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Article
Jelic, Ranko, Zeng, Yiming and Karouzakis, Nikolaos (2022) Foreign-law premium for European high-yield corporate bonds. Finance Research Letters. e103584. ISSN 1544-6123
Adwan, Sami, Alhaj-Ismail, Alaa and Jelic, Ranko (2022) Non-executive employee ownership and financial reporting quality: evidence from Europe. Review of Quantitative Finance and Accounting. ISSN 0924-865X
Drenovak, Mikica, Rankovic, Vladimir, Urosevic, Branko and Jelic, Ranko (2021) Mean-maximum drawdown optimization of buy-and-hold portfolios using a multi-objective evolutionary algorithm. Finance Research Letters. pp. 1-15. ISSN 1544-6123
Jelic, Ranko, Zhou, Dan and Ahmad, Wasim (2021) Do stressed PE firms misbehave? Journal of Corporate Finance, 66. a101798 1-23. ISSN 0929-1199
Drenovak, Mikica, Ranković, Vladimir, Urošević, Branko and Jelic, Ranko (2020) Bond portfolio management under solvency II regulation. European Journal of Finance. pp. 1-23. ISSN 1351-847X
Wright, Mike and Jelic, Ranko (2020) Rumors of an eclipse are exaggerated. The PE model is here to stay. Annals of Corporate Governance, 5 (3). pp. 208-236. ISSN 2381-6732
Jelic, Ranko, Zhou, Dan and Wright, Mike (2019) Sustaining the buyout governance model: inside secondary management buyout boards. British Journal of Management, 30 (1). pp. 30-52. ISSN 1045-3172
Aussenegg, Wolfgang, Jelic, Ranko and Ranzi, Robert (2018) Corporate insider trading in Europe. Journal of International Financial Markets, Institutions and Money, 54. pp. 27-42. ISSN 1042-4431
Drenovak, Mikica, Ranković, Vladimir, Ivanović, Miloš, Branko, Urošević and Jelic, Ranko (2017) Market risk management in a post-Basel II regulatory environment. European Journal of Operational Research, 257 (3). pp. 1030-1044. ISSN 0377-2217
Aussenegg, Wolfgang, Jelic, Ranko, Chen, Louisa and Maringer, Dietmar (2016) Does market liquidity risk affect Euro corporate bond returns more seriously in stress periods? Bank Underground [Weblog article, 27 October 2016].
Rankovic, Vladimir, Drenovak, Mikica, Urosevic, Branko and Jelic, Ranko (2016) Mean univariate- GARCH VaR portfolio optimization: actual portfolio approach. Computers & Operations Research, 72. pp. 83-92. ISSN 0305-0548
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, Goetz, Lukas and Jelic, Ranko (2015) Common factors in the performance of european corporate bonds - evidence before and after the financial crisis. European Financial Management, 21 (2). pp. 265-308. ISSN 1354-7798
Drenovak, Mikica, Urošević, Branko and Jelic, Ranko (2014) European bond ETFs: tracking errors and the sovereign debt crisis. European Financial Management, 20 (5). pp. 958-994. ISSN 1354-7798
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
Suppa-Aim, Teerapan, Jelic, Ranko and Theobald, Michael (2014) Liquidity-augmented performance evaluation of Thai’s mutual funds. Investment Management and Financial Innovations, 11 (2). pp. 28-37. ISSN 1810-4967
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
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 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
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
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
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, 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 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, 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
Book Section
Jelic, Ranko, Aussenegg, Wolfgang and Zhou, Dan (2022) Private equity (PE) and governance in secondary buyouts. In: The Palgrave Encyclopedia of Private Equity. Palgrave. (Accepted)
Conference or Workshop Item
Aussenegg, W, Chen, L, Jelic, R and Maringer, D (2016) Time-varying impact of liquidity on euro corporate bond returns. In: 2016 Annual Meeting: European Financial Management Association, 29 Jun - 02 Jul 2016, Basel.
Jelic, R, Ahmad, W, Wright, M and Murinde, V (2016) Longevity exits and late stage capital. In: 30th Annniversary Conference, Centre for Management Buyouts, 23-24 June 2016, Imperial College, London.
Aussenegg, W, Chen, L, Jelic, R and Maringer, D (2016) Time-varying impact of liquidity on euro corporate bond returns. In: Behavioural Finance Working Group Conference, 13-14 June 2016, Queen Mary University of London.
Aussenegg, W, Jelic, R and Ranzi, R (2016) Corporate insider trading and the short-run price impact of private information in Europe. In: Developments in Financial Institutions Governance, and Misconduct, 28-29 April 2016, York University, Schulich School of Business.
Zhou, D, Jelic, R and Wright, M (2015) Inside SMBOs boards. In: Workshop on Corporate Governance and Investment, 10-12 December 2015, Alliance Manchester Business School.
Jelic, Ranko, Aussenegg, Wolfgang and Gotz, Lukas (2014) European asset swap spreads and the credit crisis. In: European Financial Management Association 2014 Annual Meeting, 25-28 Jun 2014, Rome, Italy.