Items where Subject is "N300 Finance"

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Number of items at this level: 74.

A

Ahmad, Azfahani, Byrd, Hugh, Wahab, Suriana and Ghani, Aida (2016) Solar village in Malaysia – a route map for financing mechanism. In: 4th International Building Control Conference, 7-8 March 2016, Kuala Lumpur.

Arif, Ahmed, Saeed, Asif and Farooq, Umer (2021) The behaviour of forex market during the first and second wave of COVID-19: a wavelet analysis. Applied Economics Letters . ISSN 1350-4851

Atherton, Andrew (2009) Rational actors, knowledgeable agents: extending pecking order considerations of new venture financing to incorporate founder experience, knowledge and networks. International Small Business Journal, 27 (4). pp. 470-490. ISSN 0266-2426

B

Bruenner, Tobias (2019) Price formation in call auctions with insider information. Studies in Economics and Finance, 36 (3). pp. 408-426. ISSN 1086-7376

Brünner, Tobias, Levínský, René and Qiu, Jianying (2011) Preferences for skewness: evidence from a binary choice experiment. The European Journal of Finance, 17 (7). pp. 525-538. ISSN 1351-847X

C

Chmura, Thorsten, Le, Hang and Nguyen, Kim (2022) Herding with leading traders: Evidence from a laboratory social trading platform. Journal of Economic Behavior and Organization . ISSN 1672681

Chu, Duyen Dai (2017) Dataset for 'A comparative study on crowdfunding in the United States and the United Kingdom'. [Dataset]

Chu, Duyen Dai (2017) A comparative study on crowdfunding in the United States and the United Kingdom. Emporium, 1 (1). pp. 11-26. ISSN 2515-8988

Ciampi, Francesco, Giannozzi, Alessandro, Marzi, Giacomo and Altman, Edward I. (2021) Rethinking SME default prediction: a systematic literature review and future perspectives. Scientometrics, 126 . pp. 2141-2188. ISSN 0138-9130

Clark, Ephraim Alois and Lakshmi, Geeta (2003) War and emerging market default risk: the case of India and the Iraqi invasion of Kuwait. International Journal of Business, 8 (4). ISSN 1083-4346

Clark, Ephraim and Lakshmi, Geeta (2005) Are currency crises anticipated? Evidence from Mexican government guaranteed Eurobonds 1993-95. International Journal of Finance, 17 (4). pp. 3644-3670. ISSN 1041-2743

Clark, Ephraim and Lakshmi, Geeta (2004) Sovereign debt and the cost of migration: India 1990–1992. Journal of Asian Economics, 15 (1). pp. 111-134. ISSN 1049-0078

Croucher, Richard, Glaister, Keith, Rizov, Marian, Rofcanin, Yasin and Wood, Rofcanin (2019) Challenges and Resilience: Managers’ perceptions of firm performance following M&As. Applied Psychology, 68 (4). ISSN 0269-994X

chu, Duyen (2019) Data for funding decision making of funders in reward crowdfunding. [Dataset]

D

Dang, Ha V. and Lin, Mi (2016) Herd mentality in the stock market: on the role of idiosyncratic participants with heterogeneous information. International Review of Financial Analysis, 48 . pp. 247-260. ISSN 1057-5219

Dayson, Karl and Quach, Hao (2006) Toward a performance assessment of microfinance institutions in Europe. Finance and The Common Good /Finance et Bien Commun, 2/2006 (25). pp. 61-68. ISSN 1422-4658

Demir, Ishak (2014) Monetary policy responses to the exchange rate: Empirical evidence from the ECB. Economic Modelling, 39 (C). pp. 63-70. ISSN 0264-9993

F

Firth, Chris (2002) Insider trading: an insiders guide to intelligent investing. Prentice Hall. ISBN 9789814119368

Firth, Chris (2015) The disposition effect in the absence of taxes. Economics Letters, 136 . pp. 55-58. ISSN 0165-1765

Floyd, David and McManus, John (2006) The role and influence of Foreign Direct Investment on the development process: the case of the software industry in Romania, China, India and the Philippines. Global Business and Economics Review, 8 (1/2). pp. 119-132. ISSN 1553-1392

G

Gkillas, Konstantinos, Vortelinos, Dimitrios and Saha, Shrabani (2018) The properties of realized volatility and realized correlation: evidence from the Indian stock market. Physica A: Statistical Mechanics and its Applications, 492 . pp. 343-359. ISSN 0378-4371

H

Haar, Laura N. and Haar, Lawrence (2017) An option analysis of the European Union renewable energy support mechanisms. Economics of Energy & Environmental Policy, 6 (1). pp. 131-147. ISSN 2160-5882

Haar, Lawrence and Haar, Laura N. (2003) Private ownership versus institutional ownership: exclusion pricing of initial public offerings. Journal of Value Based Management, 16 (3). pp. 243-263. ISSN 0167-4544

Hettihewa, Samanthala, Saha, Shrabani and Zhang, Hanxiong (2018) Does an aging population influence stock markets? Evidence from New Zealand. Economic Modelling, 75 . pp. 142-158. ISSN 0264-9993

I

Igwe, Paul (2019) Digital Finance, the Future and Sustainability of the Financial System. In: Digital Economy and Challenging Financial Architecture: A Developing Economy Perspective, 23-25 September 2019, University of Nigeria, Enugu Campus.

Islam, Md Tariqul, Rahman, Mahfuzur and Saha, Shrabani (2022) Reforms of Corporate Governance Codes in Bangladesh: Developments and Future Directions. Journal of Risk and Financial Management, 15 (8). pp. 1-21. ISSN 1911-8074

L

Lakshmi, Geeta (2012) An investigation of cognitive skills and topics development within finance programmes: a UK perspective. Working Paper. University of Lincoln, Lincoln, U.K.

Lakshmi, Geeta, De Zeeuw, Gerard, Vahl, Martha and Vilalta-perdomo, Eliseo Luis (2015) Making friends with windmills: building territorial capital. ACRN Oxford Journal of Finance and Risk Perspectives, 4 (4). pp. 100-108. ISSN 2305-7394

Lakshmi, Geeta, Khan, Muhammad and Vortelinos, Dimitrios (2016) A conceptual framework for developing the cost of capital of stakeholders: case study of Sustainable Hockerton Ltd. In: European Business Ethics Network, Annual Conference, 19-21 June, 2016, Nottingham Trent University.

Lakshmi, Geeta, Quach, Hao and Goggin, Siobhan (2022) Challenge Based Learning in Finance. In: 2022 ASTON EDUCATION LEADERSHIP COLLOQUIUM, 14-15th July, Aston University.

Lakshmi, Geeta, Saha, Shrabani and Bhattarai, Keshab (2021) Do Strong Institutions really Combat the Bitterness of Corruption? A Study of BRIC Stock Returns. In: American Economic Association Conference, 3-5 January 2021, Boston, USA.

Lakshmi, Geeta and Tilley, Simon (2019) The 'power' of community renewable energy enterprises: The case of Sustainable Hockerton Ltd. Energy Policy, 129 . pp. 787-795. ISSN 0301-4215

Le, Chau (2016) Macro-financial linkages and bank behaviour: evidence from the second-round effects of the global financial crisis on East Asia. Eurasian Economic Review, 6 (3). pp. 365-387. ISSN 1309-422X

Le, Chau and David, Dickinson (2014) Asset price volatility and financial contagion: analysis using the MS-VAR framework. Eurasian Economic Review, 4 (2). pp. 133-162. ISSN 1309-422X

Le, Chau, Dickinson, David and Le, Anh (2022) Sovereign Risk Spillovers: A Network Approach. Journal of Financial Stability, 60 . ISSN 1572-3089

Le, Chau and Dickinson, David G. (2016) The Systemic Risk of Cross-Border Banking: Evidence from the Sudden Stop and Interbank Stress Contagion in East Asia. Emerging Markets Finance and Trade, 52 (1). pp. 237-254. ISSN 1540-496X

Le, Chau and Nguyen, Hieu L. (2019) Collateral Quality and Loan Default Risk: The Case of Vietnam. Comparative Economic Studies, 61 (1). pp. 103-118. ISSN 0888-7233

Le, Chau and Nguyen, Phuc (2017) Price Regulation and Inflation Control in Vietnam. In: Policy responses to commodity price fluctuations: Bilateral Assistance and Capacity Building for Central Banks programme, Sep 15-16, 2016, Geneva.

Le, Chau, Vo, Xuan Vinh, Mullineux, Andy and Nguyen, Huyen (2022) SPILLOVERS OF GLOBAL LIQUIDITY AND MONETARY POLICY DIVERGENCE FROM ADVANCED ECONOMIES TO VIETNAM. Singapore Economics Review . ISSN 0217-5908

Le, Chau, Šević, Aleksandar, Tzeremes, Panayiotis and Ngo, Trong (2020) Bank efficiency in Vietnam: Do scale expansion strategies and non‐performing loans matter? International Journal of Finance and Economics . ISSN 1076-9307

Lynch, Paul E. and Allinson, Nigel (2000) Antipersistent trading ranges. In: IEEE/IAFE/INFORNS 2000: 6th Conference on Computational Intelligence for Financial Engineering (CIFEr), 26-28 March 2000, New York.

M

Manahov, Viktor and Zhang, Hanxiong (2019) Forecasting Financial Markets Using High-Frequency Trading Data: Examination with Strongly Typed Genetic Programming. International Journal of Electronic Commerce, 23 (1). pp. 12-32. ISSN 1086-4415

Mishra, Atul, Igwe, Paul, Lean, Johnathan and Megicks, Phil (2014) Supporting micro and small enterprises. In: The Routledge companion to financial services marketing. Routledge Companions in Business, Management and Accounting, 28 (44). Routledge, London, pp. 1-576. ISBN 9780415829144

Morse, Joel, Nguyen, Hoang and Quach, Hao (2015) Day-of-the-week trading patterns of individual and institutional investors. Global Business and Finance Review, 19 (2). pp. 53-60. ISSN 1088-6931

N

Nguyen, Bach, Do, Hoa and Le, Chau (2021) How much state ownership do hybrid firms need for better performance? Small Business Economics . ISSN 0921-898X

Nguyen, Bach, Le, Chau and Vo, Vinh (2020) The paradox of investment timing in small business: Why do firms invest when it is too late? Journal of Small Business Management . ISSN 0047-2778

Nguyen, Thach V.H., Nguyen, Thai Vu Hong, Nguyen, Thanh Cong, Pham, Thu Thi Anh and Nguyen, Quan M.P. (2022) Stablecoins versus traditional cryptocurrencies in response to interbank rates. Finance Research Letters . p. 102744. ISSN 1544-6123

O

Ochinanwata, N., Ezepue, P. O., Nwankwo, T. C., Ochinanwata, C. and Igwe, P. A. (2021) Public-private Entrepreneurial Financing Partnership Model in Nigeria. Thunderbird International Business Review, 63 (3). pp. 369-379. ISSN 1520-6874

Ojo, Adegbola and Parry, Jon (2012) Financial, insurance and professional services: sector skills assessment 2012. Technical Report. United Kingdom Commission for Employment and Skills, London.

Q

Qasim, Saira, Rizov, Marian and Zhang, Xufei (2021) Financial Constraints and the Export Decision of Pakistani Firms. International Journal of Finance and Economics, 26 (3). pp. 4557-4573. ISSN 1076-9307

Qin, Weiping, Cho, Sungjun and Hyde, Stuart (2022) Measuring market integration during crisis periods. Journal of International Financial Markets, Institutions & Money, 78 (101555). ISSN 1042-4431

Qin, Weiping, Lambe, Brendan and Li, Zhiyong (2022) Uncertain times and the insider perspective. International Review of Financial Analysis, 81 (102138). ISSN 1057-5219

Quach, Hao (2009) Asset valuation: a pricing model for Vietnam. Vietnamese Journal of Finance, 519 . ISSN 005-56

Quach, Hao (2008) Should we buy the new listings? Vietnamese Journal of Finance, 518 . ISSN 005-56

Quach, Hao (2007) What have we seen from IPOs in Vietnam? Vietnamese Journal of Finance, 517 . pp. 39-45. ISSN 005-56

Quach, Hao and Mullineux, Andy (2007) The impact of access to credit on household welfare in rural Vietnam. Research in Accounting in Emerging Economies, 7 . pp. 279-307. ISSN 1479-3563

Quach, Hao, Nguyen, Hoang and Nguyen, Linh (2019) How do investors price stocks? - Evidence with real-time data from Vietnam. International Journal of Finance & Economics, 24 (2). pp. 828-840. ISSN 1076-9307

R

Rao, Tushar and Srivastava, Saket (2014) Twitter sentiment analysis: how to hedge your bets In the stock markets. In: State of the Art Applications of Social Network Analysis. Springer International Publishing, pp. 227-247. ISBN 9783319059112

Rizov, Marian (2008) Corporate capital structure and how soft budget constraints may affect it. Journal of Economic Surveys, 22 (4). pp. 648-684. ISSN 0950-0804

S

Saha, Shrabani and Sen, Kunal (2022) Corruption and crisis: do institutions matter? Working Paper. UNU-WIDER.

Su, Chen, Zhang, Hanxiong, Bangassa, Kenbata and Joseph, Nathan (2018) On the investment value of sell-side analyst recommendation revisions in the UK. Review of Quantitative Finance and Accounting, 53 (1). pp. 257-293. ISSN 0924-865X

V

Vortelinos, Dimitrios (2014) Non-parametric analysis of equity arbitrage. International Review of Economics and Finance, 33 . pp. 199-216. ISSN 1059-0560

Vortelinos, Dimitrios (2013) Portfolio analysis of intraday covariance matrix in the Greek equity market. Research in International Business and Finance, 27 (1). pp. 66-79. ISSN 0275-5319

Vortelinos, Dimitrios (2011) The properties of realized correlation. Contemporary Studies in Economic and Financial Analysis, 93 (93). pp. 645-667. ISSN 1569-3759

Vortelinos, Dimitrios (2010) The properties of realized correlation: evidence from the French, German and Greek equity markets. The Quarterly Review of Economics and Finance, 50 (3). pp. 273-290. ISSN 1062-9769

Vortelinos, Dimitrios and Thomakos, Dimitrios D. (2012) Realized volatility and jumps in the Athens Stock Exchange. Applied Financial Economics, 22 (2). pp. 97-112. ISSN 0960-3107

Vortelinos, Dimitrios I. (2016) Realized correlation analysis of contagion. The Quarterly Review of Economics and Finance, 60 . pp. 138-148. ISSN 1062-9769

Vortelinos, Dimitrios, Gkillas (Gillas), Konstantinos, Syriopoulos, Konstantinos and Svingou, Argiro (2018) Asymmetric and nonlinear inter-relations of US stock indices. International Journal of Managerial Finance, 14 (1). pp. 78-129. ISSN 1743-9132

Vortelinos, Dimitrios and Lakshmi, Geeta (2015) Market risk of BRIC Eurobonds in the financial crisis period. International Review of Economics and Finance, 39 . pp. 295-310. ISSN 1059-0560

Vortelinos, Dimitrios I. (2016) Evaluation of the Federal Reserve’s financial-crisis timeline. International Review of Financial Analysis, 45 . pp. 350-355. ISSN 1057-5219

Vu, Nhung and Le, Chau (2022) How much do cohesive and diversified networks improve financial access for small business? Applied Economics . ISSN 0003-6846

Z

Zhang, Hanxiong, Auer, Benjamin R. and Vortelinos, Dimitrios I. (2018) Performance ranking (dis)similarities in commodity markets. Global Finance Journal, 35 . pp. 115-137. ISSN 1044-0283

Zhang, Hanxiong, Hudson, Robert, Metcalf, Hugh and Manahov, Viktor (2017) Investigation of institutional changes in the UK housing market using structural break tests and time-varying parameter models. Empirical Economics, 53 (2). pp. 617-640. ISSN 0377-7332

Zhang, Hanxiong and Urquhart, Andrew (2019) Pairs trading across mainland China and Hong Kong stock markets. International Journal of Finance & Economics, 24 (2). pp. 698-726. ISSN 1076-9307

This list was generated on Fri Oct 7 06:52:51 2022 BST.