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Number of items at this level: 26.

A

Abdullah, Aminah and Khadaroo, Iqbal (2016) The governmentality and accountability of UK national museums and art galleries. Accounting Forum, 41 (3). pp. 266-276. ISSN 0155-9982

Ahmed, Shamim and Tsvetanov, Daniel (2016) The predictive performance of commodity futures risk factors. Journal of Banking & Finance, 71. pp. 20-36. ISSN 0378-4266

C

Chataway, Joanna, Chaturvedi, Kalpana, Hanlin, Rebecca, Mugwagwa, Julius, Smith, James and Wield, David (2009) Building the case for systems of health innovation in Africa. In: Kalua, Fetson, Awotedu, Abolade, Kamwanja, Leonard and Saka, John (eds.) Science, technology and innovation for public health in Africa. NEPAD Office of Science and Technology, Pretoria, Republic of South Africa, pp. 7-52. ISBN 1920550089

E

Eraslan, Sercan and Menla Ali, Faek (2018) Oil price shocks and stock return volatility: new evidence based on volatility impulse response analysis. Economics Letters, 172. pp. 59-62. ISSN 0165-1765

H

Healy, Geraldine and Ahamed, M Mostak (2019) Gender pay gap, voluntary interventions and recession: the case of the British financial services sector. British Journal of Industrial Relations. ISSN 1467-8543

Hearn, Bruce (2016) A comparison of the efficacy of liquidity, momentum, size and book-to-market value factors in equity pricing on a heterogeneous sample: evidence from Asia. Financial Markets, Institutions And Instruments, 25 (4). pp. 253-330. ISSN 0963-8008

Hearn, Bruce (2014) The liquidity-cost implications from the attraction of regional primary listings: evidence from West Africa. Research in International Business and Finance, 30 (1). pp. 91-110. ISSN 0275-5319

Hearn, Bruce, Randøy, Trond and Oxelheim, Lars (2016) The institutional determinants of private equity involvement in business groups – the case of Africa. Journal of World Business. ISSN 1090-9516

Hu, W, Zhang, X and Mamatzakis, E (2017) Credit rating agencies and bank performance in emerging economies: the effects of credit rating, bank regulation and investor protection standards. In: IFABS Asia 2017 Ningbo Conference, 31 Auguest - 2 September 2017, Ningbo China.

K

Krell, Mary (Un)certain ghosts: rephotography and historical images. In: Hands on History. Routledge. (Accepted)

L

Lanka, Sanjay, Khadaroo, Iqbal and Boehm, Steffen (2017) Agroecology accounting: biodiversity and sustainable livelihoods from the margins. Accounting, Auditing and Accountability Journal, 30 (7). pp. 1592-1613. ISSN 0951-3574

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, E, Wang, C and Zhang, X (2016) How the internal and external corporate governance mechanisms affect bank performance. In: IFABS 2016 Asia Conference, 16-18 August 2016, Brunei.

Molyneux, Philip, Nguyen, Linh H and Zhang, Xiaoxiang (2014) Executive compensation, board independence and bank efficiency in China: the effects of the financial crisis. Working Paper. University of St Andrews.

S

Sorrell, Steve (2017) Explaining sociotechnical transitions: a critical realist perspective. Working Paper. SPRU Working Paper Series, University of Sussex.

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

T

Tsvetanov, Daniel, Coakley, Jerry and Kellard, Neil (2015) Bubbling over! The behaviour of oil futures along the yield curve. Journal of Empirical Finance, 38b. pp. 516-533. ISSN 0927-5398

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.

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, Chen, Y, Wu, H and Wei, J (2013) Family firm, analyst forecast and earning smoothness. In: 2013 Annual Meeting of the American Accounting Association, 3-7 August 2013, Anaheim, California, 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. (Accepted)

Zhang, Xiaoxiang and Chen, Ding (2017) Sources of private information risk and asset pricing: a comparison between NYSE and HKEX. In: The 3rd Symposium on Quantitative Finance and Risk Analysis (QFRA), 15-16 June, Corfu, Greece.

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. (Accepted)

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. ISSN 1057-5219 (Accepted)

This list was generated on Thu Mar 23 23:37:08 2023 GMT.