian Society of Accounting History. . Rirea, Rome ISBN 978-88-6659-164-1. (doi:10.17408/DIG.A02/591641) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:70949)
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Antonelli, V., Bigoni, M., D'Alessio, R., Marcello, R. (2020) Enlisting accounting history in the contest between competing visions of accounting systems: Tommaso Zerbi and the origin of double-entry bookkeeping. Accounting History, 25 (4). pp. 558-579. ISSN 1032-3732. E-ISSN 1749-3374. (doi:10.1177/1032373220942341) (KAR id:81713)
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Antonelli, V., Bigoni, M., Funnell, W.N., Cafaro, E. M., Deidda Gagliardo, E. (2022) Popular Culture and Totalitarianism: Accounting for Propaganda in Italy under the Fascist Regime (1934-1945). Critical Perspectives on Accounting, . ISSN 1045-2354. (In press) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:97218)
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Antonelli, V., Bigoni, M., Funnell, Warwick N., Cafaro, E. M. (2022) Accounting for Biosecurity in Italy Under COVID-19 Lockdown. Accounting, Auditing & Accountability Journal, 35 (1). pp. 120-130. ISSN 0951-3574. (doi:10.1108/AAAJ-07-2020-4674) (KAR id:88794)
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Antonelli, V., Cafaro, E. M., D'Alessio, R., Bigoni, M. (2019) The Pope and the Train: Financial Reporting Practices in the Railroad Companies of the Papal States (1846-1870). Contabilità e cultura aziendale - Accounting and Cultures, (2). pp. 7-34. ISSN 1721-5242. E-ISSN 2283-7337. (doi:10.3280/CCA2019-002002) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:79138)
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Antonelli, Valerio, Bigoni, M., Funnell, Warwick N., Deidda Gagliardo, E, Cafaro, E.M. (2019) Accounting for propaganda and indoctrination: Calculative practices in the Ministry of Popular Culture (Fascist Italy, 1937-1943). In: 10th Accounting History International Conference, 03-05 Sep 2019, Paris, France. (Unpublished) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:76747)
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Antonelli, Valerio, Bigoni, Michele, Cafaro, Emanuela Mattia, D'Alessio, Raffaele (2020) Railway Systems and the 'Universal Good of the State': Technologies of Government in the 19th-Century Papal State. Accounting History, 25 (3). pp. 375-402. ISSN 1032-3732. E-ISSN 1749-3374. (doi:10.1177/1032373219862615) (KAR id:73200)
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Antonelli, Valerio, Cafaro, E. M., D'Alessio, Raffaele, Bigoni, M. (2019) The roles of accounting in agro-pastoral settings: The case of the landed estates of Prince Sambiase in the mid-eighteenth century. Accounting Historians Journal, 46 (1). pp. 1-18. ISSN 0148-4184. (doi:10.2308/aahj-10667) (KAR id:72706)
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Antonelli, Valerio, D’Alessio, Raffaele, Rossi, Roberto, Funnell, Warwick N. (2018) Accounting and the Banality of Evil: Expropriation of Jewish Property in Fascist Italy (1939-1945). Accounting, Auditing & Accountability Journal, 31 (8). pp. 2165-2191. ISSN 0951-3574. (doi:10.1108/AAAJ-11-2016-2783) (KAR id:66716)
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Apampa, B., Cohen, J. (2013) Sustainable Programme Assessment for Pharmacy Students. In: Monash Pharmacy Education Symposium 2013, 8-10 July 2013, Prato, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62709)

Apergis, Emmanouil (2020) Personality and Attitudes Towards Risk as Predictors of Career Success and Labour Market Outcomes. Doctor of Philosophy (PhD) thesis, University of Kent, University of Kent. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:80459)
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Apergis, Emmanuel, Apergis, Iraklis, Apergis, Nicholas (2019) A New Macro Stress Testing Approach for Financial Realignment in the Eurozone. Journal of International Financial Markets, Institutions and Money, . ISSN 1042-4431. (doi:10.1016/j.intfin.2019.02.002) (KAR id:73488)
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Apergis, Iraklis, Apergis, Nicholas (2019) Silver prices and solar energy production. Environmental Science and Pollution Research, . ISSN 0944-1344. (doi:10.1007/s11356-019-04357-1) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:73404)

Apergis, Nicholas, Christou, Christina, Kynigakis, Iason (2019) Contagion across US and European financial markets: Evidence from the CDS markets. Journal of International Money and Finance, 96 . pp. 1-12. ISSN 0261-5606. (doi:10.1016/j.jimonfin.2019.04.006) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:76974)

Apergis, Nicholas, Cooray, Arusha, Khraief, Naceur, Apergis, Iraklis (2018) Do gold prices respond to real interest rates? Evidence from the Bayesian Markov Switching VECM model. Journal of International Financial Markets, Institutions and Money, . ISSN 1042-4431. (doi:10.1016/j.intfin.2018.12.014) (KAR id:73657)
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Apergis, Nicholas, Georgellis, Yannis (2015) Does Happiness Converge? Journal of Happiness Studies, 16 (1). pp. 67-76. ISSN 1389-4978. (doi:10.1007/s10902-013-9495-y) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41046)

Apergis, Nicholas, Georgellis, Yannis (2017) Regional Unemployment and Employee Loyalty: Evidence from 12 UK Regions. Regional Studies, 52 (9). pp. 1283-1293. ISSN 0034-3404. E-ISSN 1360-0591. (doi:10.1080/00343404.2017.1363882) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62396)

Apergis, Nicholas, Panopoulou, Ekaterini, Tsoumas, Chris (2010) Old Wine in New Bottle: What Really Causes Growth Convergence? Atlantic Economic Journal, 38 (2). pp. 169-181. ISSN 0197-4254. (doi:10.1007/s11293-010-9219-1) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:34607)

Argyropoulos, Christos, Panopoulou, Ekaterini, Voukelatos, Nikolaos, Zheng, Teng (2019) Hedge Fund Return Predictability in the Presence of Model Risk. In: 13th International Conference on Computational and Financial Econometrics, 14-16 December 2019, London. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:79323)

Argyropoulos, Christos, Panopoulou, Ekaterini, Voukelatos, Nikolaos, Zheng, Teng (2022) Hedge Fund Return Predictability in the Presence of Model Risk. European Journal of Finance, . ISSN 1351-847X. (doi:10.1080/1351847X.2021.2020146) (KAR id:92303)
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Asongu, Simplice A., Amankwah-Amoah, Joseph, Nting, Rexon T., Afrifa, Godfred Adjapong (2021) Information Technology and Gender Economic Inclusion in Sub-Saharan Africa. Journal of Global Information Technology Management, . ISSN 1097-198X. E-ISSN 2333-6846. (doi:10.1080/1097198X.2021.1914497) (KAR id:84839)
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Assa, H. (2016) Financial engineering in pricing agricultural derivatives based on demand and volatility. Agricultural Finance Review, 76 (1). pp. 42-53. ISSN 0002-1466. (doi:10.1108/AFR-11-2015-0053) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87570)

Assa, H. (2021) Financial engineering in pricing agricultural derivatives based on demand and volatility. Agricultural Finance Review, 76 (1). pp. 42-53. ISSN 0002-1466. (doi:10.1108/AFR-11-2015-0053) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87827)

Assa, H. (2016) Natural risk measures. Mathematics and Financial Economics, 10 (4). pp. 441-456. ISSN 1862-9679. (doi:10.1007/s11579-016-0165-9) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87568)

Assa, H., Elliston, S., Lehrer, E. (2016) Joint games and compatibility. Economic Theory, 61 (1). pp. 91-113. ISSN 0938-2259. (doi:10.1007/s00199-015-0880-0) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87572)

Assa, H., Gospodinov, N. (2018) Market consistent valuations with financial imperfection. Decisions in Economics and Finance, 41 (1). pp. 65-90. ISSN 1593-8883. (doi:10.1007/s10203-018-0207-2) (KAR id:87561)
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Assa, H., Gospodinov, Nikolay (2017) A Robust Approach to Hedging and Pricing in Imperfect Markets. Risks, 5 (3). ISSN 2227-9091. (doi:10.3390/risks5030036) (KAR id:87825)
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Assa, H., Morales, Manuel, Omidi Firouzi, Hassan (2016) On the Capital Allocation Problem for a New Coherent Risk Measure in Collective Risk Theory. Risks, 4 (3). ISSN 2227-9091. (doi:10.3390/risks4030030) (KAR id:87826)
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Assa, H., Okhrati, R. (2018) Designing sound deposit insurances. Journal of Computational and Applied Mathematics, 327 . pp. 226-242. ISSN 0377-0427. (doi:10.1016/j.cam.2017.05.043) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87565)

Assa, H., Pouralizadeh, M., Badamchizadeh, A. (2019) Sound deposit insurance pricing using a machine learning approach. Risks, 7 (2). ISSN 2227-9091. (doi:10.3390/risks7020045) (KAR id:87560)
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Assa, H., Sharifi, H., Lyons, A. (2021) An examination of the role of price insurance products in stimulating investment in agriculture supply chains for sustained productivity. European Journal of Operational Research, 288 (3). pp. 918-934. ISSN 0377-2217. (doi:10.1016/j.ejor.2020.06.030) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87558)

Assa, H., Wang, M. (2020) Price Index Insurances in the Agriculture Markets. North American Actuarial Journal, . pp. 1-26. (doi:10.1080/10920277.2020.1755315) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87559)

Assa, H., Wang, M., Pantelous, A.A. (2017) Modeling Frost Losses: Application to Pricing Frost Insurance. North American Actuarial Journal, 22 (1). pp. 137-159. (doi:10.1080/10920277.2017.1387571) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87563)

Assa, H., Zimper, A. (2018) Preferences over all random variables: Incompatibility of convexity and continuity. Journal of Mathematical Economics, 75 . pp. 71-83. (doi:10.1016/j.jmateco.2017.12.006) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87562)

Azmat, Qurat-ul-Ain, Iqbal, Abdullah (2017) The role of financial constraints on precautionary cash holdings: evidence from Pakistan. Economic Research-Ekonomska Istraživanja, 30 (1). pp. 596-610. ISSN 1331-677X. E-ISSN 1848-9664. (doi:10.1080/1331677X.2017.1305770) (KAR id:59756)
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B

Balaban, E., Lu, S. (2016) Forecasting the term structure of volatility of crude oil price changes. Economics Letters, 141 . pp. 116-118. ISSN 0165-1765. (doi:10.1016/j.econlet.2016.02.015) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:89964)

Barassi, M., Horváth, L., Zhao, Y. (2020) Change‐Point Detection in the Conditional Correlation Structure of Multivariate Volatility Models. Journal of Business and Economic Statistics, 38 (2). pp. 340-349. ISSN 0735-0015. (doi:10.1080/07350015.2018.1505630) (KAR id:93924)
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Barassi, M., Zhao, Y. (2018) Combination forecasting of energy demand in the UK. Energy Journal, 39 . pp. 209-237. ISSN 0195-6574. (doi:10.5547/01956574.39.SI1.mbar) (KAR id:93926)
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Barassi, Marco R., Spagnolo, Nicola, Zhao, Y. (2018) Fractional Integration Versus Structural Change: Testing the Convergence of CO2 Emissions. Environmental and Resource Economics, 71 (4). pp. 923-968. ISSN 0924-6460. (doi:10.1007/s10640-017-0190-z) (KAR id:95051)
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Belenzon, S., Shamshur, A., Zarutskie, R. (2019) CEO's age and the performance of closely held firms. Strategic Management Journal, 40 (6). pp. 917-944. ISSN 0143-2095. (doi:10.1002/smj.3003) (KAR id:78277)
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Bernal, María Dolores Capelo, Pinzón, Pedro Araújo, Funnell, Warwick N. (2018) Accounting for the male domination through legislative empowerment of upper-middle class women in the early nineteenth century Spain. Accounting, Auditing & Accountability Journal, 31 (4). pp. 1174-1198. ISSN 0951-3574. (doi:10.1108/AAAJ-04-2014-1664) (KAR id:67104)
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Bernales, Alejandro, Verousis, Thanos, Voukelatos, Nikolaos (2016) Do Investors Follow the Herd in Option Markets? Journal of Banking and Finance, . ISSN 0378-4266. E-ISSN 1872-6372. (doi:10.1016/j.jbankfin.2016.02.002) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:54000)
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Bernales, Alejandro, Verousis, Thanos, Voukelatos, Nikolaos (2014) Do Investors Follow the Herd? Evidence from the Options Market. In: 4th International Conference of the Financial Engineering and Banking Society, June 2014, Surrey. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41458)

Bernales, Alejandro, Verousis, Thanos, Voukelatos, Nikolaos (2015) Do investors follow the herd in option markets? In: Do investors follow the herd in option markets? 32nd International Conference of the French Finance Association. . (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50207)

Bernales, Alejandro, Verousis, Thanos, Voukelatos, Nikolaos (2015) Do investors follow the herd in option markets? In: Do investors follow the herd in option markets? The Future of Financial Institutions and Markets: Navigating the Challenges Ahead. . (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50209)

Bernales, Alejandro, Verousis, Thanos, Voukelatos, Nikolaos, Zhang, Mengyu (2020) What do we know about individual equity options? Journal of Futures Markets, 40 (1). pp. 67-91. ISSN 0270-7314. E-ISSN 1096-9934. (doi:10.1002/fut.22066) (KAR id:76823)
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Bevilacqua, Mattia, Morelli, David A., Uzan, Paola Sultana Renée (2021) Striking the implied volatility of US drone companies. International Review of Financial Analysis, 77 . Article Number 101832. ISSN 1057-5219. (doi:10.1016/j.irfa.2021.101832) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:89461)
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Bevilacqua, Mattia, Morelli, David, Tunaru, Radu (2019) The Determinants of the Model-Free Positive and Negative Volatilities. Journal of International Money and Finance, 92 . pp. 1-24. ISSN 0261-5606. E-ISSN 1873-0639. (doi:10.1016/j.jimonfin.2018.12.003) (KAR id:70980)
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Bevilacqua, Mattia, Morelli, David, Uzan, Paola Sultana Renée (2020) Asymmetric implied market volatility and terrorist attacks. International Review of Financial Analysis, 67 . Article Number 101417. ISSN 1057-5219. (doi:10.1016/j.irfa.2019.101417) (KAR id:79243)
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Bigoni, M. (2017) Accounting and Raison d’État in the Grand Duchy of Tuscany: Reopening the University of Pisa (1543-1609). In: The Ninth Accounting History International Conference, 6-8 Sep 2017, Verona, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:63496)

Bigoni, M. (2012) Accounting as a means to spread religious values. The case of the XV century Diocese of Ferrara. RIREA, Rome, Italy, 47 pp. ISBN 978-88-6659-024-8. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57255)

Bigoni, M. (2021) Accounting for Hegemony: Fascist Ideology and the Shifting Roles of Accounting at the University of Ferrara and the Alla Scala Opera House (1922-1943). Accounting History, 26 (4). pp. 640-664. ISSN 1032-3732. (doi:10.1177/10323732211009517) (KAR id:86850)
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Bigoni, M. (2017) Funding policies and accounting at the University of Ferrara under the Fascist Regime in Italy. In: The Ninth Accounting History International Conference, 6-8 Sep 2017, Verona, Italy. (Unpublished) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:63497)
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Bigoni, M. (2011) Gli strumenti per la governance dei gruppi pubblici locali alla luce della riforma Brunetta. Una proposta operativa. Management delle Utilities, 9 (3). pp. 22-36. ISSN 1723 932x. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57279)

Bigoni, M. (2013) Performance measurement in local governments. Innovative tools from a managerial perspective. Giuffre, Milan, Italy, 227 pp. ISBN 978-88-14-18174-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57253)

Bigoni, M. (2012) Planning and control in public groups. From existing tools to innovative solutions for governance. GIUFFRE, Milan, Italy, 404 pp. ISBN 978-88-14-17319-6. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57257)

Bigoni, M. and Aloisi, Tania and Funnell, Warwick N. and Risaliti, Gianluca and Verona, Roberto (2018) Giovanni Antonio Moschetti’s Universal Trattato: an unexplored contribution to accounting theory and practice. In: Sargiacomo, Massimo and Coronella, Stefano and Mio, Chiara and Sostero, Ugo and Di Pietra, Roberto, eds. The origins of accounting culture: The Venetian connection. Routledge, pp. 84-100. ISBN 978-1-138-10361-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66598)

Bigoni, M., Antonelli, V., Funnell, W.N., Cafaro, E.M. (2021) ‘Contra Omnes et Singulos a Via Domini Aberrantes’: Accounting for Confession and Pastoral Power During the Roman Inquisition (1550-1572). Accounting, Auditing & Accountability Journal, 34 (4). pp. 877-903. ISSN 0951-3574. (doi:10.1108/AAAJ-06-2020-4638) (KAR id:86543)
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Bigoni, M. and Beghelli, C (2014) Performance tools. An analysis of Performance Plans and Reports in medium and large-sized municipalities. In: Gli strumenti della performance. Un’analisi dei Piani e delle Relazioni sulla Performance 2011 nei comuni di grandi dimensioni. FrancoAngeli, Milan, Italy, pp. 92-122. ISBN 978-88-917-0817-5. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57261)

Bigoni, M., Bracci, E., Deidda Gagliardo, E, Papi, L., Bruns, H. J. (2018) Public value and public sector accounting research: a structured literature review. In: XXII IRSPM Annual Conference, 11-13 Apr 2018, Edinburgh. (Unpublished) (KAR id:75872)
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Bigoni, M., Bracci, E., Deidda Gagliardo, Enrico, Papi, Luca, Bruns, H. J. (2018) Public value and public sector accounting research: a structured literature review. In: Symposium on Implementing Collaborative Governance, 25-26 Oct 2018, Palermo. (Unpublished) (KAR id:75874)
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Bigoni, M., Deidda Gagliardo, E (2012) The 2011-2013 Performance Plan of Italian medium and big-sized municipalities. An assessment of normative alignment and programmatic adequacy. In: V National Workshop of the Journal Azienda Pubblica, 7-8 June 2012, Sassaril, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57287)

Bigoni, M., Deidda Gagliardo, E (2011) Rethinking the Sacred and Secular Divide. Accounting and Accountability Practices in the Diocese of Ferrara (1431-1457). In: XXIII Accounting History Review Conference, Cardiff., 12 - 13 September 2011, Cardiff, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57288)

Bigoni, M. and Deidda Gagliardo, E and Funnell, Warwick N. (2018) Accounting and the Diffusion of Sacred Values in the Diocese of Ferrara (1431-1457). In: Bigoni, M. and Funnell, Warwick N., eds. The Italian and Iberian Influence in Accounting History. The Imperative of Power. Routledge new works in accounting history . Routledge, New York and London, pp. 19-40. ISBN 978-1-138-04847-8. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:64050)
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Bigoni, M., Deidda Gagliardo, E, Funnell, Warwick N., Pierotti, M. (2016) Accounting for the fascist ethical state: the “duce” on stage at the alla Scala opera house (1922-1943). In: 14th World Congress of Accounting Historians, 25-27 June 2016, CHIETI-PESCARA, ITALY. (Unpublished) (KAR id:57282)
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Bigoni, M., Deidda Gagliardo, Enrico (2013) Brunetta's Reform swan song? An assessment of its success in local governments through the analysis of its tools. European Scientific Journal, 9 (29). pp. 403-428. ISSN 1857 7431. E-ISSN 403. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57266)

Bigoni, M., Deidda Gagliardo, Enrico (2013) Italy's Got Talent: How Italian leading companies in confectionery industry overcame the crisis. European Scientific Journal, 9 (34). pp. 35-59. ISSN 1857-7431. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57265)

Bigoni, M., Deidda Gagliardo, Enrico, Funnell, Warwick N. (2014) Contabilità e potere pastorale. Il contributo delle tecniche contabili al rafforzamento del potere della Chiesa nel XV secolo. Contabilità e cultura aziendale, . pp. 55-83. ISSN 1721 5242. (doi:10.3280/CCA2014-001005) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57263)

Bigoni, M., Deidda Gagliardo, Enrico, Funnell, Warwick N. (2013) Rethinking the sacred and secular divide: Accounting and accountability practices in the Diocese of Ferrara (1431-1457). Accounting, Auditing & Accountability Journal, 26 (4). pp. 567-594. ISSN 0951-3574. (doi:10.1108/09513571311327462) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57267)

Bigoni, M. and Funnell, Warwick N. (2018) Accounting and the Restoration of Pastoral Power in the 15th-century Roman Catholic Church. In: Bigoni, M. and Funnell, Warwick N., eds. The Italian and Iberian Influence in Accounting History. The Imperative of Power. Routledge New Works in Accounting History . Routledge, New York and London, pp. 63-88. ISBN 978-1-138-04847-8. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:64057)
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Bigoni, M., Funnell, Warwick N. (2014) Ancestors of Governmentality: Accounting and Pastoral Power in the 15th century. Critical Perspectives on Accounting, 27 (March). pp. 160-176. ISSN 1045-2354. (doi:10.1016/j.cpa.2014.05.001) (KAR id:55007)
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Bigoni, M. and Funnell, Warwick N. (2018) The Imperative of Power: Accounting in Diverse Settings. In: Bigoni, M. and Funnell, Warwick N., eds. The Italian and Iberian Influence in Accounting History. The Imperative of Power. Routledge New Works in Accounting History . Routledge, New York and London, pp. 1-16. ISBN 978-1-138-04847-8. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:64058)
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Bigoni, M. and Funnell, Warwick N., eds. (2018) The Italian and Iberian Influence in Accounting History. The Imperative of Power. Routledge new works in accounting history, 15 . Routledge, New York and London ISBN 978-1-138-04847-8. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64049)

Bigoni, M., Funnell, Warwick N., Deidda Gagliardo, E., Pierotti, M. (2021) Accounting for Control of Italian Culture in the Fascist Ethical State: The Alla Scala Opera House. Accounting, Auditing & Accountability Journal, 34 (1). pp. 194-222. ISSN 0951-3574. (doi:10.1108/AAAJ-09-2019-4186) (KAR id:83436)
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Bigoni, M., Funnell, Warwick N., Verona, Roberto, Deidda Gagliardo, Enrico (2018) Accounting and raison d’État in the Grand Duchy of Tuscany: Reopening the University of Pisa (1543–1609). Critical Perspectives on Accounting, 56 . pp. 1-19. ISSN 1045-2354. (doi:10.1016/j.cpa.2017.12.008) (KAR id:65588)
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Bigoni, M., Maran, L (2019) Time, space and accounting at Nonantola Abbey (1350-1449). In: 10th Accounting History International Conference, 03-05 Sep 2019, Paris, France. (Unpublished) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:76743)
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Bigoni, Michele, Antonelli, Valerio, Cafaro, Emanuela Mattia, D'Alessio, Raffaele, Funnell, Warwick N. (2020) Accounting for the ‘Deviant’ in 19th Century Italian Prisons. Critical Perspectives on Accounting, 66 . Article Number 102087. ISSN 1045-2354. (doi:10.1016/j.cpa.2019.06.001) (KAR id:74444)
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Bigoni, Michele, Maran, Laura, Ferramosca, Silvia (2021) Time, Space and Accounting at Nonantola Abbey (1350-1449). British Accounting Review, 53 (2). Article Number 100882. ISSN 0890-8389. (doi:10.1016/j.bar.2020.100882) (KAR id:79475)
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Bisbe, J., Kruis, A., Madini, P.M. (2016) Coercive, enabling, diagnostic, and interactive control: Unravelling the puzzle of their connections. In: Management Control Association, 7-9 September 2016, Antwerp, Belgium. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57811)

Bisbe, J., Kruis, A., Madini, P.M. (2016) Coercive, enabling, diagnostic, and interactive control: Unravelling the puzzle of their connections. In: 10th Conference on New Directions in Management Accounting, 14-16 Dec 2016, Bruxelles, Belgium. (KAR id:59720)
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Bisbe, Josep, Kruis, Anne-Marie, Madini, Paola (2019) Coercive, enabling, diagnostic, and interactive control: Untangling the threads of their connections. Journal of Accounting Literature, 43 . pp. 124-144. ISSN 0737-4607. (doi:10.1016/j.acclit.2019.10.001) (KAR id:78122)
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Bonnar, Stephen, Curtis, Lori, Leon-Ledesma, Miguel A., Oberoi, Jaideep S, Rybczynski, Kathleen, Zhou, Chenggang (2017) Population Structure and Asset Values. In: 31st International Congress of Actuaries, 4 - 8 June 2018, Berlin, Germany. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71078)

Bonnar, Stephen, Curtis, Lori, Leon-Ledesma, Miguel A., Oberoi, Jaideep S, Rybczynski, Kathleen, Zhou, Chenggang (2018) Population Structure and Asset Values. In: 4th International Conference on Applied Theory, Macro and Empirical Finance, 02 - 03 April, 2018, Thessaloniki, Greece. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71079)

Bouri, E., Lau, C.K.M., Saeed, T., Wang, S., Zhao, Y. (2021) On the intraday return curves of Bitcoin: Predictability and trading opportunities. International Review of Financial Analysis, 76 . Article Number 101784. ISSN 1057-5219. (doi:10.1016/j.irfa.2021.101784) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:93919)
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Bracci, E. and Deidda Gagliardo, E. and Bigoni, M. (2014) Performance Management Systems and Public Value Strategy: A Case Study. In: Public Value Management, Measurement and Reporting. Studies in Public and Non-Profit Governance, 3 . Emerald Group Publishing Limited, Bingley, UK, pp. 129-157. (doi:10.1108/S2051-663020140000003006) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57260)

Bracci, E., Papi, L., Bigoni, M., Deidda Gagliardo, E, Bruns, H. J. (2019) Public value and public sector accounting research: a structured literature review. Journal of Public Budgeting, Accounting & Financial Management, 31 (1). pp. 103-136. ISSN 1096-3367. (doi:10.1108/JPBAFM-07-2018-0077) (KAR id:70954)
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C

Cantia, Catalin, Tunaru, Radu (2016) A factor model for joint default probabilities, pricing of CDS, index swaps and index tranches. Insurance: Mathematics and Economics, 72 . pp. 21-35. ISSN 0167-6687. (doi:10.1016/j.insmatheco.2016.10.004) (KAR id:57915)
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Cao, R., Horváth, L., Liu, Z., Zhao, Y. (2020) A study of data-driven momentum and disposition effects in the Chinese stock market by functional data analysis. Review of Quantitative Finance and Accounting, 54 (1). pp. 335-358. ISSN 0924-865X. (doi:10.1007/s11156-019-00791-x) (KAR id:93925)
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Carungu, J., Di Pietra, R., Molinari, M. (2021) Mandatory vs voluntary exercise on non-financial reporting: does a normative/coercive isomorphism facilitate an increase in quality? Meditari Accountancy Research, 29 (3). pp. 449-476. ISSN 2049-372X. (doi:10.1108/MEDAR-08-2019-0540) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90502)

Carungu, J. and Molinari, M. and Nicolò, G. and Pigatto, G. and Sottoriva, C. (2022) Implementing SDGs and Mandatory Non-financial Reporting in Corporate Practices: Insight from an Italian Global Player. In: Cinquini, L. and De Luca, F., eds. Non-financial Disclosure and Integrated Reporting: Theoretical Framework and Empirical Evidence. SIDREA Series in Accounting and Business Administration . Springer. ISBN 978-3-030-90354-1. (doi:10.1007/978-3-030-90355-8_3) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90845)

Carungu, Jonida, Di Pietra, Roberto, Molinari, M. (2021) The impact of a humanitarian disaster on the working approach of accountants: a study of contingent effects. Accounting, Auditing & Accountability Journal, 34 (6). pp. 1388-1403. ISSN 0951-3574. (doi:10.1108/AAAJ-08-2020-4789) (KAR id:90782)
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Casson, Ashley (2018) Depreciation: A Threshold Concept in Accounting Education. Master of Arts (MA) thesis, University of Kent. (doi:10.22024/UniKent/01.02.82164) (KAR id:82164)
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Chang, Li-cheng (2015) Accountability, Rhetoric, and Political Interests: Twists and Turns of NHS Performance Measurements. Financial Accountability and Management, 31 (1). pp. 41-68. ISSN 0267-4424. E-ISSN 1468-0408. (doi:10.1111/faam.12045) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:49906)
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Chang, Li-cheng (2012) Cost-effectiveness and fairness in health care: NICE appraisals. Public Money & Management, 32 (5). pp. 343-348. ISSN 0954-0962. (doi:10.1080/09540962.2012.703418) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:45980)
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Chang, Li-cheng (2009) The Impact of Political Interests Upon the Formulation of Performance Measurements: The NHS Star Rating System. Financial Accountability and Management, 25 (2). pp. 146-166. ISSN 0267-4424. (doi:10.1111/j.1468-0408.2009.00472.x) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28612)

Chang, Li-cheng (2020) On cost effectiveness analysis and fairness: Normalizing control of and resistance to NICE technology appraisals. Financial Accountability & Management, . ISSN 0267-4424. E-ISSN 1468-0408. (doi:10.1111/faam.12235) (KAR id:81456)
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Chaudhry, S.M., Ahmed, R., Huynh, T.L.D., Benjasak, C. (2021) Tail risk and systemic risk of finance and technology (FinTech) firms. Technological Forecasting and Social Change, 174 . Article Number 121191. ISSN 0040-1625. (doi:10.1016/j.techfore.2021.121191) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:96228)

Chaudhry, S.M., Ahmed, R., Shafiullah, M., Duc Huynh, T.L. (2020) The impact of carbon emissions on country risk: Evidence from the G7 economies. Journal of Environmental Management, 265 . Article Number 110533. ISSN 0301-4797. (doi:10.1016/j.jenvman.2020.110533) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:96235)

Chaudhry, S.M., Saeed, A., Ahmed, R. (2021) Carbon neutrality: The role of banks in optimal environmental management strategies. Journal of Environmental Management, 299 . Article Number 113545. ISSN 0301-4797. (doi:10.1016/j.jenvman.2021.113545) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:96229)

Chen, Yunzhou, Assa, H. (2019) Dynamic Set-Up for Designing Optimal Reinsurance Contracts. SSRN Electronic Journal, . (Unpublished) (doi:10.2139/ssrn.3420090) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87824)

Chithambo, Lyton, Tingbani, Ishmael, Afrifa, Godfred Adjapong, Gyapong, Ernest, Damoah, Isaac Sakyi (2020) Corporate voluntary greenhouse gas reporting: Stakeholder pressure and the mediating role of the chief executive officer. Business Strategy and the Environment, 29 (4). pp. 1666-1683. ISSN 0964-4733. (doi:10.1002/bse.2460) (KAR id:80463)
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Choudhry, Taufiq, Hasan, Mohammad S (2011) Forecasting the daily dynamic hedge ratios in emerging stock futures markets: evidence from the GARCH models. In: Annual Meeting of the European Financial Management Association, 22-25 June 2011, Braga, Portugal. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35272)

Choudhry, Taufiq, Hasan, Mohammad S, Zhang, Yuanyuan (2019) Forecasting the Daily Dynamic Hedge Ratios in Emerging European Stock Futures Markets: Evidence from GARCH models. International Journal of Banking Accounting and Finance, 10 (1). pp. 67-100. ISSN 1755-3830. (doi:10.1504/IJBAAF.2019.099316) (KAR id:69239)
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Choudhry, Taufiq, Hasan, Mohammad S, Zhang, Yuanyuan (2016) Forecasting the daily dynamic hedge ratios in European emerging stock futures markets: evidence from GARCH model. In: Portsmouth-Fordham Conference on Banking & Finance, 24-25 September 2016, Portsmouth. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62693)

Christie, Jane S., Jayakody, Shashitha, Etokakpan, Idorenyin (2021) Talking Together: The Kent Business School Research Colloquium. (2021). University of Kent pdf. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:92620)

Clughen, L., Cohen, J., De, D., Reid, M., Sedgley, M. (2010) Engaging subject academics in Learning Development: Writing projects. In: 7th Annual LDHEN Symposium: Celebrating partnerships in learning, 29 -31 March 2010, Nottingham Trent University, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64449)

Cobbin, Philip E., Funnell, Warwick N. (2021) Call to service: The Register of Australian Accountants for National Service 1940–1944. Accounting, Auditing & Accountability Journal, . ISSN 0951-3574. (doi:10.1108/AAAJ-10-2019-4200) (KAR id:93042)
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Cohen, J. (2003) Accessing 'D' discourse: Using Systemic Functional Grammar and Conversation Analysis to examine non-native speaker interaction in the classroom. In: Burton, Jill and Clennell, Charles, eds. Interaction and Language Learning. Case Studies in TESOL Practice . TESOL, Alexandria, VA, pp. 115-124. ISBN 978-1-931185-05-9. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62708)

Cohen, J. (2003) Addressing inadvertent plagiarism: A practical strategy to help non-English speaking background (NESB) students. In: Educational integrity: plagiarism and other perplexities : proceedings of the first Australasian Educational Integrity Conference. University of South Australia, Adelaide, South Australia, Australia. ISBN 978-1-920927-08-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62547)

Cohen, J. (2012) Case study - Implementing a plagiarism detection service: ways of working with staff and students. In: Oltre la rilevazione del plagio verso la qualità della didattica e della ricerca, 30 November 2012, Bologna, Italy. (Unpublished) (KAR id:62543)
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Cohen, J. (2006) Implementation of Turnitin. In: 3rd Turnitin UK User Group, 6 December 2006, University of Gloucester, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64451)

Cohen, J. (2010) Using Turnitin as a formative writing tool. Journal of Learning Development in Higher Education, 2010 (2). ISSN 1759-667X. (KAR id:62544)
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Cohen, J., Bobrowicz, Ania, Pope, A., Sinfield, Sandra, Clughen, L., Glass, B. (2009) Writing development using online resources. Panel Presentation: The Roles of Writing Development in Higher Education and Beyond. In: 5th European Association for the Teaching of Academic Writing Conference (EATAW), 30 June - 2 July 2009, Coventry, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62546)

Cohen, J., Dean, A. (2019) Exploring group work and physical space: a case study in factors influencing success. In: Assessment in Higher Education 8th International Conference, 26 - 27 June 2019, Manchester, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:74371)

Cohen, J., Dean, Alison (2014) Changing Culture, Changing Practice: A Faculty Approach to Engaging Staff. In: Poster presentation at ICED 2014: Educational Development in a Changing World, ICED Conference, 16-18 June 2014, Stockholm, Sweden. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62541)

Cohen, J., Dean, Alison (2016) Changing Practice: Can quality assurance processes really drive quality enhancement? In: SEDA Spring Conference: Innovations in Assessment and Feedback Practice, 12-13 May 2016, Edinburgh, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62540)

Cohen, J., Dean, Alison (2014) Reflections on assessment: a faculty experience of engaging staff and students with the principles of ‘assessment for learning’. In: SEDA Spring Conference: Engaging Students: Engaging Staff, 15-16 May 2014, Newcastle, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62542)

Cohen, J., Robinson, Catherine (2017) Applying TBL in a Business Context: Using assessment and feedback processes to drive student engagement. In: Learning, Teaching and Student Experience: 6th Annual Conference, CABS, 25-26 April 2017, Bristol, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62539)

Cohen, J., Robinson, Catherine (2018) A Critique of an innovative student-centred approach to feedback: evaluating alternatives in a high risk policy environment. In: Assessment in Higher Education 7th International Conference, 28th June 2018, Manchester, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:74363)

Cohen, J., Robinson, Catherine (2017) Enhancing teaching excellence through Team-based learning: Institutional challenges and lessons learnt when implementing a major change to curriculum delivery and assessment. In: SEDA Spring Conference: The quest for teaching excellence and learning gain: Issues, resolutions and possibilities, 11-12 May 2017, Manchester, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62537)

Cohen, J., Robinson, Catherine (2017) Exploring the effects of radical change to assessment and feedback processes: Applying TBL in a social science module. In: Assessment in HE 6th International Conference, 28 - 29 June 2017, Manchester UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62535)

Cohen, Judy, Dean, Alison (2019) Exploring group-work and physical space: a case study in factors influencing student success. In: Assessment in HE, June 2019, Manchester UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:78552)

Cohen, Judy, Dean, Alison (2019) Exploring group-work and physical space: a case study in factors influencing student success. In: CABS LTSE Conference, June 2019, Manchester UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:78554)

Cohen, Judy, Robinson, Catherine (2017) Enhancing Teaching Excellence through Team-based Learning. Innovations in Education and Teaching International, 55 (2). pp. 133-142. ISSN 1470-3297. (doi:10.1080/14703297.2017.1389290) (KAR id:63999)
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Deidda Gagliardo, E., Bigoni, M. (2012) Il Piano della Performance nei Comuni medi. La proposta di una nuova configurazione per superare l’inadeguatezza delle prime applicazioni. Rivista italiana di ragioneria e di economia aziendale October - November 2015, (5-6). pp. 228-242. ISSN 1593-9154. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57278)

Deidda Gagliardo, E, Bigoni, M., Papi, Luca, Gobbo, Giorgia (2019) La programmazione dei Ministeri nella nuova stagione della performance. Dalla burocrazia della performance alla performance utile. Management Control, . pp. 169-189. (doi:10.3280/MACO2019-001008) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:72900)
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Deidda Gagliardo, E, Bracci, E., Bigoni, M. (2014) How to create and measure sustainable public value in a municipal theatre. In: VI Workshop Nazionale di Azienda Pubblica, 19 -20 June 2014, Novara, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57286)

Deidda Gagliardo, E, Ziruolo, A, Bigoni, M., Novelli, N (2015) Performance measurement in public service contracts for Local Transport. Rivista italiana di ragioneria e di economia aziendale, . pp. 368-389. ISSN 1593-9154. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:57262)
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Deidda Gagliardo, Enrico, Gobbo, Giorgia, Papi, Luca, Bigoni, M. (2017) The effectiveness of incubation programs in startup development. Rivista italiana di ragioneria e di economia aziendale, (5-8). pp. 225-239. ISSN 1593-9154. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:61929)
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Di Cimbrini, T., Funnell, Warwick N., Bigoni, M., Migliori, S., Consorti, A. (2020) Accounting for Napoleonic Imperialism in Tuscany and the Kingdom of Naples. Accounting, Auditing & Accountability Journal, 33 (2). pp. 391-416. ISSN 0951-3574. (doi:10.1108/AAAJ-04-2018-3467) (KAR id:78534)
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Diana, Alex, Griffin, Jim E., Oberoi, Jaideep S, Yao, Ji (2019) Machine-Learning Methods for Insurance Applications - a survey. Society of Actuaries, 27 pp. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71090)

Dima, Lillian Bellinah (2003) Accounting education, training and practice in Botswana: a study of problems and strategies for change. Doctor of Philosophy (PhD) thesis, University of Kent. (doi:10.22024/UniKent/01.02.86286) (KAR id:86286)
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Ditillo, A. and Caglio, A. and Madini, P.M. (2010) Performance measurement of fashion companies. In: Performance Management: Controllo di gestione: modelli e strumenti per competere oggi. EGEA S.p.A., Italy, pp. 191-209. ISBN 978-88-238-7162-5. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57810)

Ditillo, A., Caglio, P., Madini, P.M. (2006) Relationships’ management between fashion organizations: from supply chain management to supply chain management accounting. economia & management, . pp. 59-74. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57846)

Doshi, Hitesh, Oberoi, Jaideep S (2016) The ETF-Index Volatility Spread. In: 10th International Conference on Computational and Financial Econometrics, 9 - 11 Dec 2016, Seville, Spain. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71083)

de Villiers, C., Farooq, M. B., Molinari, M. (2021) Qualitative Research Interviews Using Online Video Technology - Challenges and Opportunities. Meditari Accountancy Research, . ISSN 2049-372X. (doi:10.1108/MEDAR-03-2021-1252) (KAR id:90784)
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de Villiers, Charl, La Torre, M., Molinari, M. (2022) The Global Reporting Initiative’s (GRI) Past, Present and Future: Critical reflections and a research agenda on sustainability reporting (standard-setting). Pacific Accounting Review, . ISSN 0114-0582. (doi:10.1108/PAR-02-2022-0034) (KAR id:94859)
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E

Ebrahim, M.S., Hudson, R., Iqbal, Abdullah, Shah, M.E. (2016) Dispelling the Myth of a Value Premium: Contrary Evidence of Malaysian Crony Capitalism. International Journal of Banking Accounting and Finance, 7 (1). pp. 1-33. ISSN 1755-3830. E-ISSN 1755-3849. (doi:10.1504/IJBAAF.2016.079164) (KAR id:43793)
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Economou, Fotini, Katsikas, Epameinondas, Vickers, Gregory (2016) Testing for herding in the Athens Stock Exchange during the crisis period. Finance Research Letters, 18 . pp. 334-341. ISSN 1544-6123. (doi:10.1016/j.frl.2016.05.011) (KAR id:55491)
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El Diri, Malek, King, Timothy, Spokeviciute, Laima, Williams, Jonathan (2021) Hands in the cookie jar: Exploiting loan loss provisions under bank financial distress. Economics Letters, . p. 110098. ISSN 0165-1765. (doi:10.1016/j.econlet.2021.110098) (KAR id:90833)
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Espenlaub, Susanne, Iqbal, Abdullah, Strong, Norman (2009) Datastream returns and UK open offers. European Journal of Finance, 15 (1). pp. 61-69. ISSN 1351-847X. (doi:10.1080/13518470802560642) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23520)

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Fabozzi, Frank J., Leccadito, Arturo, Tunaru, Radu (2014) Extracting market information from equity options with exponential Lévy processes. Journal of Economic Dynamics and Control, 38 (1). pp. 125-141. ISSN 0165-1889. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41199)

Fabozzi, Frank J., Leccadito, Arturo, Tunaru, Radu (2012) A New Method For Generating Approximation Algorithms For Financial Mathematics Applications. Quantitative Finance, . pp. 1-13. ISSN 1469-7688. (doi:10.1080/14697688.2011.580363) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28646)

Fabozzi, Frank J., Ng, Peck Wah, Tunaru, Diana (2021) The impact of corporate social responsibility on corporate financial performance and credit ratings in Japan. Journal of Asset Management, 22 (2). pp. 79-95. ISSN 1470-8272. (doi:10.1057/s41260-021-00204-6) (KAR id:87779)
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Fabozzi, Frank J., Paletta, Tommaso, Stanescu, Silvia, Tunaru, Radu (2016) An Improved Method for Pricing and Hedging Long Dated American Options. European Journal of Operational Research (ABS 4), 254 (2). pp. 656-666. ISSN 0377-2217. (doi:10.1016/j.ejor.2016.04.002) (KAR id:55269)
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Fabozzi, Frank J., Paletta, Tommaso, Tunaru, Radu (2017) An Improved Least Squares Monte Carlo Valuation Method Based on Heteroscedasticity. European Journal of Operational Research, 263 (2). pp. 698-706. ISSN 0377-2217. (doi:10.1016/j.ejor.2017.05.048) (KAR id:61868)
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Fabozzi, Frank J., Shiller, Robert J., Tunaru, Radu (2019) Evolution of Real Estate Derivatives and Their Pricing. Journal of Derivatives, 26 (3). pp. 7-21. ISSN 1074-1240. (doi:10.3905/jod.2019.26.3.007) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:72861)
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Fabozzi, Frank J., Shiller, Robert, Tunaru, Radu (2012) A Pricing Framework for Real-Estate Derivatives. European Financial Management, 18 (5). pp. 762-789. ISSN 1354-7798. (doi:10.1111/j.1468-036X.2011.00635.x) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28641)

Fabozzi, Frank J., Stanescu, Silvia, Tunaru, Radu (2013) Commercial Real Estate Risk Management with Derivatives. Journal of Portfolio Management, 39 (5). pp. 111-119. ISSN 0095-4918. (doi:10.3905/jpm.2013.39.5.111) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35931)

Fabozzi, Frank J., Tunaru, Diana, Tunaru, Radu (2022) The Interconnectedness Between Green Finance Indexes and Other Important Financial Variables. The Journal of Portfolio Management, . ISSN 0095-4918. E-ISSN 2168-8656. (In press) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:96985)
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Fabozzi, Frank, Kynigakis, Iason, Panopoulou, Ekaterini, Tunaru, Radu (2019) Detecting Bubbles in the US and UK Real Estate Markets. Journal of Real Estate Finance and Economics, 60 . pp. 469-513. ISSN 0895-5638. (doi:10.1007/s11146-018-9693-9) (KAR id:71012)
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Fan, Yaoyao, Boateng, Agyenim, King, Timothy, MacRae, Claire (2019) Board-CEO friendship ties and firm value: Evidence from US firms. International Review of Financial Analysis, 65 . Article Number 101373. ISSN 1057-5219. (doi:10.1016/j.irfa.2019.101373) (KAR id:75266)
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Ferris, Stephen P., Hanousek, Jan, Shamshur, Anastasiya, Tresl, Jiri (2018) Asymmetries in the Firm's use of debt to changing market values. Journal of Corporate Finance, 48 . pp. 542-555. ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2017.12.006) (KAR id:78278)
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Fleishman, Richard and Funnell, Warwick N. (2007) The relevance of the past. In: Hopper, Trevor M. and Scapens, Robert and Northcott, Deryl, eds. Issues in Management Accounting. Pearson Education Limited, United Kingdom, pp. 377-398. ISBN 978-0-273-70257-3. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:2929)

Fungáčová, Zuzana, Shamshur, Anastasiya, Weill, Laurent (2017) Does bank competition reduce cost of credit? Cross-country evidence from Europe. Journal of Banking & Finance, 83 . 104 - 120. ISSN 0378-4266. (doi:10.1016/j.jbankfin.2017.06.014) (KAR id:78281)
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Funnell, Warwick N. (2007) Accounting and the Virtues of Anarchy. Australasian Accounting Business & Finance Journal, 1 (1). pp. 18-27. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:3163)

Funnell, Warwick N. (2001) Accounting for Justice: Entitlement, Wand and the Irish Famine of 1845-7. Accounting Historians Journal, 28 (2). 187 - 208. ISSN 0148-4184. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6637)

Funnell, Warwick N. (2003) Accounting for Justice: Entitlements, Need and the Irish Potato Famine 1845-7. In: UNSPECIFIED, Management School, University of Newcastle. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6652)

Funnell, Warwick N. (2003) Accounting for War. Accounting and Finance Academic Press, 240 pp. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5816)

Funnell, Warwick N. (2004) Accounting in the Pursuit of Utopia: The Possibility of Perfection in Paraguay. Accounting Historians Journal, 31 (1). 57 - 92. ISSN 0148-4184. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5825)

Funnell, Warwick N. (2003) Accounting in the Pursuit of Utopia: The Possibility of Perfection in Paraguay. In: UNSPECIFIED, Management School, Massey University, New Zealand. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5820)

Funnell, Warwick N. (2005) Accounting on the Frontline: Cost Accounting, Military Efficiency and the South African War. Accounting and Business Research, 35 (4). 307 - 326. ISSN 0001-4788. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5829)

Funnell, Warwick N. (2001) The Chapel and the Counting House: Is there a Place for Religion in Accounting History? In: 8th World Congress of Accounting Historians. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5810)

Funnell, Warwick N. (2001) The Citizen's Champion: Auditors-General and Public Law Protections. In: Dept of Accounting, University of Western, Sydney. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5811)

Funnell, Warwick N. (2001) Distortions of History, Accounting and the Paradox of Werner Sombart. Abacus, 12 (1). 55 - 78. ISSN 0001-3072. (doi:10.1111/1467-6281.00074) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5807)

Funnell, Warwick N. (2003) Enduring Fundamentals: Constitutional Accountability and Auditors-General in the Reluctant State. Critical Perspectives on Accounting, 14 (1- 2). 107 - 32. ISSN 1045-2354. (doi:10.1006/cpac.2002.0519) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5815)

Funnell, Warwick N. (2007) Evidence, myths and informed debate in accounting history: A reply to Arnold and McCartney. Critical Perspectives on Accounting, 18 (3). pp. 297-298. ISSN 1045-2354. (doi:10.1016/j.cpa.2005.06.001) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:3066)

Funnell, Warwick N. (2004) Further Evidence of the Roots of Public Sector Operational (Value-for-Money) Auditing: A reply to Flesher and Zarzeski. Accounting and Business Research, 34 (3). 215 - 22. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5824)

Funnell, Warwick N. (2003) The Genocidal Possibilities of Accounting: The Holocaust. In: UNSPECIFIED, Management School, University of Newcastle. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5818)

Funnell, Warwick N. (2000) Government by Fiat: The Retreat from Responsibility. University of NSW Press, Sydney, 256 pp. ISBN 978-0-86840-659-6. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6639)

Funnell, Warwick N. (2011) Keeping secrets? Or what government performance auditors might not need to know. Critical Perspectives on Accounting, 22 (7). pp. 714-721. ISSN 1045-2354. (doi:10.1016/j.cpa.2010.02.007) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28539)

Funnell, Warwick N. (2004) The London School of Economics and Cost Accounting Reforms in the British Army, 1907-25. In: Management School Seminar, Massey University, New Zealand. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6658)

Funnell, Warwick N. (2004) Lord Rosebery, the Business of Government and National Efficiency. In: UNSPECIFIED, University of Wollongong, Australia. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5828)

Funnell, Warwick N. (2002) Making History Count: The Importance of Accounting History. Australian Historical Bulletin, 94 (June). 10 - 23. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5814)

Funnell, Warwick N. (2009) Military Accounting. In: Edwards, John Richard and Walker, Stephen P., eds. Routledge Companion to Accounting History. Routledge companions . Taylor & Francis Ltd, London, pp. 561-578. ISBN 978-0-415-41094-6. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25419)

Funnell, Warwick N. (2006) National Efficiency, Military Accounting and the Business of War. Critical Perspectives on Accounting, 17 (6). 719 - 751. ISSN 1045-2354. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6663)

Funnell, Warwick N. (2004) National Efficiency, Richard Haldane and War. In: World Congress of Accounting Historians/American Academy of Accounting Historians, St Louis, Missouri & Oxford, Mississippi. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5826)

Funnell, Warwick N. (2003) Nineteenth Century Manifestations of the Social Impact of Accounting. In: UNSPECIFIED, Management School, University of Newcastle. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5819)

Funnell, Warwick N. (2010) On his majesty's secret service: accounting for the secret service in a time of national peril 1782-1806. Accounting Historians Journal, 37 (1). pp. 29-52. ISSN 0148-4184. (doi:Academy of Accounting Historians) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28537)

Funnell, Warwick N. (2015) Performance Auditing and Adjudicating Political Disputes. Financial Accountability and Management, 31 (1). pp. 92-111. ISSN 0267-4424. (doi:10.1111/faam.12046) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:56676)

Funnell, Warwick N. (2006) The Proper Trust of Liberty. The American War of Independence, Economical Reform and the Constitutional Protections of Accounting. In: UNSPECIFIED, School Of Management, University of Newcastle. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5833)

Funnell, Warwick N. (2008) The Proper Trust of Liberty: The American War of Independence, Economical Reform and the Constitutional Protections of Accounting. Accounting History, 13 (1). pp. 7-32. ISSN 1032-3732. (doi:10.1177/1032373207083925) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25420)

Funnell, Warwick N. (2003) Public Accounts Committees and their Relationship with Officers of Parliament: The Old and the New. In: Biennial Conference of Public Accounts Committees and Similar Committees/Commonwealth Association of Public Accounts Committees, Melbourne, Australia. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5817)

Funnell, Warwick N. (2001) Public Law Protections, Auditors-General and Accountability in the New Contracting Environment. In: School of Accounting and Law Seminar, Massey University. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5813)

Funnell, Warwick N. (2001) Public Sector Audit in the New Public Management State. In: Biennal Conference of Australasian Council of Auditors-General. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5809)

Funnell, Warwick N. (2007) The Reason Why: The English Constitution and the Latent Promise of Liberty in the History of Accounting. Accounting, Business & Financial History, 17 (2). pp. 265-283. ISSN 0958-5206. (doi:10.1080/09585200701376618) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:3107)

Funnell, Warwick N. (2005) The Reason Why: The English Constitution and the Latent Promise of Liberty in the History of Accounting. In: Accounting and Business History Conference, University of Cardiff, Wales, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5830)

Funnell, Warwick N. (2001) The Relevance of Auditors-General in the Reformed Public Sector. In: UNSPECIFIED, School of Accounting, Banking and Finance, Canberra. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5812)

Funnell, Warwick N. (2005) Research in the History of Public Sector Accounting. In: School of Business and Economics, Exeter. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5831)

Funnell, Warwick N. (2011) Social Reform, Military Accounting and the Pursuit of Economy during the Liberal Apotheosis, 1906-1912. Accounting, Business & Financial History, 21 (1). pp. 69-93. ISSN 0958-5206. (doi:10.1080/21552851.2011.548549) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28541)

Funnell, Warwick N. (2004) Towards the Great Desideratum: The Unification of the Accounting Bodies in England 1870 - 1880 (Review). Accounting History, 9 (3). 111 - 113. ISSN 0001-4788. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5822)

Funnell, Warwick N. (2004) Victorian Parsimony and the Early Champions of Modern Public Sector Audit. Accounting History, 9 (1). 25 - 60. ISSN 1032-3732. (doi:10.1177/103237320400900103) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6654)

Funnell, Warwick N., Antonelli, V., Bigoni, M., Cafaro, E. M., D'Alessio, R. (2021) Accounting for Jewish ‘Bare Life’ in the Fossoli Concentration Camp, 1943-44. Critical Perspectives on Accounting, . Article Number 102323. ISSN 1045-2354. (doi:10.1016/j.cpa.2021.102323) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:87726)
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Funnell, Warwick N., Antonelli, Valerio (2017) Accounting for Madness: The Real Case dei Matti of Palermo 1824-1860. Accounting, Auditing & Accountability Journal, 30 (5). pp. 1111-1141. ISSN 0951-3574. (doi:10.1108/AAAJ-05-2015-2047) (KAR id:56675)
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Funnell, Warwick N., Antonelli, Valerio, D'Alessio, Raffaele (2018) Accounting and Psychiatric Power in Italy: The Royal Insane Hospital of Turin in the 19th Century. Critical Perspectives on Accounting, 61 . pp. 1-21. ISSN 1045-2354. (doi:10.1016/j.cpa.2018.08.004) (KAR id:68770)
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Funnell, Warwick N., Banos Sanchez-Matamoros, Juan (2015) War or the Business of God: Sacred Mission, Accounting and Spanish Military Hospitals in the 18th Century. Accounting, Auditing & Accountability Journal, 28 (3). pp. 434-459. ISSN 0951-3574. (doi:10.1108/AAAJ-01-2014-1588) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:56672)

Funnell, Warwick N., Chwastiak, Michele (2010) Accounting and the military. Accounting History, 15 (2). pp. 147-152. ISSN 1032-3732. (doi:10.1177/1032373209359320) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28540)

Funnell, Warwick N., Deo, Hemant (2005) Weberian Theoretical Implications on Development Banking Historical Research: Past, Present and Future. Journal of American Academy of Business, 6 (2). 191 - 196. ISSN 1540-1200. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6670)

Funnell, Warwick N., Jupe, R.E., Wade, M. (2016) Stakeholder perceptions of performance audit credibility. Accounting and Business Research, 46 (6). pp. 601-619. ISSN 0001-4788. E-ISSN 2159-4260. (doi:10.1080/00014788.2016.1157680) (KAR id:53904)
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Funnell, Warwick N., Mahdavi, G. (2003) Public Sector Accountability and Accounting Information Systems in the Islamic Republic of Iran. Iranian Journal of Information Science and Technology, 1 (2). 32 - 45. ISSN 1726-8125. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:6672)

Funnell, Warwick N., Maran, L, Bacci, E (2015) Accounting and the Management of Power: Napoleon's Occupation of the Commune of Ferrara. Critical Perspectives on Accounting, 34 (Jan). pp. 60-78. ISSN 1045-2354. (doi:10.1016/j.cpa.2015.10.008) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:56674)

Funnell, Warwick N., Oldroyd, David (2009) Accounting and the Moral Economy of Illness in Victorian England: the Newcastle Infirmary 1850 to 1887. Accounting, Auditing & Accountability Journal, 22 (4). pp. 525-552. ISSN 0951-3574. (doi:10.1108/09513570910955434) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25418)

Funnell, Warwick N., Robertson, Jeffrey (2011) Capitalist accounting in sixteenth century Holland: Hanseatic influences and the Sombart thesis. Accounting, Auditing & Accountability Journal, 24 (5). pp. 560-586. ISSN 0951-3574. (doi:10.1108/09513571111139102) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28542)

Funnell, Warwick N., Wade, Margaret (2012) Negotiating the Credibility of Performance Auditing. Critical Perspectives on Accounting, 23 (6). pp. 434-450. ISSN 1045-2354. (doi:10.1016/j.cpa.2012.04.005) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:31050)

Funnell, Warwick N., Walker, Stephen (2014) Accounting for victory. Accounting History Review, . (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:56677)

Funnell, Warwick, Jupe, Robert (2021) The Architecture of Accounting and the Neoliberal Betrayal of Life. Critical Perspectives on Accounting, . ISSN 1045-2354. (doi:10.1016/j.cpa.2021.102329) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:88732)
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Gausden, R., Hasan, Mohammad S (2012) A Comparison of Consumer and Retail Trade Confidence Indicators for Predicting Household Expenditure in the U.K. Empirical Economics Letters, 11 (7). pp. 669-676. ISSN 1681-8997. (KAR id:29356)
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Gausden, R., Hasan, Mohammad S (2013) The usefulness of an indicator of consumer confidence for the purpose of predicting household consumption expenditures in the UK. In: The 45th Annual Money Macro and Finance Conference, 11-13 September 2013, Queen Mary, University of London, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35269)

Gausden, Robert, Hasan, Mohammad S (2016) Would information on consumer confidence have helped to predict UK household expenditure during the recent economic crisis? Applied Economics, 48 (18). pp. 1695-1709. ISSN 0003-6846. E-ISSN 1466-4283. (doi:10.1080/00036486.2015.1105926) (KAR id:54141)
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Gausden, Robert, Hasan, Mohammad S (2018) An assessment of the contribution of consumer confidence towards household spending decisions using UK data. Applied Economics, 50 (12). pp. 1395-1411. ISSN 0003-6846. E-ISSN 1466-4283. (doi:10.1080/00036846.2017.1363859) (KAR id:62688)
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Gausden, Robert, Hasan, Mohammad S. (2020) Comparative Performances of Measures of Consumer and Economic Sentiment in Forecasting Consumption: A Multi-Country Analysis. Applied Economics, 52 (10). pp. 1088-1104. ISSN 0003-6846. (doi:10.1080/00036846.2019.1659489) (KAR id:75917)
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Gausden, Robert, Hasan, Mohammad S. (2022) A reappraisal of Katona's adaptive theory of consumer behaviour using U.K. data. The Manchester School, . ISSN 1463-6786. E-ISSN 1467-9957. (doi:10.1111/manc.12395) (KAR id:91726)
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Geman, Helyette, Tunaru, Radu (2013) Commercial Real-Estate Inventory and Theory of Storage. Journal of Futures Markets, 33 (7). pp. 675-694. ISSN 0270-7314. (doi:10.1002/fut.21559) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:29382)

Georgakopoulos, Georgios, Gounopoulos, Dimitrios, Huang, Chen, Patsika, Victoria (2022) The impact of IFRS adoption on IPOs management earnings forecasts in Australia. Journal of International Accounting, Auditing and Taxation, 48 . Article Number 100490. ISSN 1061-9518. (doi:10.1016/j.intaccaudtax.2022.100490) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:92638)
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Gobbo, Giorgia and Papi, Luca and Bigoni, M. and Deidda Gagliardo, E (2016) La valutazione delle performance nelle pubbliche amministrazioni nella prospettiva del valore pubblico. In: Marchi, L. and Lombardi, R. and Anselmi, L., eds. Il governo aziendale tra tradizione e innovazione. FrancoAngeli, Milan, Italy, pp. 161-184. ISBN 978-88-917-3660-4. (KAR id:62147)
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Griffin, Jim E. and Mitrodima, Evangelia and Oberoi, Jaideep S (2018) Robustly Modelling the Scale and Shape Dynamics of Stock Return Distributions. Working paper. tbc 10.2139/ssrn.2777214. (Unpublished) (doi:10.2139/ssrn.2777214) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70635)

Griffin, Jim E., Mitrodima, Gelly, Oberoi, Jaideep S (2015) Decomposing the scale and shape dynamics of stock return distributions: A joint quantile model. In: Quantitative Methods in Finance Conference, 15 - 18 Dec 2015, Sydney, Australia. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71086)

Griffin, Jim E., Mitrodima, Gelly, Oberoi, Jaideep S (2016) Robustly Modelling the Scale and Shape Dynamics of Stock return Distributions. In: Financial Management Association Latin America Conference, 16 - 17 Feb 2017, Mexico City. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71082)

Griffin, Jim E., Mitrodima, Gelly, Oberoi, Jaideep S (2018) Robustly modelling the scale and shape dynamics of stock return distributions. In: 2018 IAAE International Association for Applied Econometrics Conference, 26 - 29 June 2018, Montreal, Canada. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71075)

Griffin, Jim E. and Oberoi, Jaideep S and Oduro, Samuel Dua (2018) Estimating The Probability Of Informed Trading: A Bayesian Approach. Working paper. tbc (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71272)

Griffin, Jim E., Oberoi, Jaideep S, Oduro, Samuel Dua (2021) Estimating the Probability of Informed Trading: A Bayesian approach. Journal of Banking & Finance, 125 . Article Number 106045. ISSN 0378-4266. (doi:10.1016/j.jbankfin.2021.106045) (KAR id:85796)
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Gyapong, Ernest, Afrifa, G.A. (2019) The Simultaneous Disclosure of Shareholder and Stakeholder Corporate Governance Practices and their Antecedents. International Journal of Finance and Economics, 24 (13). pp. 260-287. ISSN 1076-9307. (doi:10.1002/ijfe.1661) (KAR id:69052)
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Halabi, H., Alshehabi, A., Wood, G., Afrifa, G.A. (2021) The impact of international diversification on credit scores: Evidence from the UK. International Business Review, . ISSN 0969-5931. (doi:10.1016/j.ibusrev.2021.101856) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:87769)
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Hambly, Karen, Cohen, J. (2011) Using Programme Assessment to Promote Reflective Learning and Clinical Reasoning Skills in Sports Therapy: A Case Study. In: Assessment in HE conference, University of Cumbria, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64452)

Hanif, M., Iqbal, Abdullah (2010) Islamic Financing and Business Framework: A Survey. European Journal of Social Sciences, 15 (4). pp. 475-489. ISSN 1450-2267. (KAR id:25628)
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Hanif, Muhammad, Iqbal, Abdullah (2014) An Evaluation of Takaful Insurance: Case of Pakistan. Journal of Islamic Economics, Banking and Finance, 13 (1). ISSN 2070-4658. E-ISSN 2070-4666. (doi:10.2139/ssrn.2386497) (KAR id:62898)
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Hanif, Muhammad, Iqbal, Abdullah (2012) Inside-Out: Perception of Key Finance Professionals about Theory and Practice of Islamic Banking. International Journal of Humanities and Social Science, 2 (4). pp. 198-208. ISSN 2220-8488. E-ISSN 2221-0989. (KAR id:43726)
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Hanif, Muhammad, Iqbal, Abdullah, Shah, Zulfiqar (2019) Risk and Returns in Shari’a Compliant Cross-section Stocks : Evidence from an Emerging Market. Journal of Islamic Accounting and Business Research, 10 (5). pp. 621-643. ISSN 1759-0817. (doi:10.1108/JIABR-03-2016-0030) (KAR id:62903)
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Hanif, Muhammad, Iqbal, Abdullah, Shah, Zulfiqar (2016) Risk and Returns of Shar??ah Compliant Stocks on the Karachi Stock Exchange: A CAPM and SCAPM Approach. Journal of King Abdul Aziz University: Islamic Economics, 29 (2). pp. 37-54. ISSN 1658-4244. E-ISSN 7383-1018. (KAR id:59755)
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Hanif, Muhammad, Shah, Zulfiqar, Iqbal, Abdullah (2015) Impact of Real Sector Variables on Shari’a Compliant Stock Returns. Pakistan Journal of Commerce and Social Sciences, 9 (1). pp. 1-17. ISSN 1997-8553. (KAR id:55807)
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Hanousek, Jan, Kočenda, Evžen, Shamshur, Anastasiya (2015) Corporate efficiency in Europe. Journal of Corporate Finance, 32 . pp. 24-40. ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2015.03.003) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:78280)

Hanousek, Jan, Shamshur, Anastasiya, Svejnar, Jan, Tresl, Jiri (2021) Corruption level and uncertainty, FDI and domestic investment. Journal of International Business Studies, . ISSN 0047-2506. E-ISSN 1478-6990. (doi:10.1057/s41267-021-00447-w) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:88585)
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Hanousek, Jan, Shamshur, Anastasiya, Tresl, Jiri (2017) Firm efficiency, foreign ownership and CEO gender in corrupt environments. Journal of Corporate Finance, . ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2017.06.008) (KAR id:78279)
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Hasan, Md Rajibul (2016) Consumer Adoption of Pro-Poor Innovations in the Bottom of the Pyramid. Doctor of Philosophy (PhD) thesis, University of Kent. (KAR id:54347)
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Hasan, Mohammad S (1989) Autoregressive modelling of the St.Louis equation. In: 15th Annual Convention of the Eastern Economic Association, 3rd-5th March 1989, Baltimore. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23701)

Hasan, Mohammad S (2005) Business cycles, mortgage rates and housing starts in the United Kingdom - an empirical analysis. Briefing Notes in Economics, (67). pp. 1-13. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23571)

Hasan, Mohammad S (1994) Causality between defence spending and economic growth in China: a re-examination. Discussion paper. University of Northumbria, Newcastle upon Tyne (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23709)

Hasan, Mohammad S (2002) Concessional foreign capital inflows and domestic savings across countries: Dependency hypothesis re-visited. Journal of Economic Studies, 29 (6). pp. 388-422. ISSN 0144-3585. (doi:10.1108/01443580210448844) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23600)

Hasan, Mohammad S (1990) Cross-country application of the monetarists and fiscalists debate: Canada, West Germany and the UK. Working paper. Northeastern University, Boston, Boston (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23711)

Hasan, Mohammad S (1990) Dynamic adjustment of equilibrium income in error correction model. In: 16th Annual Convention of the Eastern Economic Association, 30th March - 1st April 1990, Cincinnati. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23700)

Hasan, Mohammad S (2006) Equilibrium and efficiency of exchange rates in a silver-based monetary system - the cases of India and Iran. Economics Letters, 93 (3). pp. 318-322. ISSN 0165-1765. (doi:10.1016/j.econlet.2006.05.022) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23568)

Hasan, Mohammad S (1983) External trade of Bangladesh in retrospect. Bangladesh Journal of Political Economy, 6 (2). (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23685)

Hasan, Mohammad S (2009) Financial Innovations and the Interest Elasticity of Money Demand in the United Kingdom, 1963–2009. International Journal of Business and Economics, 8 (3). pp. 225-242. ISSN 1607-0704. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23702)

Hasan, Mohammad S (2012) Forecasting dynamic hedge ratios and the Value at Risk using GARCH models: evidence from SP 500 FTSE 100 and NIKKEI 225. In: The 2nd International Conference of the Financial Engineering and Banking Society on the ‘Recent Development in Financial Markets and Banking’, 7-8 June 2012, ESCP Europe Business School, London. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35270)

Hasan, Mohammad S (1982) Inflation in Bangladesh: a query for the causative factors. Bank Parikrama (Bank Review), VII (4). (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23687)

Hasan, Mohammad S (1983) Interest rate as a factor for financing the rural poor: some observations and remarks. Bank Parikrama (Bank Review), VIII (2). (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23686)

Hasan, Mohammad S (2001) Is there a long run relationship between population growth and living standards? The case of India - a re-examination. Indian Economic Journal, 48 (4). pp. 27-34. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23607)

Hasan, Mohammad S (2010) Modeling the Dynamics of Money Income from a Vector Correction Model. Journal of Developing Areas, 43 (2). pp. 233-253. ISSN 0022-037X. (doi:10.1353/jda.0.0067) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23564)

Hasan, Mohammad S (1999) Monetary growth and inflation in China: A re-examination. Journal of Comparative Economics, 27 (4). pp. 669-685. ISSN 0147-5967. (doi:10.1006/jcec.1999.1607) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23608)

Hasan, Mohammad S (1995) Monetary policy, fiscal policy and aggregate economic activity in a vector autoregressive model. Discussion paper. University of Northumbria, Newcastle upon Tyne (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23707)

Hasan, Mohammad S (1997) Money, price and causality in mainland China. Bangladesh Development Studies, 25 (1 & 2). (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23613)

Hasan, Mohammad S (1999) New Evidence on Casual Relationships between the Money Supply, Prices and Wages in the UK. Economic Issues, 4 (2). pp. 75-87. ISSN 1363-7029. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23609)

Hasan, Mohammad S (2004) On the validity of the random walk hypothesis applied to the Dhaka stock exchange. International Journal of Theoretical and Applied Finance, 7 (8). pp. 1069-1085. ISSN 0219-0249. (doi:10.1142/S0219024904002797) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23577)

Hasan, Mohammad S (2011) Seasonal Cointegration and Long-run Neutrality of Money in the USA. Economic Notes, 40 (3). pp. 93-105. ISSN 0391-5026. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28290)

Hasan, Mohammad S (2008) Stock returns, inflation and interest rates in the United Kingdom. European Journal of Finance, 14 (8). pp. 687-699. ISSN 1351-847X. (doi:10.1080/13518470802042211) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23563)

Hasan, Mohammad S (2004) Univariate time series behaviour of the real exchange rate: evidence from colonial India. Economics Letters, 84 (1). pp. 75-80. (doi:10.1016/j.econlet.2003.12.012) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23580)

Hasan, Mohammad S (1990) Vector autoregression and atheoretical econometrics. Social Science Perspectives Journal, 4 (3). (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23684)

Hasan, Mohammad S (2005) An alternative approach in investigating lead-lag relationships between stock and stock index futures markets - comment. Applied Financial Economics Letters, 1 (2). pp. 125-130. (doi:10.1080/17446540500047296) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23575)

Hasan, Mohammad S (2001) The behaviour of the currency-deposit ratio in mainland China. Applied Financial Economics, 11 (6). pp. 659-668. ISSN 0960-3107. (doi:10.1080/096031001753266948) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23605)

Hasan, Mohammad S (2006) A century of Purchasing Power Parity: evidence from Canada and Australia. Applied Financial Economics, 16 (1/2). pp. 145-156. ISSN 0960-3107. (doi:10.1080/09603100500390091) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23572)

Hasan, Mohammad S (1998) The choice of appropriate monetary aggregates in the United Kingdom. Applied Economics Letters, 5 (9). pp. 563-568. ISSN 1350-4851. (doi:10.1080/758529500) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23610)

Hasan, Mohammad S (2007) The dynamic relationship between fertility rate and its proximate determinants in Bangladesh. In: Islam, M.Faizul and Andaleeb, Syed S, eds. Development Issues of Bangladesh Vol III - Quality of Life and Human Development. University Press Limited, Dhaka, pp. 253-267. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23695)

Hasan, Mohammad S (2008) An empirical investigation the long-run relationship between population growth and per capita income in Bangladesh. In: Andaleeb, Syed S, ed. The Bangladesh Economy: Diagnoses Prescriptions, Selection from the Journal of Bangladesh Studies. University Press Limited, Dhaka. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23688)

Hasan, Mohammad S (2006) An empirical investigation to determine the long-run relationship between population growth and per capita income in Bangladesh. Journal of Bangladesh Studies, 7 (2). pp. 16-26. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23573)

Hasan, Mohammad S (2005) The information content of M0 in the United Kingdom. Applied Economics Letters, 12 (11). pp. 711-717. (doi:10.1080/13504850500243904) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23574)

Hasan, Mohammad S (2003) The long run relationship between population growth and per capita income in mainland China. In: Bangladesh Institute of Development Studies Seminar, 27th August 2003, Bangladesh Institute of Developemt Studies, Bangladesh. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23699)

Hasan, Mohammad S (2010) The long-run relationship between population and per capita income growth in China. Journal of Policy Modeling, 32 (3). pp. 355-372. ISSN 0161-8938. (doi:10.1016/j.jpolmod.2009.09.005) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:24905)

Hasan, Mohammad S (2002) The long-run relationship between population and per capita income in Bangladesh. Bangladesh Development Studies, 28 (3). pp. 65-84. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23597)

Hasan, Mohammad S (2006) The prices of silver and exchange rates in a metallic monetary system - the cases of India and Iran. Empirical Economics, 31 (1). pp. 195-206. ISSN 0377-7332. (doi:10.1007/s00181-005-0037-2) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23570)

Hasan, Mohammad S (2015) The relationship between economic growth and exports in mainland China:evidence from the structural time series model. The Empirical Economics Letters, 14 (6). pp. 537-542. ISSN 1681- 8997. (KAR id:37040)
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Hasan, Mohammad S., Gausden, Robert, Kume, Ortenca (2021) An examination of higher-moment contagion during the South Sea Bubble. Applied Economics Letters, . ISSN 1350-4851. E-ISSN 1466-4291. (doi:10.1080/13504851.2021.1971612) (KAR id:90049)
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Hasan, Mohammad S and Choudhry, Taufiq (2013) On the Effectiveness of Dynamic Stock Index Portfolio Hedging. In: Batten, Jonathan A. and MacKay, Peter and Wagner, Niklas, eds. Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios. Palgrave Macmillan, Basingstoke, pp. 364-390. ISBN 978-1-137-02508-1. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35267)

Hasan, Mohammad S, Choudhry, Taufiq (2011) The effectiveness of dynamic hedging: evidence from emerging markets stock futures. In: 18th Annual Meeting of the Multinational Finance Society, 26-29 June 2011, Rome, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35273)

Hasan, Mohammad S, Choudhry, Taufiq, Zhang, Yuanyuan (2020) An Econometric Investigation of Hedging Performance of Stock Index Futures in Korea: Dynamic versus Static Hedging. International Journal of Banking Accounting and Finance, 11 (2). pp. 227-253. ISSN 1755-3830. (doi:10.1504/IJBAAF.2020.106712) (KAR id:69240)
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Hasan, Mohammad S, Choudhry, Toufiq (2016) An econometric investigation of hedging performance of stock index futures in Korea: dynamic versus static hedging. In: International Conference on Accounting, Finance and Financial Institutions, 19-21 October 2016, Poznan, Poland. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62690)

Hasan, Mohammad S, Gausden, Robert (2020) Hedging with Futures: A Second Generation Review. In: World Finance Conference 2020: E-Proceedings. . p. 64. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:83959)

Hasan, Mohammad S and Islam, M.Faizul (2002) The effects of the U.S. public debt on key macroeconomic variables. Technical report. Office of the Inspector General of the US Treasury, Washington D.C (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23706)

Hasan, Mohammad S, Islam, M.Faizul (2004) The monetary approach to the determination of the dollar-yen exchange rates: a cointegration analysis. In: Eastern Economic Association Annual Conference, February 20th-22nd 2004, Washington D.C. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23698)

Hasan, Mohammad S, Lincoln, Ian (1997) Tax then spend or spend then tax? Experience in the UK, 1961-93. Applied Economics Letters, 4 (4). pp. 237-239. ISSN 1350-4851. (doi:10.1080/758518502) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23612)

Hasan, Mohammad S, Taghavi, Majid (1996) Money, output, price and causality in mainland China. Applied Economics Letters, 3 (2). pp. 101-105. ISSN 1350-4851. (doi:10.1080/135048596356799) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23614)

Hasan, Mohammad S, Taghavi, Majid (2002) Residential investment, macroeconomic activity and financial deregulation in the UK: an empirical investigation. Journal of Economics and Business, 54 (4). pp. 447-462. (doi:10.1016/S0148-6195(02)00093-0) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23604)

Hassan, Kabir, Marwan, Izzeldin, Pappas, Vasileios (2019) Forecasting Realised Volatility Using ARFIMA and HAR Models. Quantitative Finance, 19 (10). pp. 1627-1638. ISSN 1469-7688. (doi:10.1080/14697688.2019.1600713) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:73245)
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Hilson, A (2017) Corporate Environmental Responsibility. In: The International Encyclopaedia of Geography: People, the Earth, Environment, and Technology. John Wiley & Sons, Ltd.. ISBN 978-1-118-78635-2. (doi:10.1002/9781118786352.wbieg1141) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:81034)

Hilson, A. (2017) Entrepreneurship, poverty and accountability: critical reflections on the impact of Ghana’s local content laws on affected communities. In: BOOK OF ABSTRACTS. . (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:81048)

Hilson, A. (2017) A Stakeholder Legitimacy versus Salience: A case of Offshore CSR in Ghana’s Oil Industry. In: the 4th International Conference on CSR, Sustainability, Ethics and Governance, 26-28 July 2017, Perth, Australia. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:81049)

Hilson, A. (2016) Sustainable Development and Industry Self-regulation: Developments in the Global Mining Sector. Social and Environmental Accountability Journal, 36 (3). pp. 205-206. ISSN 0969-160X. (doi:10.1080/0969160X.2016.1235398) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:80599)

Hilson, A., Hilson, G., Dauda, S. (2019) Corporate Social Responsibility at African mines: Linking the past to the present. Journal of Environmental Management, 241 . pp. 340-352. ISSN 0301-4797. (doi:10.1016/j.jenvman.2019.03.121) (KAR id:80595)
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Hilson, G. and Hilson, A. (2015) Entrepreneurship, poverty and sustainability: Critical reflections on the formalisation of small-scale mining in Ghana. Working paper. International Growth Centre, UK (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:81045)

Hilson, G. and Hilson, A. (2017) Mining in Ghana: Critical Reflections on the Turbulent Past and Uncertain Future. In: Aryeetey, E, and Kenbur, R., eds. The Economy of Ghana Sixty Years After Independence. Oxford University Press, Oxford, UK, pp. 261-278. ISBN 978-0-19-875343-8. (doi:10.1093/acprof:oso/9780198753438.003.0016) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:81047)

Hilson, G., Hilson, A., Adu-Darko, E. (2014) Chinese participation in Ghana's informal gold mining economy: Drivers, implications and clarifications. Journal of Rural Studies, 34 . pp. 292-303. ISSN 0743-0167. (doi:10.1016/j.jrurstud.2014.03.001) (KAR id:80602)
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Hilson, G., Hilson, A., Maconachie, R. (2018) Opportunity or necessity? Conceptualizing entrepreneurship at African small-scale mines. Technological Forecasting and Social Change, 131 . pp. 286-302. ISSN 0040-1625. (doi:10.1016/j.techfore.2017.12.008) (KAR id:80597)
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Hilson, G., Hilson, A., Maconachie, R., McQuilken, J., Goumandakoye, H. (2017) Artisanal and small-scale mining (ASM) in sub-Saharan Africa: Re-conceptualizing formalization and ‘illegal’ activity. Geoforum, 83 . pp. 80-90. ISSN 0016-7185. (doi:10.1016/j.geoforum.2017.05.004) (KAR id:80598)
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Hilson, G., Hilson, A., McQuilken, J. (2016) Ethical minerals: Fairer trade for whom? Resources Policy, 49 . pp. 232-247. ISSN 0301-4207. (doi:10.1016/j.resourpol.2016.05.002) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:80600)

Hilson, G., Hilson, A., Siwale, A., Maconachie, R. (2018) Female Faces in Informal ‘Spaces’: Women and Artisanal and Small-scale Mining in sub-Saharan Africa. Africa Journal of Management, 4 (3). pp. 306-346. ISSN 2332-2373. (doi:10.1080/23322373.2018.1516940) (KAR id:80596)
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Hilson, G., Mondlane, Salvador, Hilson, A., Arnall, Alex, Laing, Tim (2021) Formalizing Artisanal and Small-Scale Mining in Mozambique: Concerns, Priorities and Challenges. Resources Policy, 71 . Article Number 102001. ISSN 0301-4207. (doi:10.1016/j.resourpol.2021.102001) (KAR id:85609)
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Hilson, Gavin, Van Bockstael, Steven, Sauerwein, Titus, Hilson, Abigail, McQuilken, James (2020) Artisanal and small-scale mining, and COVID-19 in sub-Saharan Africa: A preliminary analysis. World Development, 139 . Article Number 105315. ISSN 0305-750X. (doi:10.1016/j.worlddev.2020.105315) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:85610)
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Hizmeri, Rodrigo, Izzeldin, Marwan, Nolte, Ingmar, Pappas, Vasileios (2022) A generalized heterogeneous autoregressive model using market information. Quantitative Finance, . ISSN 1469-7688. (doi:10.1080/14697688.2022.2076606) (KAR id:94915)
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Horvath, Lajos, Liu, Zhenya, Rice, Gregory, Zhao, Y. (2022) Detecting common breaks in the means of high dimensional cross-dependent panels. Econometrics Journal, 25 (2). pp. 362-383. ISSN 1368-4221. (doi:10.1093/ectj/utab028) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:95054)
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Horváth, Lajos, Rice, Gregory, Zhao, Y. (2022) Change point analysis of covariance functions: A weighted cumulative sum approach. Journal of Multivariate Analysis, 189 . Article Number 104877. ISSN 0047-259X. (doi:10.1016/j.jmva.2021.104877) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:95053)
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Hosseini, Seyedmehdi (2021) Stock Market and Its Determinants: Three Empirical Studies. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.88049) (KAR id:88049)
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Huang, Chen (2021) Does CEO overconfidence matter for shareholders’ wealth? Evidence from the UK takeover market. International Journal of Banking Accounting and Finance, 12 (3). pp. 266-284. ISSN 1755-3830. E-ISSN 1755-3849. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:87483)
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Huynh, T.L.D., Ahmed, R., Nasir, M.A., Shahbaz, M., Huynh, N.Q.A. (2021) The nexus between black and digital gold: evidence from US markets. Annals of Operations Research, . ISSN 0254-5330. (doi:10.1007/s10479-021-04192-z) (KAR id:96233)
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Iqbal, Abdullah (2008) The importance of the sequence in UK rights issues. Journal of Business Finance and Accounting, 35 (1-2). pp. 150-176. ISSN 0306-686X. (doi:10.1111/j.1468-5957.2007.02070.x) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9653)

Iqbal, Abdullah (2011) The long-run performance of firms making multiple rights issues. In: IFABS 2011, 30 Jun - 2 Jul 2011, Rome, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64807)

Iqbal, Abdullah (2005) The performance of firms making multiple rights issues in the UK. In: 12th Annual Conference of the Multinational Finance Society, 3-6 Jul 2005, Athens, Greece. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64800)

Iqbal, Abdullah, Akbar, Saeed, Shiwakoti, Radha K. (2013) The long run performance of UK firms making multiple rights issues. International Review of Financial Analysis, 28 (June). pp. 156-165. ISSN 1057-5219. (doi:10.1016/j.irfa.2013.03.003) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:43725)

Iqbal, Abdullah, Espenlaub, Susanne, Strong, Norman (2009) Earnings management around UK open offers. European Journal of Finance, 15 (1). pp. 29-51. ISSN 1351-847X. (doi:10.1080/13518470701705652) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9654)

Iqbal, Abdullah, Espenlaub, Susanne, Strong, Norman (2006) The long-run performance of UK rights issuers. Frontiers in Finance and Economics, 3 (2). p. 36. ISSN 1814-2044. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9651)

Iqbal, Abdullah, Farooqi, M. Nauman, Saunders, Kent T. (2006) Teaching methods and assessment techniques used for the introductory level undergraduate finance courses in British and Irish universities. Journal of Economics and Finance Education, 5 (1). p. 15. ISSN 1543-0464. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9652)

Iqbal, Abdullah, Hanif, Muhammad, Shah, Zulfiqar (2013) Impact of Real-Sector Macroeconomic Variables on Shari’a Compliant Cross-Section Stock Returns. In: 5th SAICON Conference 2013, 04-06 Dec 2013, Bhurban, Murree, Pakistan. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64810)

Iqbal, Abdullah, Hanif, Muhammad, Shah, Zulfiqar (2014) Risk and Returns in Shari’a Compliant Cross-section Stocks: Developing an Asset Pricing Model. In: 4th Islamic Banking Conference 2014, 23-24 Jun 2014, Lancaster, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64814)

Iqbal, Abdullah, Kanwer, Aneel (2007) Exploring time variation of stock betas in Pakistan. In: 9th ISINI Conference, 22-26 Aug 2007, Bacau, Romania. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64802)

Iqbal, Abdullah, Khan, Iram A., Ahmad, Zeeshan (2015) Earnings Management around Privatizations: Evidence from Pakistan. The Pakistan Development Review, 54 (2). pp. 79-96. ISSN 0030-9729. (KAR id:23530)
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Iqbal, Abdullah, Khan, Iram A., Ahmad, Zeeshan (2009) Earnings Management around Privatizations: Evidence from Pakistan. In: The Asian Finance Association 2009 International Conference, 30 Jun - 3 Jul 2009, Brisbane, Australia. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64805)

Iqbal, Abdullah, Kume, Ortenca (2014) Global financial crisis and capital structure of European firms. In: 6th SAICON Conference 2014, 11-13 Aug 2014, Islamabad, Pakistan. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64811)

Iqbal, Abdullah, Kume, Ortenca (2013) Impact of financial crisis on capital structure of European firms. In: 20th Annual Conference of the Multinational Finance Society 2013, 30 Jun - 3 Jul 2013, Izmir, Turkey. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64808)

Iqbal, Abdullah and Meqbel, Rasmi and Acquaye, Adolf and Alshehabi, Ahmad (2021) CREATING LEGITIMACY THROUGH SUSTAINABILITY ASSURANCE: EVIDENCE FROM EUROPE. Working paper. Kent University (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:89970)

Iqbal, Abdullah and Nguyen, Nguyet Thi Minh and Shiwakoti, Radha K. (2015) Does earnings management spread through board interlocks? Working paper. Kent, UK (Submitted) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:64817)
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Iqbal, Abdullah, Strong, Norman (2010) The effect of corporate governance on earnings management around UK rights issues. International Journal of Managerial Finance, 6 (3). pp. 168-189. ISSN 1743-9132. (doi:10.1108/17439131011056215) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23521)

Iqbal, Abdullah, Strong, Norman, Espenlaub, Susanne (2004) Earnings management and corporate governance around UK rights issues. In: 11th Annual Conference of the Multinational Finance Society, 4-7 Jul 2004, Istanbul, Turkey. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64799)

Iqbal, Abdullah, Strong, Norman, Espenlaub, Susanne (2003) Earnings management and the performance of UK open offering firms. In: 2003 ISINI CONFERENCE, 20-23 August 2003, Lille, France. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64797)

Iqbal, Abdullah, Strong, Norman, Espenlaub, Susanne (2002) Earnings management and the performance of UK rights issuers. In: Northern Finance Association Conference 2002, 25-27 September 2002, Banff, Canada. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64798)

Islam, M.Faizul, Hasan, Mohammad S (2007) The Macroeconomic Effects of Government Debt on Capital Formation in the United States: An Empirical Investigation. Manchester School, 75 (5). pp. 598-616. ISSN 1463-6786. (doi:10.1111/j.1467-9957.2007.01032.x) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23567)

Islam, M.Faizul, Hasan, Mohammad S (2006) The Monetary Model of the Dollar-Yen Exchange Rate Determination: A Cointegration Approach. International Journal of Business and Economics, 5 (2). pp. 129-145. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23569)

Izzeldin, Marwan, Johnes, Jill, Ongena, Steven, Pappas, Vasileios, Tsionas, Mike (2020) Efficiency Convergence in Islamic and Conventional Banks. Journal of International Financial Markets, Institutions & Money, . Article Number 101279. ISSN 1042-4431. (doi:10.1016/j.intfin.2020.101279) (KAR id:84092)
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Izzeldin, Marwan, Muradoğlu, Gülnur, Pappas, Vasileios, Sivaprasad, Sheeja (2021) The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model. International Review of Financial Analysis, 74 . Article Number 101671. ISSN 1057-5219. (doi:10.1016/j.irfa.2021.101671) (KAR id:85238)
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Jatmiko, Wahyu, Ebrahim, Muhammad-Shahid, Iqbal, Abdullah, Wojakowski, Rafal M. (2022) Can Trade Credit Rejuvenate Islamic Banking? Review of Quantitative Finance and Accounting, . ISSN 0924-865X. E-ISSN 1573-7179. (doi:10.1007/s11156-022-01092-6) (KAR id:96008)
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Ji, Q., Zhang, D., Zhao, Y. (2021) Intra-day co-movements of crude oil futures: China and the international benchmarks. Annals of Operations Research, . ISSN 0254-5330. (doi:10.1007/s10479-021-04097-x) (KAR id:93920)
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Ji, Q., Zhang, D., Zhao, Y. (2020) Searching for safe-haven assets during the COVID-19 pandemic. International Review of Financial Analysis, 71 . Article Number 101526. ISSN 1057-5219. (doi:10.1016/j.irfa.2020.101526) (KAR id:93922)
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Ji, Qiang, Ripple, Ronald D., Zhang, Dayong, Zhao, Yuqian (2022) Cryptocurrency Bubble on the Systemic Risk in Global Energy Companies. Energy Journal, 43 (SI). pp. 1-24. ISSN 0195-6574. (doi:10.5547/01956574.43.SI1.qiji) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:95055)
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Johnes, J., Izzeldin, M., Pappas, Vasileios (2013) A comparison of performance of Islamic and conventional banks 2004-2009. Journal of Economic Behavior and Organization, 103 (suppl.). S93-S107. ISSN 0167-2681. (doi:10.1016/j.jebo.2013.07.016) (KAR id:66105)
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Jupe, Robert E., Funnell, Warwick N. (2015) Neoliberalism, consultants and the privatisation of public policy formulation: The case of Britain's rail industry. Critical Perspectives on Accounting, 29 . pp. 65-85. ISSN 1045-2354. (doi:10.1016/j.cpa.2015.02.001) (KAR id:49119)
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Jupe, Robert E., Funnell, Warwick N. (2017) A highly successful model? The rail franchising business in Britain. Business History, 59 (6). pp. 844-876. ISSN 0007-6791. E-ISSN 1743-7938. (doi:10.1080/00076791.2016.1270268) (KAR id:59479)
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Jupe, Robert E., Funnell, Warwick N., Anderson, Jane (2009) In Government We Trust: Market Failure and the Delusions of Privatisation. Pluto Press, 309 pp. ISBN 978-0-7453-2908-6. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:24400)

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Kanwer, Aneel and Iqbal, Abdullah (2008) Exploring Time Variation of Stock Betas in Pakistan. In: Issues in Global Business and Management Research: Proceedings of the 2008 International Online Conference on Business and Management (IOCBM 2008). Universal Publishers, Boca Raton, Florida, USA, pp. 49-71. ISBN 978-1-59942-944-1. (KAR id:64803)
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Karagiannis, N., Assa, H., Pantelous, A.A., Turvey, C.G. (2016) Modelling and pricing of catastrophe risk bonds with a temperature-based agricultural application. Quantitative Finance, 16 (12). pp. 1949-1959. ISSN 1469-7688. (doi:10.1080/14697688.2016.1211791) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87567)

Katsikas, Epameinondas (2004) Cost effectiveness analysis as a managerial tool in Technological Educational Institutes in Greece. In: 1st International Conference on Enterprise systems and Accounting, (ICESA cc’04), Sept. 2004, Thessaloniki, Greece. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35209)

Katsikas, Epameinondas (2005) Estimating Returns in Higher Education: The case of the business planning and information systems department of the Technological Educational Institute of Patras, Greece. In: International Research Conference for Accounting Educators, September 2005, Bordeaux, France. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35208)

Katsikas, Epameinondas (2009) Financial Statement Analysis regarding Profitability and Earnings Management of Greek Domestic and Multinational Firms. In: 6th International Conference on Enterprise systems, Accounting and Logistics, (ICESAL cc’09), May 2009, Thessaloniki, Greece. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35206)

Katsikas, Epameinondas (2011) The Transforming Role of the Audit Expectation Gap. Banking Finance Markets, 1 (8). pp. 24-27. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35202)

Katsikas, Epameinondas (2007) Volatility and Autocorrelation in European Futures Markets. Managerial Finance, 33 (3). pp. 236-240. ISSN 0307-4358. (doi:10.1108/03074350710718301) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35203)

Katsikas, Epameinondas, Brahma, Sanjukta, Wangeci, Susan (2015) Effects of interest and exchange rates on bank stock returns. Evidence from Kenya. In: International Conference of the Financial Engineering and Banking Society, 11 - 13 June 2015, Audencia Nantes School of Management, France.. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:54192)

Katsikas, Epameinondas, Dixon, R., Woodhead, A. (2008) Institutions of Higher Education: Is there change or no change? In: New Public Sector Seminar, University of Edinburgh Business School, Scotland. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35207)

Katsikas, Epameinondas, Dixon, Robert, Woodhead, Anne (2013) Management accounting change from a hybrid institutional and managerial perspective. In: 22nd IBIMA conference on Creating Global Competitive Economies: 2020 Vision Planning & Implementation proceedings, 13-14 Nov 2013, Rome, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:54189)

Katsikas, Epameinondas, Dixon, Robert, Woodhead, Anne (2014) Management accounting change from a hybrid institutional and managerial perspective. In: 37th Annual Congress of the European Accounting Association, 21 – 23 May, 2014, Tallinn, Estonia. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:54190)

Katsikas, Epameinondas, Dixon, Robert, Woodhead, Anne (2014) The development of a framework for understanding management accounting change from a hybrid institutional and managerial perspective. In: 8th International EISAM Public Sector Conference, 2-4 September, 2014, Edinburgh, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:54191)

Katsikas, Epameinondas, Manes Rossi, Francesca, Orelli, Rebecca (2017) Towards Integrated Reporting: Accounting Change in the Public Sector. SpringerBriefs in Accounting . Springer, New York, USA, 125 pp. ISBN 978-3-319-47234-8. E-ISBN 978-3-319-47235-5. (doi:10.1007/978-3-319-47235-5) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57122)

Katsikas, Epameinondas and Orelli, Rebecca and Padovani, Emanuele and Del Sordo, Carlotta (2013) From E-government to E-governance in Europe. In: From Government to E-Governance: Public Administration in the Digital Age. ICI Global, pp. 195-208. ISBN 978-1-4666-1909-8. E-ISBN 978-1-4666-1910-4. (Unpublished) (doi:10.4018/978-1-4666-1909-8.ch011) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:54188)

Khurram, Aamina (2022) Systemic risk, competition, and governance in alternative financial systems. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.94120) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:94120)
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King, Timothy and Bowden, James and Loncan, Tiago and Lopes, Francesco Saverio Stentella and Koutmos, Dimitrios (2021) A Taxonomy of FinTech Innovation. In: King, Timothy and Lopes, Francesco Saverio Stentella and Srivastav, Abhishek and Williams, Jonathan, eds. Disruptive Technology in Banking and Finance: An International Perspective on FinTech. Palgrave Studies in Financial Services Technology . Palgrave Macmillan, United Kingdom, pp. 47-86. ISBN 978-3-030-81837-1. E-ISBN 978-3-030-81835-7. (doi:10.1007/978-3-030-81835-7) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91474)
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King, Timothy, Bozos, Konstantinos, Koutmos, Dimitrios (2017) Shareholder activism and equity price reactions. Economics Letters, 160 . 100 - 104. ISSN 0165-1765. (doi:10.1016/j.econlet.2017.09.012) (KAR id:67669)
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King, Timothy and Harrison, Tina and Srivastav, Abhishek and Pareek, Vandana (2021) Can FinTech Deliver a Customer-Centric Experience? An Abstract. In: AMSWMC 2019: Enlightened Marketing in Challenging Times. Springer, United Kingdom, pp. 503-504. ISBN 978-3-030-42547-0. (doi:10.1007/978-3-030-42545-6_171) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91618)
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King, Timothy, Koutmos, Dimitrios (2021) Herding and Feedback Trading in Cryptocurrency Markets. Annals of Operations Research, . ISSN 0254-5330. E-ISSN 1572-9338. (doi:10.1007/s10479-020-03874-4) (KAR id:85372)
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King, Timothy and Koutmos, Dimitrios and Lopes, Francesco Saverio Stentella (2021) Cryptocurrency Mining Protocols: A Regulatory and Technological Overview. In: King, Timothy and Lopes, Francesco Saverio Stentella and Srivastav, Abhishek and Williams, Jonathan, eds. Disruptive Technology in Banking and Finance: An International Perspective on FinTech. Palgrave Studies in Financial Services Technology . Palgrave Macmillan, United Kingdom, pp. 93-133. ISBN 978-3-030-81837-1. E-ISBN 978-3-030-81835-7. (doi:10.1007/978-3-030-81835-7) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91483)
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King, Timothy, Koutmos, Dimitrios, Zoppounidis, Constantin (2021) Hedging uncertainty with cryptocurrencies: Is bitcoin your best bet? Journal of Financial Research, . ISSN 0270-2592. E-ISSN 1475-6803. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:88339)
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King, Timothy, Loncan, Tiago, Khan, Zaheer (2021) Investment, leverage and political risk: Evidence from project-level FDI. Journal of Corporate Finance, 67 . Article Number 101873. ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2020.101873) (KAR id:85375)
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King, Timothy and Lopes, Francesco Saverio Stentella and Srivastav, Abhishek and Williams, Jonathan (2021) Introduction. In: King, Timothy and Lopes, Francesco Saverio Stentella and Srivastav, Abhishek and Williams, Jonathan, eds. Disruptive Technology in Banking and Finance: An International Perspective on FinTech. Palgrave Studies in Financial Services Technology . Palgrave Macmillan, United Kingdom, pp. 1-8. ISBN 978-3-030-81837-1. E-ISBN 978-3-030-81835-7. (doi:10.1007/978-3-030-81835-7) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91472)
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King, Timothy and Previati, Angelo (2021) FinTech Cultures and Organizational Changes in Financial Services Providers. In: King, Timothy and Lopes, Francesco Saverio Stentella and Srivastav, Abhishek and Williams, Jonathan, eds. Disruptive Technology in Banking and Finance: An International Perspective on FinTech. Palgrave Studies in Financial Services Technology . Palgrave Macmillan, pp. 195-217. ISBN 978-3-030-81837-1. E-ISBN 978-3-030-81835-7. (doi:10.1007/978-3-030-81835-7) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91492)
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King, Timothy, Srivastav, Abhishek, Williams, Jonathan (2016) What's in an education? Implications of CEO education for bank performance. Journal of Corporate Finance, 37 . 287 -308. ISSN 0929-1199. (doi:10.1016/j.jcorpfin.2016.01.003) (KAR id:67670)
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Kume, Ortenca (2003) Determinants of Credit Spreads for Corporate Bonds. In: Summer School in Financial Economics and Econometrics, Centre for Financial Studies, Frankfurt, Germany. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25904)

Kume, Ortenca (2010) Determinants of corporate credit spreads. In: 46 th British Accounting Association Regional Conference., 30 March to 1 April 2010, Cardiff City Hall, 30 March to 1 April. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35924)

Kume, Ortenca (2003) UK Share Repurchases: Market Reaction to Various Motives Provided in Announcements. In: BAA Scottish Regional Conference. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25903)

Kume, Ortenca, Iqbal, Abdullah (2014) Impact of Financial Crisis on Firms’ Capital Structure in UK, France, and Germany. Multinational Finance Journal, 18 (3/4). pp. 249-280. ISSN 1096-1879. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:46656)
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Kume, Ortenca and Weir, C (2012) Relationship between bond ratings and credit spreads. Working paper. Kent Business School (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35916)

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Leccadito, Arturo, Paletta, Tommaso, Tunaru, Radu (2016) Pricing and Hedging Basket Options with Exact Moment Matching. Insurance: Mathematics and Economics, 69 . pp. 59-69. ISSN 0167-6687. (doi:10.1016/j.insmatheco.2016.03.013) (KAR id:55064)
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Leccadito, Arturo, Toscano, Pietro, Tunaru, Radu (2012) Hermite Binomial Trees: A Novel Technique for Derivatives Pricing. International Journal of Theoretical and Applied Finance, 15 (8). pp. 1-36. ISSN 0219-0249. (doi:10.1142/S0219024912500586) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33016)

Leccadito, Arturo, Tunaru, Radu, Urga, Giovanni (2015) Trading strategies with implied forward credit default swap spreads. Journal of Banking and Finance, 58 . pp. 361-375. ISSN 0378-4266. E-ISSN 1872-6372. (doi:10.1016/j.jbankfin.2015.04.018) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50883)

Li, X., Ahmed, R., Than, E.T., Ishaque, M., Huynh, T.L.D. (2021) Gender diversity of boards and executives on real earnings management in the bull or bear period: Empirical evidence from China. International Journal of Finance and Economics, . ISSN 1076-9307. (doi:10.1002/ijfe.2562) (KAR id:96234)
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Liao, Ying-Ying, Soltani, Ebrahim, Wang, Wei-Yuan, Iqbal, Abdullah (2016) The dynamics of workplace relationships in a diverse internationally staffed organisation: a qualitative ethnographic assessment. The International Journal of Human Resource Management, Online (online). pp. 1-30. ISSN 0958-5192. E-ISSN 1466-4399. (doi:10.1080/09585192.2016.1166788) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:55806)

Lowe, Ben and Hasan, Md Rajibul and Jose, Saju Vallaria (2018) A Conceptual Model of Pro-poor Innovation Adoption in the BOP and Subsistence Marketplaces. In: Singh, Ramendra, ed. Bottom of Pyramid Marketing: Shaping and Developing BOP Markets. Marketing in Emerging Markets . Emerald. ISBN 978-1-78714-556-6. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66712)

Lu, S. (2019) Monte Carlo analysis of methods for extracting risk-neutral densities with affine jump diffusions. Journal of Futures Markets, 39 (12). pp. 1587-1612. (doi:10.1002/fut.22049) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:89962)

Lu, S. (2019) Testing the Predictive Ability of Corridor Implied Volatility Under GARCH Models. Asia-Pacific Financial Markets, 26 (2). pp. 129-168. ISSN 1387-2834. (doi:10.1007/s10690-018-9262-5) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:89963)

Lu, S., Phimister, E. (2021) 10th International conference on futures and other derivatives (ICFOD). In: 10th International conference on futures and other derivatives (ICFOD), 11 - 12 Dec 2021, Nanning, China. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:93487)

Lu, S., Phimister, E. (2021) 15th International conference on computational and financial econometrics (CFE-CMStatistics). In: 15th International conference on computational and financial econometrics (CFE-CMStatistics), 18-20 Dec 2021, King's College London, London, UK. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:93486)

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Madini, P.M. (2019) Accounting for non-specialists: the use of case studies for students’ participative learning. In: 42nd Annual Congress of the European Accounting Association, 28-31 May 2019, Paphis, Cyprus. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:74080)

Madini, P.M. (2010) Budget process design: top-down and bottom-up procedures and the determinants of their adoption. Doctor of Philosophy (PhD) thesis, Bocconi University. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57849)

Madini, P.M. (2008) Drivers of resistance to changing the budget proposal: A case study of a negotiated budgetary process. In: EEA 31st Annual Congress, 23-25 April 2008, Rotterdam, The Netherlands. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57854)

Madini, P.M. (2017) Survey Research Design. In: Socializing Business Research (SBR) conference 2017, 5-7th June 2017, Kent, UK. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62088)

Madini, P.M., Dossi, A. (2015) Determinants Of Company Adoption Of A Top Down - Bottom Up Budget Process Procedure. In: American Accounting Association Annual Meeting, 7-12 August 2015, Chicago, USA. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57851)

Madini, P.M., Dossi, A. (2011) Determinants Of Company Adoption Of A Top Down - Bottom Up Budget Process Procedure. In: European Accounting Association • 34th Annual Congress, 20-22 April 2011, Rome, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57853)

Madini, P.M., Dossi, A. (2012) Determinants of company adoption of a top down - bottom up budget process procedure. In: Manufacturing Accounting Research Conference, 13 - 15 June 2012, Brussels, Belgium. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57852)

Madini, P.M., Dossi, A. (2010) Determinants of company adoption of a top down - bottom up budget process procedure. In: 7th New Directions in Management Accounting Conference, 15-17 December 2010, Brussels, Belgium. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57855)

Madini, P.M. and Lissoni, A. (2006) The Wolters Kluwer case. In: Digitalizing the administrative processes. EGEA SpA, Milan, Italy, pp. 78-88. ISBN 978-88-238-4145-1. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57848)

Mak, Tina, Cooper, Kathie, Deo, Hemant, Funnell, Warwick N. (2005) Audit, Accountability and An Auditor's Ethical Dilemma: A Case Study of HIH Insurance. Asian Review of Accounting, 13 (2). pp. 18-35. ISSN 1321-7348. (doi:10.1108/eb060785) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:5838)

Makokha, John Wangwe (2021) Integrated Corporate Social Innovation: Unmasking a Values-based Corporate Sustainability Framework for the Management of Corporate Sustainability Tensions in Financial Institutions in sub-Saharan Africa. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.88154) (KAR id:88154)
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Mann, I., Funnell, Warwick N., Jupe, R.E. (2016) The Liberal Contest for Double-Entry Bookkeeping in British Government. Accounting, Auditing & Accountability Journal, 29 (5). pp. 739-766. ISSN 0951-3574. (doi:10.1108/AAAJ-04-2014-1682) (KAR id:53903)
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Maran, Laura, Bigoni, Michele, Morrison, Leanne (2022) Shedding light on alternative interdisciplinary accounting research through journal editors’ perspectives and an analysis of recent publications. Critical Perspectives on Accounting, . Article Number 102420. ISSN 1045-2354. (doi:10.1016/j.cpa.2022.102420) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:92999)
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Maran, Laura, Funnell, Warwick N., Castellini, Monia (2019) Accounting and the enactment of power: Municipal Reform by Peter Leopold 1774-1775. Accounting, Auditing & Accountability Journal, 32 (4). pp. 1146-1174. ISSN 0951-3574. (doi:10.1108/AAAJ-10-2017-3180) (KAR id:69804)
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Masih, Abdul M.M., Masih, Rumi, Hasan, Mohammad S (1997) New evidence from an alternative methodological approach to the defence spending-economic growth causality issue in the case of mainland China. Journal of Economic Studies, 24 (3). pp. 123-140. ISSN 0144-3585. (doi:10.1108/01443589710167347) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23611)

Melewar, T.C., Hayday, David, Gupta, Suraksha, Cohen, Geraldine (2008) EU Enlargement: A Case Study of Branding Standardisation. EuroMed Journal of Business, 3 (2). pp. 179-201. ISSN 1450-2194. (doi:10.1108/14502190810891227) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:42663)

Meloni, G. and Madini, P.M. and Lissoni, A. (2006) The Piaggio Case. In: Digitalizing the administrative processes. EGEA SpA, Milan, Italy, pp. 39-58. ISBN 978-88-238-4145-1. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57847)

Meyer, Martin S., Debackere, Koenraad, Grant, Kevin, Kuusisto, Jari, Kume, Ortenca, Yu, Tuan (2019) Universities, User-Driven Competence Centres And Intellectual Property. les Nouvelles Volume LIV Number 2, LIV (2). pp. 61-172. ISSN 0270-174X. (KAR id:73970)
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Mitrodima, Evangelia, Oberoi, Jaideep S (2013) Component value at risk models with countercyclical adjustments for improved economic performance. In: Computational and Financial Econometrics Conference, Dec 2013, London. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:48180)

Molinari, M. (2020) Exploring the Role of Management Accountants in Organisations: a case study in the Sustainability Reporting context. In: ARA (Auckland Region Accounting) Conference 2020, 9 December 2020, Auckland, New Zealand, online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90555)

Molinari, M. (2021) Exploring the Role of Management Control Systems in Non-financial Disclosures: the interplay between Management Accounting and Sustainability Accounting. In: EAA 37th Doctoral Colloquium in Accounting, 24-25 May 2021, online. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:91867)

Molinari, M., Carungu, J. (2021) The “Accountant” stereotype in the Florentine Medieval popular culture: “galantuomini” or usurers? In: Second Alternative Accounts Europe Conference, 9 January 2021, UK, Online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90559)

Molinari, M., Carungu, J. (2019) The “Accountant” stereotype in the Florentine Medieval popular culture: “galantuomini” or usurers? In: Second International Seminar of Accounting History - (ISAH),, 21-22 November, 2019, Siena, Italy. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90606)

Molinari, M., Carungu, J. (2021) The “Accountant” stereotype in the Florentine Medieval popular culture: “galantuomini” or usurers? Accounting, Auditing & Accountability Journal, . ISSN 0951-3574. (doi:10.1108/AAAJ-01-2020-4386) (KAR id:90841)
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Molinari, M., Carungu, J. (2019) Non-financial Reporting: Substance over Form. Controllo di Gestione Journal, 6 . pp. 5-17. ISSN 1828-4205. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90552)

Molinari, M., Carungu, J., Di Pietra, R. (2022) Advancing Management Accounting practice: focus on the challenges in reporting the Sustainable Development Goals. In: Alternative Accounts Europe (AAE) Conference 2022, 7 January 2022, Online event. (In press) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:92592)
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Molinari, M., Carungu, J., Di Pietra, R. (2021) Impact of a humanitarian disaster on the role of Accountants and their organisational culture. In: Critical Perspectives On Accounting Workshop, 22 Sept 2021, Online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90846)

Molinari, M., Carungu, J., Patuelli, A. (2018) The Accountant in Medieval popular culture: starting from a Dantesque view. In: XIV National Conference of the Italian Accounting History Society – Accounting History and Arts,, 22-23 November, 2018, Turin, Italy,. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90610)

Molinari, M., Di Pietra, R., Carungu, J. (2021) Impact of a humanitarian disaster on the role of Accountants and their organisational culture. In: Alternative Accounts Europe Conference 2021, 5 January 2021, UK and Online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90554)

Molinari, M., Di Pietra, R., Carungu, J. (2019) Mandatory vs. Voluntary exercise on Non-financial Reporting. Does a normative/coercive isomorphism facilitate an increase in quality? In: 8th EIASM Workshop on Accounting and Regulation, Siena, Italy, 27- 29 June, 2019, Siena, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90596)

Molinari, M., Di Pietra, R., Carungu, J. (2019) Mandatory vs. Voluntary exercise on Non-financial Reporting. Does a normative/coercive isomorphism facilitate an increase in quality? In: XXXIX AIDEA National Conference, 12-13 September 2019, Turin, Italy,. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90608)

Molinari, M., Dimes, R. (2020) Corporate Governance and Non-financial Disclosure: towards a conceptual model for qualitative accounting research. In: SARN (Sustainability Accounting Research Network) Conference, 28 August 2020, Auckland New Zealand, virtual. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90602)

Molinari, M. and Hilson, A. (2022) Aligning the UK's economic goals with environmental sustainability. Other. UK Parliament, Kent, UK (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:93000)
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Molinari, M., Maraghini, M., Riccaboni, A. (2020) Sustainability Disclosure and Management Control: the Experience of an Italian Multi-utility Company. In: SIDREA (Italian Academy of Accounting and Reporting) Annual Conference, 20-27 November 2020, Italy, online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90557)

Molinari, M., Maraghini, M.P., Riccaboni, A. (2021) Reporting di Sostenibilità e Controllo Manageriale:L’esperienza di Edison S.p.A [Sustainability Disclosure and Management Control: the Experience of Edison]. Management Control, (2). pp. 61-86. ISSN 2239-0391. E-ISSN 2239-4397. (doi:10.3280/MACO2021-002004) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:90842)
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Molinari, M., Maraghini, M.P., de Villiers, C. (2020) The Role of Sustainability Reporting Managers in legitimizing EU Directive Non-Financial Disclosures through informal management control systems. In: SARN (Sustainability Accounting Research Network) Conference, 28 August 2020, Auckland New Zealand, virtual. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90605)

Molinari, M., Maraghini, M.P., de Villiers, C. (2021) The Role of Sustainability Reporting Managers in legitimizing EU Directive Non-Financial Disclosures through informal management control systems. In: AFAANZ (Accounting and Finance Association of Australia and New Zealand) Conference, 5-7 Jul 2021, Online. (Submitted) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:90844)

Molinari, M., de Villiers, C. (2021) How to communicate and use accounting to ensure buy-in from stakeholders - Lessons for organizations from governments’ Covid-19 strategies. Accounting, Auditing & Accountability Journal, . ISSN 0951-3574. (doi:10.1108/AAAJ-08-2020-4791) (KAR id:90843)
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Molinari, M., de Villiers, C. (2021) Qualitative accounting research in the time of COVID-19 – changes, challenges and opportunities. Pacific Accounting Review, . ISSN 0114-0582. (doi:10.1108/PAR-09-2020-0176) (KAR id:90778)
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Morelli, David A. (2007) Beta, size, book-to-market equity and returns: A study based on UK data. Journal of Multinational Financial Management, 17 (3). pp. 257-272. ISSN 1042-444X. (doi:10.1016/j.mulfin.2006.12.003) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:2938)

Morelli, David A. (2003) Capital Asset Pricing Models on UK Securities using ARCH. Applied Financial Economics, 13 (3). pp. 211-223. ISSN 0960-3107. (doi:10.1080/09603100110115174) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9219)

Morelli, David A. (2009) Capital Market Integration – Evidence from the G7 Countries. Applied Financial Economics, 19 (13). pp. 1043-1057. ISSN 1466-4305. (doi:10.1080/09603100802167262) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25467)

Morelli, David A. (2010) European Capital Market Integration: An Empirical Study Based on an European Asset Pricing Model. Journal of International Financial Markets, Institutions and Money, 20 (4). pp. 363-375. ISSN 1042-4431. (doi:10.1016/j.intfin.2010.03.007) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25466)

Morelli, David A. (2011) Joint Conditionality in Testing the Beta-Return Relationship: Evidence Based on the UK Stock Market. Journal of International Financial Markets, Institutions and Money, 21 (1). pp. 1-13. ISSN 1042-4431. (doi:10.1016/j.intfin.2010.05.001) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25565)

Morelli, David A. (2014) Momentum Profits and conditional time-varying systematic risk. Journal of International Financial Markets, Institutions and Money, 29 (1). pp. 242-255. ISSN 1042-4431. (doi:10.1016/j.intfin.2013.11.007) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:46743)

Morelli, David A. (2002) 'The Relationship between Conditional Stock Market Volatility and Conditional Macroeconomic Volatility. Empirical Evidence Based on UK Data'. International Review of Financial Analysis, 11 (1). pp. 101-110. ISSN 1057-5219. (doi:10.1016/S1057-5219(01)00066-7) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9217)

Morelli, David A. (2002) 'The Robustness of Tests of Structural Change in Equity Returns using Factor Analysis'. Applied Economics, 34 (part 2). pp. 241-252. ISSN 0003-6846. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:9218)

Morelli, David A. (2012) Security returns, beta, size and book-to-market equity: Evidence from the Shanghai A-share market. Review of Quantitative Finance and Accounting, 38 (1). pp. 47-60. ISSN 0924-865X. (doi:10.1007/s11156-010-0218-8) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25703)

Morelli, David A., Vioto, Davide (2020) Assessing the contribution of China’s financial sectors to systemic risk. Journal of Financial Stability, 50 . Article Number 100777. ISSN 1572-3089. (doi:10.1016/j.jfs.2020.100777) (KAR id:82958)
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Murshed, M., Ahmed, R., Kumpamool, C., Bassim, M., Elheddad, M. (2021) The effects of regional trade integration and renewable energy transition on environmental quality: Evidence from South Asian neighbors. Business Strategy and the Environment, 30 (8). pp. 4154-4170. ISSN 0964-4733. (doi:10.1002/bse.2862) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:96230)

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Nguyen, Nguyet Thi Minh, Iqbal, Abdullah, Shiwakoti, Radha K. (2022) The context of earnings management and its ability to predict future stock returns. Review of Quantitative Finance and Accounting, 59 (1). pp. 123-159. ISSN 0924-865X. E-ISSN 1573-7179. (doi:10.1007/s11156-022-01041-3) (KAR id:64815)
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Nica, Melania, Oberoi, Jaideep S (2018) Self Dealing and Optimal Compensation. In: Financial Management Association 2018 Annual Conference, 10 - 13 Oct 2018, San Diego, USA. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71070)

Nica, Melania, Oberoi, Jaideep S (2018) Self Dealing and Optimal Compensation. In: European Financial Management Association Annual Conference, 27 - 30 June 2018, Milan, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71072)

Nica, Melania, Oberoi, Jaideep S (2018) Self Dealing and Optimal Compensation. In: 4th International Conference on Applied Theory, Macro and Empirical Finance, 02 - 03 April, 2018, Thessaloniki, Greece. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71080)

Nica, Melania and Oberoi, Jaideep S (2018) Stakeholder Incentives, Self Dealing and Optimal Compensation. Working paper. tbc (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70632)

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Oberoi, Jaideep (2017) Interest rate risk management and the mix of fixed and floating rate debt. Journal of Banking and Finance, 86 . pp. 70-86. ISSN 0378-4266. E-ISSN 1872-6372. (doi:10.1016/j.jbankfin.2017.09.001) (KAR id:63376)
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Oberoi, Jaideep S (2018) Consumption based asset pricing. In: Financial Management Association 2018 Annual Conference, 10 - 13 Oct 2018, San Diego, USA. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71071)

Oberoi, Jaideep S (2017) Discussion of: Firms' Capital Structure Choices and Endogenous Dividend Policies by Hursit Celil and Mengyang Chi. In: Financial Management Association Latin America Conference, 16 - 17 Feb 2017, Mexico City. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71081)

Oberoi, Jaideep S (2018) Discussion of: Institutional Investors and Home-Biased REITs by Gianluca Mattarocci and Lucia Gibilaro. In: European Financial Management Association Annual Conference, 27 - 30 June 2018, Milan, Italy. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71074)

Oberoi, Jaideep S (2014) Discussion of: The effect of asymmetric volatility and jumps on the pricing of VIX derivatives by Yang-Ho Park. In: IFSID Third Conference on Derivatives, 25 - 26 Sep 2014, Montreal, Canada. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71089)

Oberoi, Jaideep S (2016) Illiquidity Premium: A Survey. Not for publication (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70630)

Oberoi, Jaideep S (2014) Why do firms actively vary the interest rate mix of their debt? In: 39th Spanish Economic Association Conference, 11 -13 December 2014, Palma de Majorca, Spain. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71088)

Oberoi, Jaideep S, Bonnar, Stephen, Maynard, Alex (2017) Predicting Long-Term Asset Returns Using Demographic Data. In: 31st International Congress of Actuaries, 4 - 8 June 2018, Berlin, Germany. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71076)

Oberoi, Jaideep S and Mitrodima, Evangelia (2015) Value at Risk models with long memory features and their economic performance. Working paper. Social Science Research Network 10.2139/ssrn.2649348. (doi:10.2139/ssrn.2649348) (KAR id:50894)
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Oberoi, Jaideep S, Pittea, Aniketh, Tapadar, Pradip (2019) A graphical model approach to simulating economic variables over long horizons. Annals of Actuarial Science, . pp. 1-22. (doi:10.1017/S1748499519000022) (KAR id:67406)
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Oberoi, Jaideep S, Tapadar, Pradip (2016) International Personal Wealth Flows: A Report on Selected Countries. Not for publication (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:70627)

Okhrati, R., Assa, H. (2017) Representation and approximation of convex dynamic risk measures with respect to strong–weak topologies. Stochastic Analysis and Applications, 35 (4). pp. 604-614. ISSN 0736-2994. (doi:10.1080/07362994.2017.1289104) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87566)

Orelli, R.L., Padovani, E., Katsikas, Epameinondas (2012) Where are we going? Accounting reforms in Napoleonic tradition countries: the case of Italy and Greece. In: British Accounting and Finance Association 2012 Annual Conference, Brighton, U.K.. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35204)

Orelli, R.L., Padovani, E., Katsikas, Epameinondas (2009) Where are we going? Accounting reforms in Napoleonic tradition countries: the case of Italy and Greece. In: “Accounting, Management and Government” New Public Sector Seminar, 12-13 November 2009, Edinburgh, U.K.. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:35205)

Orelli, Rebecca, Padovani, Emanuele, Katsikas, Epameinondas (2016) NPM Reforms in Napoleonic Countries: A Comparative Study of Management Accounting Innovations in Greek and Italian Municipalities. International Journal of Public Administration, . pp. 1532-4265. ISSN 0190-0692. E-ISSN 1532-4265. (doi:10.1080/01900692.2015.1034324) (KAR id:55700)
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Panopoulou, Ekaterini, Voukelatos, Nikolaos (2015) The Role of Strategy Distinctiveness in Hedge Fund Performance. In: 9th International Conference on Computational and Financial Econometrics, 12-14 December 2015, Senate House, London. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:53408)

Panopoulou, Ekaterini, Voukelatos, Nikolaos (2016) The Role of Strategy Distinctiveness in Hedge Fund Performance. In: 8th Conference of the International Finance and Banking Society, 1-3 June 2016, Barcelona. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:56930)

Panopoulou, Ekaterini, Voukelatos, Nikolaos (2017) The Role of Strategy Distinctiveness in Hedge Fund Performance. In: 7th International Conference of the Financial Engineering and Banking Society, 1 June 2017 - 3 June 2017, Glasgow. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62170)

Panopoulou, Ekaterini, Voukelatos, Nikolaos (2021) Should hedge funds deviate from the benchmark? Financial Management, . ISSN 0046-3892. E-ISSN 1755-053X. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91134)
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Papastergiou, Athanasia, Pappas, Vasileios (2019) A comparison of sighted and visually impaired children’s text comprehension. Research in Developmental Disabilities, 85 . pp. 8-19. ISSN 0891-4222. (doi:10.1016/j.ridd.2018.10.003) (KAR id:69764)
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Papastergiou, Athanasia, Pappas, Vasileios, Sanoudaki, Eirini (2021) The Executive Function of Bilingual and Monolingual Children: A Technical Efficiency Approach. Behavior Research Methods, . pp. 1-27. ISSN 1554-351X. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:88844)
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Papi, L., Bigoni, M., Deidda Gagliardo, E., Funnell, Warwick N. (2019) Accounting for Power and Resistance: the University of Ferrara under the Fascist Regime in Italy. Critical Perspectives on Accounting, 62 . pp. 59-76. ISSN 1045-2354. (doi:10.1016/j.cpa.2018.11.001) (KAR id:70037)
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Papi, Luca, Bigoni, M., Bracci, E., Deidda Gagliardo, E. (2018) Measuring public value: a conceptual and applied contribution to the debate. Public Money & Management, 38 (7). pp. 503-510. ISSN 0954-0962. E-ISSN 1467-9302. (doi:10.1080/09540962.2018.1439154) (KAR id:62151)
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Papi, Luca, Bigoni, M., Gobbo, Giorgia, Deidda Gagliardo, E. (2020) Using accounting as a political weapon. The University of Ferrara and Italian Fascism. Contabilita e cultura aziendale - Accounting and Cultures, . ISSN 1721-5242. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:81636)
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Pappas, Vasileios (2020) Islamic Finance. In: Zopounidis, Constantin and Kenourgios, Dimitris and Dotsis, George, eds. Recent Advances and Applications in Alternative Investments. IGI Global. ISBN 978-1-79982-436-7. E-ISBN 978-1-79982-438-1. (doi:10.4018/978-1-7998-2436-7.ch013) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:79618)
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Pappas, Vasileios, Ingham, H., Izzeldin, M., Steele, G. (2015) Will the crisis "tear us apart"? Evidence from the EU. International Review of Financial Analysis, 46 . pp. 346-360. ISSN 1057-5219. (doi:10.1016/j.irfa.2015.09.010) (KAR id:66104)
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Pappas, Vasileios, Ongena, Steven, Izzeldin, Marwan, Fuertes, Ana-Maria (2016) A Survival Analysis of Islamic and Conventional Banks. Journal of Financial Services Research, 51 (2). pp. 221-256. ISSN 0920-8550. E-ISSN 1573-0735. (doi:10.1007/s10693-016-0239-0) (KAR id:66101)
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Partovi, Elmira (2021) Competition, Efficiency, and the Impact of Monetary Policy Changes in the Turkish Banking Sector. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.89040) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:89040)
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Pavlidis, Efthymios, Shackleton, Mark B., Voukelatos, Nikolaos (2012) Foreign Exchange Implied. Variance and the Forward Premium Puzzle. In: Time-Varying Correlation and Volatility Symposium, May 2012, Wolverhampton. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:30039)

Pavlidis, Efthymios, Shackleton, Mark B., Voukelatos, Nikolaos (2012) Foreign Exchange Implied. Variance and the Forward Premium Puzzle. In: 2nd International Conference of the Financial Engineering and Banking Society (FEBS), June 2012, London. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:30040)

Pavlidis, Efthymios, Shackleton, Mark B., Voukelatos, Nikolaos (2012) Foreign Exchange Implied. Variance and the Forward Premium Puzzle. In: 9th Applied Financial Economics (AFE) Conference, June 2012, Samos. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:30041)

Petropoulou, Athina, Pappas, Vasileios (2020) Μια διαφορετική τραπεζική προσέγγιση για την ελληνική οικονομία. Kathimerini, . p. 8. (KAR id:80028)
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Petropoulou, Athina, Pappas, Vasileios (2018) A Comparative Analysis on the Risk Profile of Community and Non-Community banks. In: IFABS 2018 Porto Conference, June 30 - July 2, 2018, Porto, Portugal. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:73437)

Poddighe, F., Deidda Gagliardo, E, Bigoni, M. (2013) Performance Plan of Italian medium and large-sized municipalities. An assessment of normative alignment and programmatic adequacy. Azienda pubblica, (4). pp. 451-475. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:57264)

Portugal, L., Pantelous, A.A., Assa, H. (2017) Claims Reserving with a Stochastic Vector Projection. North American Actuarial Journal, 22 (1). pp. 22-39. (doi:10.1080/10920277.2017.1353429) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87564)

Puthusserry, Pushyarag N., Khan, Zaheer, Nair, Smitha, King, Timothy (2021) Mitigating Psychic Distance and Enhancing Internationalization of Fintech SMEs from Emerging Markets: The Role of Board of Directors. British Journal of Management, . ISSN 1045-3172. E-ISSN 1467-8551. (doi:10.1111/1467-8551.12502) (KAR id:85903)
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Quaye, Enoch Nii Boi (2021) Volatility Relations in Stocks, Dividends and Lifetime Income. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.87942) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:87942)
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Quota, B. M. N (1977) Accountability and Audit in the Saudi Arabian Government Sector. Doctor of Philosophy (PhD) thesis, University of Kent. (doi:10.22024/UniKent/01.02.86370) (KAR id:86370)
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Radi, Sherrihan (2022) Essays on Bonds: A Comparative Approach. Doctor of Philosophy (PhD) thesis, University of Kent,. (doi:10.22024/UniKent/01.02.92939) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:92939)
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Rice, G., Wirjanto, T., Zhao, Y. (2020) Forecasting value at risk with intra-day return curves. International Journal of Forecasting, 36 (3). pp. 1023-1038. ISSN 0169-2070. (doi:10.1016/j.ijforecast.2019.10.006) (KAR id:93923)
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Rice, G., Wirjanto, T., Zhao, Y. (2020) Tests for conditional heteroscedasticity of functional data. Journal of Time Series Analysis, 41 (6). pp. 733-758. ISSN 0143-9782. (doi:10.1111/jtsa.12532) (KAR id:93921)
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Robertson, Jeffrey, Funnell, Warwick N. (2012) The Dutch East-India Company and Accounting for Social Capital at the Dawn of Modern Capitalism 1602-1623. Accounting, Organizations and Society, 37 (5). pp. 342-360. ISSN 0361-3682. (doi:10.1016/j.aos.2012.03.002) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:31051)

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Saeed, Momna, Izzeldin, Marwan, Hassan, Kabir, Pappas, Vasileios (2020) The Inter-temporal relationship between Risk, Capital and Efficiency: The case of Islamic and conventional banks. Pacific-Basin Finance Journal, 62 . Article Number 101328. ISSN 0927-538X. (doi:10.1016/j.pacfin.2020.101328) (KAR id:80791)
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Shackleton, Mark B., Voukelatos, Nikolaos (2009) An Examination of the Efficiency of Emerging. Options Markets: The Case of the Athens Derivatives Exchange. In: 18th annual meeting of the European Financial Management Association (EFMA), June 2009, Milan. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:30038)

Shackleton, Mark B., Voukelatos, Nikolaos (2013) Hedging efficiency in the Greek options market before and after the financial crisis of 2008. Journal of Multinational Financial Management, 23 (1-2). pp. 1-18. ISSN 1042-444X. (doi:10.1016/j.mulfin.2012.10.005) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33502)

Shamshur, Anastasiya, Weill, Laurent (2019) Does bank efficiency influence the cost of credit? Journal of Banking and Finance, 105 . pp. 62-73. ISSN 0378-4266. (doi:10.1016/j.jbankfin.2019.05.002) (KAR id:78276)
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Shiwakoti, Radha K., Iqbal, Abdullah, Funnell, Warwick N. (2018) Organizational Form, Business Strategies and the Demise of Demutualized Building Societies in the UK, 1987-2007. Journal of Banking and Finance, 94 . pp. 337-350. ISSN 0378-4266. (doi:10.1016/j.jbankfin.2018.05.002) (KAR id:64829)
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Soltani, Ebrahim, Liao, Ying Ying, Gholami, Abdul Khalegh, Iqbal, Abdullah (2017) Saying it without words: a qualitative study of employee voice in the Iranian building sector. International Journal of Human Resource Management, 29 (5). pp. 1015-1055. ISSN 0958-5192. E-ISSN 1466-4399. (doi:10.1080/09585192.2017.1369447) (KAR id:62896)
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Soltani, Ebrahim, Liao, Ying-Ying, Iqbal, Abdullah (2017) A context-specific perspective of HR performance management in quality-oriented organizational contexts. In: 21st International Conference on ISO and TQM (ICIT) 2017, 14-16 Apr 2017, Beijing, China. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:64825)

Soltani, Ebrahim and Liao, Ying-Ying and Iqbal, Abdullah and Analoui, Farhad (2020) Managerial Challenges of Corporate Social Responsibility in Developing Countries. In: Khosrow-Pour, Mehdi, ed. Encyclopedia of Organizational Knowledge, Administration, and Technology. IGI Global, Hershey, PA, USA, pp. 1907-1928. ISBN 978-1-79983-473-1. E-ISBN 978-1-79983-474-8. (doi:10.4018/978-1-7998-3473-1.ch131) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:88939)

Soltani, Ebrahim, Syed, Jawad, Liao, Ying-Ying, Iqbal, Abdullah (2014) Managerial Mindsets Toward Corporate Social Responsibility: The Case of Auto Industry in Iran. Journal of Business Ethics, 129 . pp. 795-810. ISSN 0167-4544. E-ISSN 1573-0697. (doi:10.1007/s10551-014-2137-4) (KAR id:43724)
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Sorwar, Ghulam, Pappas, Vasileios, Pereira, John, Nurullah, Mohamed (2016) To debt or not to debt: Are Islamic banks less risky than conventional banks? Journal of Economic Behavior and Organization, 132 (S). pp. 113-126. ISSN 0167-2681. (doi:10.1016/j.jebo.2016.10.012) (KAR id:66103)
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Srivastav, Abhishek, Armitage, Seth, Hagendorff, Jens, King, Tim (2018) Better safe than sorry? CEO inside debt and risk-taking in bank acquisitions. Journal of Financial Stability, 36 . 208 - 224. ISSN 1572-3089. (doi:10.1016/j.jfs.2018.04.005) (KAR id:67667)
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Stanescu, Silvia, Tunaru, Radu (2013) Analysing the difference between Forward and Future prices for the UK Commercial Property Market. In: 30th International Conference for the French Finance Association, 28 - 31 May 2013, Lyon, France. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:40823)

Stanescu, Silvia and Tunaru, Radu (2012) Investment Strategies with VIX and VSTOXX. Working paper. University of Kent 271. (doi:271) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33177)

Stanescu, Silvia, Tunaru, Radu (2013) Investment strategies with VIX and VSTOXX. In: European Fiancial Management Association, 26 - 29 June 2013, Reading, United Kingdom. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:40822)

Stanescu, Silvia, Tunaru, Radu (2013) Managing Commercial Real Estate Risk after the Subprime Crisis. In: PRMIA Webinar. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33180)

Stanescu, Silvia and Tunaru, Radu (2013) Quantifying the uncertainty in VaR and expected shortfall estimates. In: Bell, Adrian R. and Brooks, Chris and Prokopczuk, Marcel, eds. Handbook of Research Methods and Applications in Empirical Finance. Edward Elgar, pp. 357-372. ISBN 978-0-85793-608-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33173)

Stanescu, Silvia, Tunaru, Radu, Candradewi, Made Reina (2011) Analysing The Difference Between Forward And Futures Prices For The UK Commercial Property Market. In: University of Kent Finance Seminar, University of Kent, Canterbury. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28684)

Stanescu, Silvia and Tunaru, Radu and Candradewi, Made Reina (2012) Analysing the Difference between Forward and Futures Prices for the UK Commercial Property Market. Working paper. University of Kent 269. (doi:269) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33176)

Stanescu, Silvia, Tunaru, Radu, Candradewi, Made Reina (2012) Analysing the Difference between Forward and Futures Prices for the UK Commercial Property Market. In: European Financial Management Association (EFMA) 2012 Conference, 27-30 Jun 2012, Barcelona, Spain. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33178)

Stanescu, Silvia, Tunaru, Radu, Candradewi, Made Reina (2012) Analysing the Difference between Forward and Futures Prices for the UK Commercial Property Market. In: World Finance Conference, 2-4 Jul 2012, Rio de Janeiro, Brazil. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:33179)

Stanescu, Silvia, Tunaru, Radu, Candradewi, Made Reina (2014) Forward–futures price differences in the UK commercial property market: Arbitrage and marking-to-model explanations. International Review of Financial Analysis, 34 . pp. 177-188. ISSN 1057-5219. (doi:10.1016/j.irfa.2014.05.012) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:42024)

Stefanescu, Catalina, Tunaru, Radu, Turnbull, Stuart (2009) The Credit Rating Process and Estimation of Transition Probabilities: A Bayesian Approach. Journal of Empirical Finance, 16 (2). pp. 216-234. ISSN 0927-5398. (doi:10.1016/j.jempfin.2008.10.006) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:26118)

Sultan, Jahangir, Alexandridis, Antonios K., Hasan, Mohammad, Guo, Xuxi (2019) Hedging Performance of Multiscale Hedge Ratios. Journal of Futures Markets, 39 (12). pp. 1613-1632. ISSN 0270-7314. E-ISSN 1096-9934. (doi:10.1002/fut.22047) (KAR id:75617)
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Sultan, Jahangir, Hasan, Mohammad S (2006) The effectiveness of dynamic hedging: evidence from selected European stock futures. In: 13th International Conference - Forecasting Financial Markets: Advances for Exchange Rates, Interest Rates and Asset Management, 31st May - 2 June 2006, Aix-en-Provence, France. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23697)

Sultan, Jahangir, Hasan, Mohammad S (2008) The effectiveness of dynamic hedging: evidence from selected European stock index futures. European Journal of Finance, 14 (6). pp. 469-488. ISSN 1351-847X. (doi:10.1080/13518470801890685) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:23562)

Sultan, Jahangir, Hasan, Mohammad S. (2019) Meteor Shower and Global Asset Allocation. In: 9th International Conference of the Financial Engineering and Banking Society. . F.E.B.S. (Unpublished) (KAR id:84212)
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Sun, Yongjing, Chan, W. K. P, Tam, Ching Yee (2019) Peer Instruction, Mobile Technology and Learning Effectiveness. In: International Conference on Education and Learning - ICEL 2019, 28 - 30 August 2019, Osaka Japan. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:91026)

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Tapadar, Pradip and Alai, Daniel H. and Sweeting, Paul and Oberoi, Jaideep S and Wood, Nick (2017) Actuarial Teachers and Researchers Conference 2017. N/A. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:71085)

Tauringana, Venancio, Afrifa, G.A. (2013) The relative importance of working capital management and its components to SMEs' profitability. Journal of Small Business and Enterprise Development, 20 (3). pp. 453-469. ISSN 1462-6004. (doi:10.1108/JSBED-12-2011-0029) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:66509)

Tingbani, Ishmael, Afrifa, Godfred Adjapong, Tauringana, Venancio, Ntim, Collins (2022) Trade credit and corporate growth. International Journal of Finance & Economics, (2022). ISSN 1076-9307. (doi:10.1002/ijfe.2683) (KAR id:97078)
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Tiwari, Aviral Kumar, Shahbaz, Muhammad, Khalfaoui, Rabeh, Ahmed, R., Hammoudeh, Shawkat (2022) Directional predictability from energy markets to exchange rates and stock markets in the Emerging market countries (E7+1): New evidence from cross-quantilogram approach. International Journal of Finance and Economics, . ISSN 1076-9307. (In press) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:96257)
Format: PDF Format: XML Word Processing Document (DOCX)

Tunaru, Diana (2017) Gaussian estimation and forecasting of the U.K. yield curve with multi-factor continuous-time models. International Review of Financial Analysis, 52 . pp. 119-129. ISSN 1057-5219. (doi:10.1016/j.irfa.2017.05.003) (KAR id:65972)
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Tunaru, Diana, Fabozzi, Francesco, Fabozzi, Frank J. (2021) Testing the Forecasting Ability of Multi-Factor Models on Non-US Interbank Rates. Journal of Fixed Income, 31 (2). pp. 7-33. ISSN 1059-8596. E-ISSN 2168-8648. (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:91430)
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Tunaru, Diana, Fabozzi, Frank J. (2020) Not Everyone is a Follower: The Behaviour of Interest Rate and Equity Markets within Major Economies relative to the US. International Journal of Finance and Economics, . ISSN 1076-9307. E-ISSN 1099-1158. (doi:10.1002/ijfe.1910) (KAR id:81840)
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Tunaru, R.S. (2017) Dividend Derivatives. Quantitative Finance, 18 (1). pp. 63-81. ISSN 1469-7688. E-ISSN 1469-7696. (doi:10.1080/14697688.2017.1322218) (KAR id:61555)
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Tunaru, Radu (2010) Constructing discrete approximations algorithms for financial calculus from weak convergence results. In: Ruzhansky, Michael and Wirth, Jens, eds. Progress In Analysis And Its Applications - Proceedings of the 7th International ISAAC Congress. World Scientific, pp. 445-452. ISBN 978-981-4313-16-2. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25095)

Tunaru, Radu (2010) Discrete Algorithms for Multivariate Financial Calculus. In: Crisan, Dan, ed. Stochastic Analysis. Springer, pp. 243-266. ISBN 978-3-642-15357-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28647)

Tunaru, Radu (2016) Entropy Concepts Applied to Option Pricing. Annals of the University of Craiova, Mathematics and Computer Science Series, 43 (1). pp. 108-117. ISSN 1223-6934. E-ISSN 2246-9958. (KAR id:57952)
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Tunaru, Radu (2015) Model Risk in Financial Markets: From Financial Engineering to Risk Management. World Scientific, 350 pp. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50302)

Tunaru, Radu (2001) Models of Association Versus Casual Models for Contingency Tables. Journal of Royal Statistical Society, Series D, 50 (3). pp. 257-269. ISSN 0039-0526. (doi:10.1111/1467-9884.00276) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25119)

Jokivuolle, Esa and Tunaru, Radu, eds. (2017) Preparing for the Next Financial Crisis: Policies, Tools and Models. Cambridge University Press, 188 pp. E-ISBN 978-1-316-88456-0. (doi:10.1017/9781316884560) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:67223)

Tunaru, Radu (2017) Real-Estate Derivatives: From Econometrics to Financial Engineering. Oxford University Press, Oxford, 288 pp. ISBN 978-0-19-874292-0. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:61618)

Tunaru, Radu, Clark, Ephraim, Viney, Howard P. (2005) An Option Pricing Framework for Valuation of Football Players. Review of Financial Economics, 14 (3-4). pp. 281-295. (doi:10.1016/j.rfe.2004.11.002) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25107)

Tunaru, Radu and Eales, Brian A. (2004) Pricing Options on Interest Rate Instruments. In: Fabozzi, Frank J. and Choudhry, Moorad, eds. The Handbook of European Fixed Income Securities. John Wiley & Sons, pp. 569-600. ISBN 978-0-471-43039-1. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:26117)

Tunaru, Radu, Fabozzi, Frank J. (2017) Commercial Real Estate Derivatives: The End or the Beginning? The Journal of Portfolio Management, 43 (6). pp. 179-186. ISSN 0095-4918. (doi:10.3905/jpm.2017.43.6.179) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:63806)
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Tunaru, Radu, Fabozzi, Frank J. (2006) On Risk Management Problems Related to a Coherence Property. Quantitative Finance, 6 (1). pp. 75-81. ISSN 1469-7688. (doi:10.1080/14697680500467889) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25104)

Tunaru, Radu, Fabozzi, Frank J. (2007) On Some Inconsistencies in Modelling Credit Portfolio Products. International Journal of Theoretical and Applied Finance, 10 (8). pp. 1305-1321. ISSN 0219-0249. (doi:10.1142/S0219024907004664) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25100)

Tunaru, Radu, Fabozzi, Frank J., Albota, George (2009) Estimating Risk-Neutral Density with Parametric Models in Interest Rate Markets. Quantitative Finance, 9 (1). pp. 55-70. ISSN 1469-7688. (doi:10.1080/14697680802272045) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25099)

Tunaru, Radu, Fabozzi, Frank J., Masood, Omar (2007) Discrete Variable Chain Graphical Modelling for Assessing the Effects of Fund Managers' Characteristics on Incentives Satisfaction and Size of Returns. European Journal of Finance, 13 (3). pp. 269-282. ISSN 1351-847X. (doi:10.1080/13518470600813581) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25101)

Tunaru, Radu, Fabozzi, Frank J., Shiller, Robert (2009) Hedging Real Estate Risk. Journal of Portfolio Management, 35 (5). pp. 92-103. ISSN 0095-4918. (doi:10.3905/JPM.2009.35.5.092) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25097)

Tunaru, Radu, Fabozzi, Frank J., Shiller, Robert (2010) Property Derivatives for Managing European Real-Estate Risk. European Financial Management, 16 (1). pp. 8-26. ISSN 1354-7798. (doi:10.1111/j.1468-036X.2009.00528.x) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25096)

Tunaru, Radu, Fabozzi, Frank J., Wu, Tony (2006) Chinese Equity Market and the Efficient Frontier. Applied Financial Economics Letters, 2 (2). pp. 87-94. (doi:10.1080/17446540500426755) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25102)

Tunaru, Radu, Fabozzi, Frank J., Wu, Tony (2004) Modeling Volatility for the Chinese Equity Markets. Annals of Economics and Finance, 5 . pp. 79-92. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25108)

Tunaru, Radu and George, Juby (2008) Risk Management in Freight Markets with Forwards and Options Contracts. In: Fabozzi, Frank J., ed. Handbook of Finance: Financial Markets and Instruments. John Wiley & Sons, pp. 129-136. ISBN 978-0-470-07814-3. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25132)

Tunaru, Radu, Giannopoulos, Kostas (2005) Coherent Risk Measures Under Filtered Historical Simulation. Journal of Banking and Finance, 29 (4). pp. 979-996. ISSN 0378-4266. (doi:10.1016/j.jbankfin.2004.08.009) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25106)

Tunaru, Radu, Giannopoulos, Kostas, Clark, Ephraim (2005) Portfolio Selection with VaR Constraints. Computational Management Science, 2 (2). pp. 123-138. ISSN 1619-697X. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25105)

Tunaru, Radu, Viney, Howard P. (2010) Valuations of Soccer Players from Statistical Performance Data. Journal of Quantitative Analysis in Sports, 6 (2). ISSN 1559-0410. (doi:10.2202/1559-0410.1238) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:25129)

Tunaru, Radu, Voukelatos, Nikolaos (2017) Insurance Against Volatility Risk or Negative Skewness as Reflected by Option Returns in Emerging European Markets. In: 2017 Annual Meetings of the European Financial Management Association, June 28- July 1, 2017, Athens. (Unpublished) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:62171)

Tunaru, Radu, Zheng, Teng (2017) Parameter Estimation Risk in Asset Pricing and Risk Management: A Bayesian Approach. International Review of Financial Analysis, 53 . pp. 80-93. ISSN 1057-5219. (doi:10.1016/j.irfa.2017.08.004) (KAR id:62961)
Format: PDF

Turner, Geoffrey (1999) Balancing the balanced scorecard: a new role for human resource accounting in sustaining the knowledge-based organisations of the future. Doctor of Philosophy (PhD) thesis, University of Kent. (doi:10.22024/UniKent/01.02.86136) (KAR id:86136)
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Ullah, S., Zaefarian, G., Ahmed, R., Kimani, D. (2021) How to apply the event study methodology in STATA: An overview and a step-by-step guide for authors. Industrial Marketing Management, 99 . A1-A12. ISSN 0019-8501. (doi:10.1016/j.indmarman.2021.02.004) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:96231)

V

Valchev, Stoyan, Tunaru, Radu, Fabozzi, Frank J. (2015) Multiperiod conditional valuation of barrier options with incomplete information. Quantitative Finance, 15 (7). pp. 1093-1102. ISSN 1469-7688. E-ISSN 1469-7696. (doi:10.1080/14697688.2014.945472) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50882)

Verousis, Thanos, Voukelatos, Nikolaos (2016) Cross-Sectional Dispersion and Expected Returns. In: 2016 Financial Management Association Annual Meeting, 19-22 October 2016, Las Vegas. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:58300)

Verousis, Thanos, Voukelatos, Nikolaos (2018) Cross-Sectional Dispersion and Expected Returns. Quantitative Finance, 18 (5). pp. 813-826. ISSN 1469-7688. (doi:10.1080/14697688.2017.1414515) (KAR id:65041)
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Verousis, Thanos, Voukelatos, Nikolaos (2015) Cross-sectional dispersion and expected returns. In: 11th BMRC-DEMS Conference on Macro and Financial Economics/Econometrics. . (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50206)

Verousis, Thanos, Voukelatos, Nikolaos (2015) Cross-sectional dispersion and expected returns. In: 5th International Conference of the Financial Engineering and Banking Society - Banking, Financial markets, risk and financial vulnerability. . (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:50208)

Verousis, Thanos, Voukelatos, Nikolaos (2019) Option-implied information and stock herding. International Journal of Finance & Economics, 24 (4). pp. 1429-1442. ISSN 1076-9307. E-ISSN 1099-1158. (doi:10.1002/ijfe.1741) (KAR id:74111)
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Verousis, Thanos, ap Gwilym, Owain, Voukelatos, Nikolaos (2016) Commonality in equity options liquidity: Evidence from NYSE LIFFE. European Journal of Finance, 22 (12). pp. 1204-1223. ISSN 1351-847X. E-ISSN 1466-4364. (doi:10.1080/1351847X.2016.1188836) (KAR id:54804)
Format: PDF Format: XML Word Processing Document (DOCX)

Verousis, Thanos, ap Gwilym, Owain, Voukelatos, Nikolaos (2014) Equity option liquidity after the introduction of the Premium Based Tick Size on NYSE LIFFE Amsterdam. In: 7th Financial Risks International Forum – Big Data in Finance and Insurance, March 2014, Paris. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41456)

Verousis, Thanos, ap Gwilym, Owain, Voukelatos, Nikolaos (2014) The Impact of a Premium Based Tick Size Change on Equity Option Liquidity. In: 2014 FMA European Conference, 11-13 June, 2014, Maastricht. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41642)

Verousis, Thanos, ap Gwilym, Owain, Voukelatos, Nikolaos (2014) The Impact of a Premium Based Tick Size on Equity Option Liquidity. In: 31st Spring International Conference of the French Finance Association, May 2014, Aix-en-Provence. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:41457)

Verousis, Thanos, ap Gwilym, Owain, Voukelatos, Nikolaos (2015) The Impact of a Premium-Based Tick Size on Equity Option Liquidity. Journal of Futures Markets, 36 (4). pp. 397-417. ISSN 0270-7314. E-ISSN 1096-9934. (doi:10.1002/fut.21734) (KAR id:52141)
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Voukelatos, Nikolaos (2010) The Asymmetric Impact Of Firm-specific And Of Index. Returns On The Volatility Processes Of Individual Stocks. Applied Financial Economics, 20 (21). pp. 1627-1638. ISSN 0960-3107. (doi:10.1080/09603107.2010.515202) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:28642)

Voukelatos, Nikolaos (2013) The Performance of Option Trading Strategies in the EU Periphery. In: 5th International Finance and Banking (IFABS) Conference, 26th to 28th June 2013, Nottingham. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:34458)

Voukelatos, Nikolaos (2013) The Performance of Option Trading Strategies in the EU Periphery. In: 3rd International Conference of the Financial Engineering and Banking Society (FEBS), 6th to 8th June 2013, Paris. (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:34459)

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Wang, Lipeng, Zhang, Mengyu, Verousis, Thanos (2021) The Road to Economic Recovery: Pandemics and Innovation. International Review of Financial Analysis, 75 . Article Number 101729. ISSN 1057-5219. (doi:10.1016/j.irfa.2021.101729) (KAR id:86821)
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Weerakkody, V., Sivarajah, U., Mahroof, K., Maruyama, T., Lu, S. (2021) Influencing subjective well-being for business and sustainable development using big data and predictive regression analysis. Journal of Business Research, 131 . pp. 520-538. (doi:10.1016/j.jbusres.2020.07.038) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:89961)

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Yang, L., Pantelous, A.A., Assa, H. (2016) Robust Stability, Stabilisation and H-Infinity Control for Premium-reserve Models in a Markovian Regime Switching Discrete-Time Framework. ASTIN Bulletin, 46 (3). pp. 747-778. ISSN 0515-0361. (doi:10.1017/asb.2016.13) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87569)

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Zhang, Mengyu, Verousis, Thanos, Kalaitzoglou, Iordanis (2021) Information and the arrival rate of option trading volume. The Journal of Futures Markets, . ISSN 0270-7314. E-ISSN 1096-9934. (doi:10.1002/fut.22299) (Access to this publication is currently restricted. You may be able to access a copy if URLs are provided) (KAR id:92203)
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Zhao, Y. (2021) Validating intra-day risk premium in cross-sectional return curves. Finance Research Letters, 43 . Article Number 102020. ISSN 1544-6123. (doi:10.1016/j.frl.2021.102020) (KAR id:93918)
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Zhuang, S.C., Weng, C., Tan, K.S., Assa, H. (2016) Marginal Indemnification Function formulation for optimal reinsurance. Insurance: Mathematics and Economics, 67 . pp. 65-76. (doi:10.1016/j.insmatheco.2015.12.003) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87571)

Zimper, A., Assa, H. (2020) Preferences over rich sets of random variables: on the incompatibility of convexity and semicontinuity in measure. Mathematics and Financial Economics, 15 (2). pp. 353-380. ISSN 1862-9679. (doi:10.1007/s11579-020-00280-z) (The full text of this publication is not currently available from this repository. You may be able to access a copy if URLs are provided) (KAR id:87557)

This list was generated on Sat Oct 1 21:45:19 2022 BST.