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- Library of Congress Subject Areas (97)
- H Social Sciences (97)
- HG Finance (97)
- HG4001 Finance management. Business finance. Corporation finance (97)
- HG Finance (97)
- H Social Sciences (97)
A
Ahamed, M Mostak and Mallick, Sushanta (2017) Does regulatory forbearance matter for bank stability? Evidence from creditors' perspective. Journal of Financial Stability, 28. pp. 163-180. ISSN 1572-3089
Ahamed, M Mostak and Mallick, Sushanta K (2017) House of restructured assets: how do they affect bank risk in an emerging market? Journal of International Financial Markets, Institutions and Money, 47. pp. 1-14. ISSN 1042-4431
Ahamed, M Mostak, Wen, Jie and Gupta, Namita (2019) Does board composition affect the gender pay gap? Economics Letters, 184. ISSN 0165-1765
Ahmad, Wasim and Jelic, Ranko (2014) Lockup agreements and survival of UK IPOs. Journal of Business Finance and Accounting, 41 (5-6). pp. 717-742. ISSN 0306-686X
Alejandro, Bernales, Chen, Louisa and Valenzuela, Marcela (2017) Learning and forecasts on option returns through the volatility risk premium. Journal of Economic Dynamics and Control, 82. 312 -330. ISSN 0165-1889
Alexander, Carol (2005) The present and future of financial risk management. Journal of Financial Econometrics, 3 (1). pp. 3-25. ISSN 1479-8409
Alexander, Carol and Korovilas, Dimitris (2013) Volatility exchange-traded notes: curse or cure? Journal of Alternative Investments, 16 (2). pp. 52-70. ISSN 1520-3255
Assaf, A George, Barros, Carlos P and Matousek, Roman (2011) Productivity and efficiency analysis of Shinkin banks: evidence from bootstrap and Bayesian approaches. Journal of Banking and Finance, 35 (2). pp. 331-342. ISSN 0378-4266
Assaf, A George, Barros, Carlos P and Matousek, Roman (2011) Technical efficiency in Saudi banks. Expert Systems with Applications, 38 (5). pp. 5781-5786. ISSN 0957-4174
Assaf, A George, Matousek, Roman and Tsionas, Efthymios G (2013) Turkish bank efficiency: Bayesian estimation with undesirable outputs. Journal of Banking and Finance, 37 (2). pp. 506-517. ISSN 03784266
Assaf, A George, Matousek, Roman and Tsionas, Efthymios G (2013) Turkish bank efficiency: Bayesian estimation with undesirable outputs. Journal of Banking and Finance, 37 (2). pp. 506-517. ISSN 0378-4266
Aussenegg, Wolfgang, Götz, Lukas and Jelic, Ranko (2016) European asset swap spreads and the credit crisis. European Journal of Finance, 22 (7). pp. 572-600. ISSN 1351-847X
Aussenegg, Wolfgang and Jelic, Ranko (2007) The operating performance of newly privatised firms in central European transition economies. European Financial Management, 13 (5). pp. 853-879. ISSN 1354-7798
B
Barros, Carlos Pestana, Managi, Shunsuke and Matousek, Roman (2009) Productivity growth and biased technological change: credit banks in Japan. Journal of International Financial Markets, Institutions and Money, 19 (5). pp. 924-936. ISSN 1042-4431
Bellotti, Tony, Matousek, Roman and Stewart, Chris (2011) Are rating agencies’ assignments opaque? Evidence from international banks. Expert Systems with Applications, 38 (4). pp. 4206-4214. ISSN 0957-4174
Bellotti, Tony, Matousek, Roman and Stewart, Chris (2011) A note comparing support vector machines and ordered choice models’ predictions of international banks’ ratings. Decision Support Systems, 51 (3). pp. 682-687. ISSN 0167-9236
Bergman, Noam and Foxon, Timothy (2018) Reorienting finance towards energy efficiency: the case of UK housing. Working Paper. SPRU Working Paper Series, University of Sussex.
Bevilacqua, Mattia, Morelli, David and 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
Boahen, Eric Owusu (2018) The impact of religiosity, culture, legal environment and corporate governance on earnings management methods. Doctoral thesis (PhD), University of Sussex.
Booth, Laurence, Gounopoulos, Dimitrios and Skinner, Frank (2014) The choice between non-callable and callable bonds. Journal Of Financial Research, 37. pp. 435-460. ISSN 0270-2592
C
Caporale, Guglielmo, Matousek, Roman and Stewart, Chris (2011) EU banks rating assignments: is there heterogeneity between new and old member countries? Review of International Economics, 19 (1). pp. 189-206. ISSN 0965-7576
Chen, Ding, Härkönen, Hannu J and Newton, David P (2014) Advancing the universality of quadrature methods to any underlying process for option pricing. Journal of Financial Economics, 114 (3). pp. 600-612. ISSN 0304-405X
Chen, Xiaohua, Solomon, Edna and Verousis, Thanos (2015) Asymmetric post-announcement drift to good and bad news: evidence from voluntary trading disclosures in the Chinese stock market. International Journal of the Economics of Business, 23. pp. 183-198. ISSN 1357-1516
E
Elbadry, Ahmed, Gounopoulos, Dimitrios and Skinner, Frank (2015) Governance quality and information asymmetry. Financial Markets, Institutions and Instruments, 24 (2-3). pp. 127-157. ISSN 0963-8008
F
Fagernäs, Sonja, Sarkar, Prabirjit and Singh, Ajit (2008) Legal origin, shareholder protection and the stock market: new challenges from time series analysis. In: Gugler, Klaus and Yurtoglu, B Burcin (eds.) The economics of corporate governance and mergers. Edward Elgar Publishing, pp. 20-53. ISBN 9781847207159
Filatotchev, Igor, Zhang, Xiaoxiang and Piesse, Jenifer (2011) Multiple agency perspective, family control, and private information abuse in an emerging economy. Asia Pacific Journal of Management, 28 (1). pp. 69-93. ISSN 0217-4561
Fujii, Hidemichi, Managi, Shunsuke and Matousek, Roman (2014) Indian bank efficiency and productivity changes with undesirable outputs: a disaggregated approach. Journal of Banking and Finance, 38. pp. 41-50. ISSN 0378-4266
Fukuyama, Hirofumi and Matousek, Roman (2011) Efficiency of Turkish banking: two-stage network system. Variable returns to scale model. Journal of International Financial Markets, Institutions and Money, 21 (1). pp. 75-91. ISSN 1042-4431
G
Gao, Ya and Cowling, Marc (2019) Introduction to panel data, multiple regression method, and principal components analysis using stata: study on the determinants of executive Compensation—A behavioral approach using evidence from Chinese listed firms. Sage Research Methods Cases. pp. 1-27.
Gu, Jinlong (2018) Firm diversification and performance: the roles of geographic location and product relatedness. Doctoral thesis (PhD), University of Sussex.
H
He, Xinming, Zhang, Xiaoxiang, Li, Xiaoqing and Piesse, Jenifer (2011) Stakeholder orientation and organizational performance in an emerging market. Journal of General Management, 36 (3). pp. 67-91. ISSN 0306-3070
Hearn, Bruce (2012) The Contrasting Effects of Board Composition and Structure on IPO Firm Underpricing in a Developing Context. International Review of Financial Analysis, 21 (1). pp. 33-44. ISSN 1057-5219
Hearn, Bruce (2011) Development strategy in offshore markets: evidence from the Channel Islands. Journal of Economic Studies, 38 (1). pp. 30-51. ISSN 0144-3585
Hearn, Bruce (2011) The Effects of Banking Relationship, Legal Origin, Private Equity and Lead Managers on the performance of West African IPO Firms. South African Journal of Economics, 79 (4). pp. 430-451. ISSN 0038-2280
Hearn, Bruce (2009) Liquidity Estimation in African Emerging Markets. Working Paper. The Egyptian Exchange (EGX), Cairo.
Hearn, Bruce (2009) Liquidity and Valuation in East African Securities Markets. South African Journal of Economics, 77 (4). pp. 553-576. ISSN 0038-2280
Hearn, Bruce (2011) Modelling size and liquidity in North African industrial sectors. Emerging Markets Review, 12 (1). pp. 21-46. ISSN 1566-0141
Hearn, Bruce (2012) Size and Liquidity Effects in African Frontier Equity Markets. Applied Financial Economics, 22 (9). pp. 681-707. ISSN 0960-3107
Hearn, Bruce (2010) Size and liquidity effects in Japanese regional stock markets. Journal of Japanese and International Economies, 25 (2). pp. 157-181. ISSN 0889-1583
Hearn, Bruce (2010) Time varying size and liquidity effects in South Asian equity markets: A study of blue-chip industry stocks. International Review of Financial Analysis, 19 (4). pp. 242-257. ISSN 1057-5219
Hearn, Bruce (2013) The determinants of director remuneration, executive tenure and individual executive disclosure in North African IPO firms. Research in International Business and Finance, 27 (1). pp. 162-182. ISSN 0275-5319
Hearn, Bruce (2011) The impact of corporate governance measures on the performance of West African IPO firms. Emerging Markets Review, 12 (2). pp. 130-151. ISSN 1566-0141
Hearn, Bruce (2011) The performance and the effects of family control in North African IPOs. International Review of Financial Analysis, 20 (3). pp. 140-151. ISSN 1057-5219
Hearn, Bruce and Givel, Michael (2010) Stock market finance and gross national happiness: an institutional fit? Evidence from Bhutan. Journal of Bhutan Studies, 22. pp. 1-36. ISSN 1608-411X
Hearn, Bruce and Man, Shuk-Yin (2011) An examination of price integration between stock market and international crude oil indices: evidence from China. Applied Economics Letters, 18 (16). pp. 1595-1602. ISSN 1350-4851
Hearn, Bruce and Piesse, Jenifer (2009) An Augmented Capital Asset Pricing Model: Liquidity and Stock Size in African Emerging Financial Markets. African Finance Journal, SP.
Hearn, Bruce and Piesse, Jenifer (2010) Barriers to the development of small stock markets: A case study of Swaziland and Mozambique. Journal of International Development, 22 (7). pp. 1018-1037. ISSN 0954-1748
Hearn, Bruce and Piesse, Jenifer (2009) Modelling Stock Returns in Southern Africa's Equity Markets. Studies in Economics and Econometrics, 33 (1). pp. 41-58. ISSN 0379-6205
Hearn, Bruce and Piesse, Jenifer (2010) Modelling size and illiquidity in West African equity markets. Applied Financial Economics, 20 (13). pp. 1011-1030. ISSN 0960-3107
Hearn, Bruce and Piesse, Jenifer (2008) Opportunities and Costs of Portfolio Diversification in SADC's Smallest Equity Markets. South African Journal of Economics, 76 (3). pp. 399-426. ISSN 0038-2280
Hearn, Bruce and Piesse, Jenifer (2009) Sector level cost of equity in African financial markets. Emerging Markets Review, 10 (4). pp. 257-278. ISSN 1566-0141
Hearn, Bruce and Piesse, Jenifer (2010) The limited role of small stock exchanges in economic development: A case study of Mozambique and Swaziland. Development Southern Africa, 27 (2). pp. 205-224. ISSN 0376-835x
Hearn, Bruce, Piesse, Jenifer and Strange, Roger (2012) Islamic finance and market segmentation: implications for the cost of capital. International Business Review, 12 (1). pp. 102-113. ISSN 0969-5931
Hearn, Bruce, Piesse, Jenifer and Strange, Roger (2010) Market Liquidity and Stock Size Premia in Emerging Financial Markets. Macroeconomics and Finance in Emerging Market Economies, 3 (1). pp. 75-101. ISSN 1752-0843
Hearn, Bruce, Piesse, Jenifer and Strange, Roger (2009) Market Liquidity and Stock Size Premia in Emerging Financial Markets: The Implications for Foreign Investment. Working Paper. The Egyptian Exchange (EGX), Cairo.
Hearn, Bruce, Piesse, Jenifer and Strange, Roger (2010) Market Liquidity and Stock Size Premia in Emerging Financial Markets: The Implications for Foreign Investment. International Business Review, 19 (5). pp. 489-501. ISSN 0969-5931
Hearn, Bruce, Piesse, Jenifer and Strange, Roger (2011) The role of the stock market in the provision of Islamic development finance: Evidence from Sudan. Emerging Markets Review, 12 (4). pp. 338-353. ISSN 1566-0141
How, Janice, Jelic, Ranko, Saadouni, Brahim and Verhoeven, Peter (2007) Share allocations and performance of KLSE second board IPOs. Pacific Basin Finance Journal, 15 (3). pp. 292-314. ISSN 0927-538X
J
Jelic, Ranko (2011) Staying power of UK buy-outs. Journal of Business Finance and Accounting, 38 (7-8). pp. 945-986. ISSN 0306-686X
Jelic, Ranko and Briston, Richard (1999) Hungarian privatisation strategy and financial performance of privatised companies. Journal of Business Finance and Accounting, 26 (9-10). pp. 1319-1357. ISSN 0306-686X
Jelic, Ranko, Briston, Richard and Aussenegg, Wolfgang (2003) The choice of privatization method and the financial performance of newly privatized firms in transition economies. Journal of Business Finance and Accounting, 30 (7-8). pp. 905-940. ISSN 0306-686X
Jelic, Ranko, Saadouni, Brahim and Briston, Richard (2001) Performance of Malaysian IPOs: underwriters reputation and management earnings forecasts. Pacific Basin Finance Journal, 9 (5). pp. 457-486. ISSN 0927-538X
Jelic, Ranko, Saadouni, Brahim and Briston, Richard (1998) The accuracy of earnings forecasts in IPO prospectuses on the Kuala Lumpur stock exchange. Accounting and Business Research, 29 (1). pp. 57-72. ISSN 0001-4788
Jelic, Ranko, Saadouni, Brahim and Wright, Mike (2005) Performance of private to public MBOs: the role of venture capital. Journal of Business Finance and Accounting, 32 (3-4). pp. 643-681. ISSN 0306-686X
Jelic, Ranko and Wright, Mike (2011) Exits, performance, and late stage private equity: the case of UK management buy-outs. European Financial Management, 17 (3). pp. 560-593. ISSN 1354-7798
Jory, Surendranath and Madura, Jeff (2007) Equity offerings by firms that emerged from bankruptcy. Journal of Entrepreneurial Finance, 12 (2). pp. 1-22. ISSN 1551-9570
Jory, Surendranath R, Ngo, Thanh N, Wang, Daphne and Saha, Amrita (2015) The market response to corporate scandals involving CEOs. Applied Economics, 47 (17). pp. 1723-1738. ISSN 0003-6846
K
Kallias, Konstantinos (2016) Political connections of new business ventures. Doctoral thesis (PhD), University of Sussex.
Khansalar, Ehsan (2011) The consistent estimation of future cash flow and future earnings: a predictive model with accounting double entry constraint. Doctoral thesis (DPhil), University of Sussex.
Knafo, Samuel and Jai Dutta, Sahil (2016) Patient capital in the age of financialized managerialism. Socio-Economic Review, 14 (4). pp. 771-788. ISSN 1475-1461
L
Lari Dashtbayaz, Mahmoud (2011) Cash flow accounting and the cost of debt. Doctoral thesis (DPhil), University of Sussex.
M
Mamatzakis, E, Hu, W and Zhang, X (2016) Liquidity risk, deposit diversification and insurance of bank in G7 and BRIC countries. In: Portsmouth-Fordham Conference on Banking & Finance, 24-25 September 2016, Portsmouth, UK.
Mamatzakis, Emmanuel and Boahen, Eric (2019) The impact of religion on classification shifting in the presence of corporate governance and BIG 4 audit. Accounting Forum. ISSN 0155-9982
Matousek, Roman (2008) Efficiency and scale economies in banking in new EU countries. International Journal of Monetary Economics and Finance, 1 (3). pp. 235-249. ISSN 1752-0479
Matousek, Roman, Dasci, Selim and Sergi, Bruno S (2008) The efficiency of the Turkish banking system during 2000-2005. International Journal of Economic Policy in Emerging Economies, 1 (4). pp. 341-355. ISSN 1752-0452
Matousek, Roman and Stewart, Chris (2009) A note on ratings of international banks. Journal of Financial Regulation and Compliance, 17 (2). pp. 146-155. ISSN 1358-1988
Mohamad, Maslinawati (2017) Three essays in corporate finance. Doctoral thesis (PhD), University of Sussex.
O
Osborne, Michael J (2014) Multiple interest rate analysis: theory and applications. Palgrave Macmillan, Basingstoke. ISBN 9781137372765
P
Piesse, Jenifer and Hearn, Bruce (2005) Regional Integration of Equity Markets in Sub-Saharan Africa. South African Journal of Economics, 73 (1). pp. 36-52. ISSN 0038-2280
Piesse, Jenifer and Hearn, Bruce (2012) A Test of the Law of One Price: An Examination of Price Integration between Europe and Regional Markets in Africa. Applied Economics, 44 (24). pp. 3169-3193. ISSN 0003-6846
S
Sulimierska, Malgorzata and Miele, Alessandro Attilio Antonio (2017) An investigation how quantitative easing programme, Vickers’ ring-fencing regulation and the ‘Brexit’ announcement impact on UK banking sector. International Journal of Empirical Finance, 5 (3). pp. 155-166. ISSN 2310-3248
W
Wen, Jie and Zhang, Xiaoxiang (2016) Different impacts of a joint venture announcement on its parent firm’ stock market performance: reasons and implications for trading strategies. In: 23rd Annual conference Multinational Finance Society, 26-29 June 2016, Stockholm Sweden.
Wuttke, David, Blome, Constantin, Foerstl, Kai and Henke, Michael (2013) Managing the innovation adoption of supply chain finance: empirical evidence from six European case studies. Journal of Business Logistics, 34 (2). pp. 148-166. ISSN 0735-3766
Y
Yang, X and Zhang, X (2014) Qualified foreign institutional investors’ informed trading and firm valuation: evidence from listed real estate companies in China. In: Global Chinese Real Estate Congress, 10th July 2014, Nanjing, China.
Yang, X and Zhang, X (2014) Tunnelling and QFII’s informed trading: evidence from listed real estate companies in China. In: BAFA NAG/IPSIG Annual Conference 2014, Newcastle Business School, UK.
Z
Zhang, X, Chen, Y and Wei, J (2014) Large family shareholders, earning smoothness, and analyst forecasts, bounded rationality in earnings forecasts. In: The 2014 Annual Meeting of the American Accounting Association, 2-6 August 2014, Atlanta, USA..
Zhang, X, Zhang, Q, Wang, C and Gu, J (2015) Largest controlling shareholder, information asymmetry and information timeliness. In: The 5th Chinese Capital Markets Conference, 16-17 July 2015, Winnipeg, Canada.
Zhang, Xiaoxiang, Piesse, Jenifer and Filatotchev, Igor (2015) Family control, multiple institutional block-holders and informed trading. The European Journal of Finance, 21 (10-11). pp. 826-847. ISSN 1351-847X
Zhang, Xiaoxiang, Wei, Jo-Ting and Wu, Hsin-Hung (2013) Forced financial information restatements and management turnover: market discipline and large family shareholders’ intervention in an emerging economy. Asia Pacific Journal of Management, 30 (4). pp. 1005-1029. ISSN 0217-4561
Zhang, Xiaoxiang and Wen, Jie (2016) The impacts of economic importance difference of a joint venture (JV) held by partners and partners' size difference on the extraction of rivalrous and non-rivalrous private benefits in a JV. International Review of Financial Analysis, 48. pp. 46-54. ISSN 1057-5219
Zhang, Xiaoxiang and Yang, X (2015) Multiple levels of principal-principal conflicts, small foreign institutional investors' governance through trading and firm performance in an emerging economy. In: Chinese Economic Association Annual Conference 2015, September 2015, Nottingham, UK.
Zhang, Xiaoxiang, Zhang, Qiyu, Chen, Ding and Jun, Gu (2019) Financial integration, investor protection and imbalanced optimistically biased information timeliness in emerging markets. International Review of Financial Analysis, 64. pp. 38-56. ISSN 1057-5219
Zhou, D, Jelic, R and Wright, M (2014) SMBOs: buying time or improving performance? Managerial and Decision Economics, 35 (2). pp. 88-102. ISSN 0143-6570