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  • Library of Congress Subject Areas (45676)
    • H Social Sciences (9689)
      • HG Finance (617)
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Number of items at this level: 617.

Journal Article

UNSPECIFIED. (1986) ACCOUNTING AND THE EXAMINATION - A GENEALOGY OF DISCIPLINARY POWER. ACCOUNTING ORGANIZATIONS AND SOCIETY, 11 (2). pp. 105-136. ISSN 0361-3682

UNSPECIFIED. (1987) ACCOUNTING FOR ACCOUNTING - TOWARDS THE DEVELOPMENT OF A DIALECTICAL VIEW. ACCOUNTING ORGANIZATIONS AND SOCIETY, 12 (5). pp. 437-456. ISSN 0361-3682

UNSPECIFIED. (1991) ACCOUNTING FOR THE RAILWAY MANIA OF 1845 - A GREAT RAILWAY SWINDLE. ACCOUNTING ORGANIZATIONS AND SOCIETY, 16 (5-6). pp. 439-486. ISSN 0361-3682

UNSPECIFIED. (1993) ADVERSARY ACCOUNTING - STRATEGIC USES OF FINANCIAL INFORMATION BY CAPITAL AND LABOR. ACCOUNTING ORGANIZATIONS AND SOCIETY, 18 (1). pp. 81-100. ISSN 0361-3682

UNSPECIFIED. (2001) Are two factors enough? The UK evidence. FINANCIAL ANALYSTS JOURNAL, 57 (6). 96-+. ISSN 0015-198X

UNSPECIFIED. (2004) Asymmetric arbitrage and default premiums between the US and Russian financial markets. IMF STAFF PAPERS, 51 (2). pp. 257-275. ISSN 1020-7635

UNSPECIFIED. (2005) The Brazilian currency turmoil of 2002: A nonlinear analysis. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 10 (4). pp. 289-306. ISSN 1076-9307

UNSPECIFIED. (1985) CARTEL BEHAVIOR AND ADVERSE SELECTION. JOURNAL OF INDUSTRIAL ECONOMICS, 33 (4). pp. 401-413. ISSN 0022-1821

UNSPECIFIED. (1991) THE CHANGING NATURE OF COMPETITION IN THE UK VENTURE CAPITAL INDUSTRY. NATIONAL WESTMINSTER BANK QUARTERLY REVIEW . pp. 65-80. ISSN 0028-0399

UNSPECIFIED. (1989) CONSENSUS AND ACCURACY IN ACCOUNTING STUDIES OF DECISION-MAKING - A NOTE ON A NEW MEASURE OF CONSENSUS. ACCOUNTING ORGANIZATIONS AND SOCIETY, 14 (4). pp. 337-345. ISSN 0361-3682

UNSPECIFIED. (1993) CONTRACTS, CREDIBILITY, AND COMMON KNOWLEDGE - THEIR INFLUENCE ON INFLATION CONVERGENCE. INTERNATIONAL MONETARY FUND STAFF PAPERS, 40 (1). pp. 178-201. ISSN 0020-8027

UNSPECIFIED. (1983) CORPORATE INSURANCE PURCHASES AND TAXES. JOURNAL OF RISK AND INSURANCE, 50 (2). pp. 197-223. ISSN 0022-4367

UNSPECIFIED. (1991) CURRENCY BANDS, TARGET ZONES, AND PRICE FLEXIBILITY. INTERNATIONAL MONETARY FUND STAFF PAPERS, 38 (1). pp. 184-215. ISSN 0020-8027

UNSPECIFIED. (2004) Can regime-switching models reproduce the business cycle features of US aggregate consumption, investment and output? INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 9 (1). pp. 1-14. ISSN 1076-9307

UNSPECIFIED. (2005) A Contango-constrained model for storable commodity prices. JOURNAL OF FUTURES MARKETS, 25 (11). pp. 1025-1044. ISSN 0270-7314

UNSPECIFIED. (2002) Covered interest rate arbitrage in the interwar period and the Keynes-Einzig conjecture. JOURNAL OF MONEY CREDIT AND BANKING, 34 (1). pp. 51-75. ISSN 0022-2879

UNSPECIFIED. (1991) THE DETERMINATION OF PROFIT MARGINS IN UK MANUFACTURING. JOURNAL OF INDUSTRIAL ECONOMICS, 39 (4). pp. 369-382. ISSN 0022-1821

UNSPECIFIED. (1997) Debt in industry equilibrium. REVIEW OF FINANCIAL STUDIES, 10 (1). pp. 39-67. ISSN 0893-9454

UNSPECIFIED. (2006) Debt restructuring and economic recovery: Analysing the Argentine swap. WORLD ECONOMY, 29 (4). pp. 377-398. ISSN 0378-5920

UNSPECIFIED. (2001) Does conditioning information matter in estimating continuous time interest rate diffusions? JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, 36 (3). pp. 335-344. ISSN 0022-1090

UNSPECIFIED. (1984) THE EFFECTS OF GOVERNMENT EXPENDITURE ON THE TERM STRUCTURE OF INTEREST-RATES. JOURNAL OF MONEY CREDIT AND BANKING, 16 (1). pp. 16-33. ISSN 0022-2879

UNSPECIFIED. (1997) Economies of scale and scope in the Finnish non-life insurance industry. JOURNAL OF BANKING & FINANCE, 21 (6). pp. 759-779. ISSN 0378-4266

UNSPECIFIED. (2004) Estimating structural macroeconomic shocks through long-run recursive restrictions on vector autoregressive models: The problem of identification. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 9 (3). pp. 229-244. ISSN 1076-9307

UNSPECIFIED. (2001) Evaluating forecasts from SETAR models of exchange rates. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 20 (1). pp. 133-148. ISSN 0261-5606

UNSPECIFIED. (2005) Federal funds rate prediction. JOURNAL OF MONEY CREDIT AND BANKING, 37 (3). pp. 449-471. ISSN 0022-2879

UNSPECIFIED. (1988) THE GENESIS OF ACCOUNTABILITY - THE WEST POINT CONNECTIONS. ACCOUNTING ORGANIZATIONS AND SOCIETY, 13 (1). pp. 37-73. ISSN 0361-3682

UNSPECIFIED. (2001) 'Horrid appealing': accounting for taxable profits in mid-nineteenth century England. ACCOUNTING ORGANIZATIONS AND SOCIETY, 26 (3). pp. 271-298. ISSN 0361-3682

UNSPECIFIED. (2002) How large are the benefits from using options? JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, 37 (2). pp. 201-220. ISSN 0022-1090

UNSPECIFIED. (2004) How robust is the Kearney/Foreign Policy globalisation index? WORLD ECONOMY, 27 (4). pp. 507-523. ISSN 0378-5920

UNSPECIFIED. (1989) IMPERFECT COMPETITION AND THE TAXATION OF INTERMEDIATE GOODS. PUBLIC FINANCE-FINANCES PUBLIQUES, 44 (1). pp. 62-74. ISSN 0033-3476

UNSPECIFIED. (2004) International real interest rate differentials, purchasing power parity and the behaviour of real exchange rates: The resolution of a conundrum. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 9 (1). pp. 15-23. ISSN 1076-9307

UNSPECIFIED. (1999) Kalman filtering of generalized Vasicek term structure models. JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, 34 (1). pp. 115-130. ISSN 0022-1090

UNSPECIFIED. (1987) LEASE VALUATION WHEN TAXABLE EARNINGS ARE A SCARCE RESOURCE. JOURNAL OF FINANCE, 42 (4). pp. 987-1005. ISSN 0022-1082

UNSPECIFIED. (2001) Learning, uncertainty and central bank activism in an economy with strategic interactions. JOURNAL OF MONETARY ECONOMICS, 48 (1). pp. 153-171. ISSN 0304-3932

UNSPECIFIED. (2002) Left out in the cold? New energy tariffs, low-income households and the fuel poor. FISCAL STUDIES, 23 (2). pp. 167-194. ISSN 0143-5671

UNSPECIFIED. (1998) Linear and nonlinear Granger causality: Evidence from the UK stock index futures market. JOURNAL OF FUTURES MARKETS, 18 (5). pp. 519-540. ISSN 0270-7314

UNSPECIFIED. (1987) MEASUREMENT AND ALLEVIATION OF POVERTY - WITH AN APPLICATION TO THE EFFECTS OF MACROECONOMIC ADJUSTMENT. INTERNATIONAL MONETARY FUND STAFF PAPERS, 34 (1). pp. 60-85. ISSN 0020-8027

UNSPECIFIED. (1993) MERGER FAILURE AND MERGER PROFITABILITY. JOURNAL OF INDUSTRIAL ECONOMICS, 41 (4). pp. 371-386. ISSN 0022-1821

UNSPECIFIED. (1990) MONEY SUPPLY ANNOUNCEMENTS AND REAL INTEREST-RATES - EVIDENCE FROM THE UK INDEX-LINKED BOND MARKET. JOURNAL OF BANKING & FINANCE, 14 (2-3). pp. 637-648. ISSN 0378-4266

UNSPECIFIED. (2004) Market power and joint dominance in UK brewing. JOURNAL OF INDUSTRIAL ECONOMICS, 52 (1). pp. 133-163. ISSN 0022-1821

UNSPECIFIED. (2002) Mean reversion in stock index futures markets: A nonlinear analysis. JOURNAL OF FUTURES MARKETS, 22 (4). pp. 285-314. ISSN 0270-7314

UNSPECIFIED. (2001) Modelling fundamentals for forecasting capital flows to emerging markets. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 6 (3). pp. 201-216. ISSN 1076-9307

UNSPECIFIED. (2004) Monetary policy rules, asset prices, and exchange rates. IMF STAFF PAPERS, 51 (3). pp. 529-552. ISSN 1020-7635

UNSPECIFIED. (1983) A NOTE ON CONGLOMERATE MERGER AND BEHAVIORAL-RESPONSE TO RISK. JOURNAL OF INDUSTRIAL ECONOMICS, 31 (3). pp. 283-289. ISSN 0022-1821

UNSPECIFIED. (2006) New evidence on the forward unbiasedness hypothesis in the foreign-exchange market. JOURNAL OF FUTURES MARKETS, 26 (7). pp. 627-656. ISSN 0270-7314

UNSPECIFIED. (2004) Nonlinear dynamics in deviations from the law of one price: a broad-based empirical study. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 23 (1). pp. 1-25. ISSN 0261-5606

UNSPECIFIED. (2003) Nonlinear equilibrium correction in US real money balances, 1869-1997. JOURNAL OF MONEY CREDIT AND BANKING, 35 (5). pp. 787-799. ISSN 0022-2879

UNSPECIFIED. (1984) OPTIMUM TAXATION AND TAX POLICY. INTERNATIONAL MONETARY FUND STAFF PAPERS, 31 (2). pp. 339-378. ISSN 0020-8027

UNSPECIFIED. (1987) OWNERSHIP CONCENTRATION AND THE THEORY OF THE FIRM - A SIMPLE-GAME-THEORETIC APPROACH. JOURNAL OF INDUSTRIAL ECONOMICS, 35 (3). pp. 225-240. ISSN 0022-1821

UNSPECIFIED. (2004) On the way to recovery: A nonparametric bias free estimation of recovery rate densities. JOURNAL OF BANKING & FINANCE, 28 (12). pp. 2915-2931. ISSN 0378-4266

UNSPECIFIED. (1985) PRODUCT DIVERSITY AND MONOPOLISTIC COMPETITION UNDER UNCERTAINTY. JOURNAL OF INDUSTRIAL ECONOMICS, 33 (4). pp. 501-513. ISSN 0022-1821

UNSPECIFIED. (1990) PROJECTS VERSUS POLICY REFORM. WORLD BANK ECONOMIC REVIEW (Suppl. S). pp. 397-413. ISSN 0258-6770

UNSPECIFIED. (1993) THE PROVISION OF INFORMATION IN A BERTRAND OLIGOPOLY. JOURNAL OF INDUSTRIAL ECONOMICS, 41 (1). pp. 61-76. ISSN 0022-1821

UNSPECIFIED. (2005) The Pension Protection Fund. FISCAL STUDIES, 26 (2). pp. 139-167. ISSN 0143-5671

UNSPECIFIED. (1998) Pricing by arbitrage under arbitrary information. MATHEMATICAL FINANCE, 8 (2). pp. 163-168. ISSN 0960-1627

UNSPECIFIED. (2000) Purchasing power parity over two centuries: Strengthening the case for real exchange rate stability - A reply to Cuddington and Liang. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 19 (5). pp. 759-764. ISSN 0261-5606

UNSPECIFIED. (1993) RETAIL PHARMACY IN MELBOURNE - ACTUAL AND OPTIMAL DENSITIES. JOURNAL OF INDUSTRIAL ECONOMICS, 41 (4). pp. 403-419. ISSN 0022-1821

UNSPECIFIED. (2002) Reviewing proposals for a world environmental organisation. WORLD ECONOMY, 25 (5). pp. 601-617. ISSN 0378-5920

UNSPECIFIED. (1997) Rogoff's ''conservative'' central banker restored. JOURNAL OF MONEY CREDIT AND BANKING, 29 (4 Part 1). pp. 476-495. ISSN 0022-2879

UNSPECIFIED. (2000) SETS, arbitrage activity, and stock price dynamics. JOURNAL OF BANKING & FINANCE, 24 (8). pp. 1289-1306. ISSN 0378-4266

UNSPECIFIED. (1986) SKILL SHORTAGES AND RECRUITMENT PROBLEMS IN WEST MIDLANDS ENGINEERING INDUSTRY. NATIONAL WESTMINSTER BANK QUARTERLY REVIEW . pp. 45-57. ISSN 0028-0399

UNSPECIFIED. (1997) Some further theoretical and empirical implications regarding the relationship between earnings, dividends and stock prices. JOURNAL OF BANKING & FINANCE, 21 (1). pp. 17-35. ISSN 0378-4266

UNSPECIFIED. (1999) Special and differential treatment in the millennium round. WORLD ECONOMY, 22 (8). pp. 1065-1093. ISSN 0378-5920

UNSPECIFIED. (2000) Specific excise taxation in a unionized differentiated duopoly. PUBLIC FINANCE REVIEW, 28 (4). pp. 351-371. ISSN 0048-5853

UNSPECIFIED. (2004) Spillovers, investment incentives and the property rights theory of the firm. JOURNAL OF INDUSTRIAL ECONOMICS, 52 (2). pp. 229-253. ISSN 0022-1821

UNSPECIFIED. (1995) TIGHTER AVERAGE REVENUE REGULATION CAN REDUCE CONSUMER WELFARE. JOURNAL OF INDUSTRIAL ECONOMICS, 43 (4). pp. 399-404. ISSN 0022-1821

UNSPECIFIED. (2000) 'Time to build, option value and investment decisions': a comment. JOURNAL OF FINANCIAL ECONOMICS, 56 (2). pp. 325-332. ISSN 0304-405X

UNSPECIFIED. (2003) Tyre price dispersion across retail outlets in the UK. JOURNAL OF INDUSTRIAL ECONOMICS, 51 (4). pp. 491-509. ISSN 0022-1821

UNSPECIFIED. (1995) A URUGUAY ROUND SUCCESS. WORLD ECONOMY, 18 (1). pp. 25-30. ISSN 0378-5920

UNSPECIFIED. (2006) Under the microscope: The structure of the foreign exchange market. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 11 (1). pp. 81-95. ISSN 1076-9307

UNSPECIFIED. (1985) THE VALUATION OF VARIABLE-RATE LEASES. FINANCIAL MANAGEMENT, 14 (1). pp. 68-74. ISSN 0046-3892

UNSPECIFIED. (2004) Valuing Bermudan options when asset returns are Levy processes. QUANTITATIVE FINANCE, 4 (1). pp. 87-100. ISSN 1469-7688

UNSPECIFIED. (2000) Valuing the strategic option to sell life insurance business: Theory and evidence. JOURNAL OF BANKING & FINANCE, 24 (10). pp. 1681-1702. ISSN 0378-4266

UNSPECIFIED. (1999) Wealth effects of convertible bond and convertible preference share issues: An empirical analysis of the UK market. JOURNAL OF BANKING & FINANCE, 23 (7). pp. 1043-1065. ISSN 0378-4266

UNSPECIFIED. (2005) Welfare to work, wages and wage growth. FISCAL STUDIES, 26 (3). pp. 335-370. ISSN 0143-5671

UNSPECIFIED. (2004) Why has the UK corporation tax raised so much revenue? FISCAL STUDIES, 25 (4). pp. 367-388. ISSN 0143-5671

UNSPECIFIED. (2006) The analysis of poverty data with endogenous transitions. FISCAL STUDIES, 27 (1). pp. 75-98. ISSN 0143-5671

UNSPECIFIED. (1996) A comparison of alternative covariance matrices for models with over-lapping observations. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 15 (5). pp. 813-823. ISSN 0261-5606

UNSPECIFIED. (2003) The dynamic relationship between the federal funds rate and the Treasury bill rate: An empirical investigation. JOURNAL OF BANKING & FINANCE, 27 (6). pp. 1079-1110. ISSN 0378-4266

UNSPECIFIED. (2004) The efficient market hypothesis and identification in structural VARs. FEDERAL RESERVE BANK OF ST LOUIS REVIEW, 86 (1). pp. 49-60. ISSN 0014-9187

UNSPECIFIED. (2002) The functioning of a commitment based WEO: Lessons from experience with the WTO. WORLD ECONOMY, 25 (5). pp. 685-695. ISSN 0378-5920

UNSPECIFIED. (2003) The high-yield spread as a predictor of real economic activity: Evidence of a financial accelerator for the United States. IMF STAFF PAPERS, 50 (3). pp. 373-402. ISSN 1020-7635

UNSPECIFIED. (2000) The history of accounting and the transition to capitalism in England. Part one: theory. ACCOUNTING ORGANIZATIONS AND SOCIETY, 25 (2). pp. 131-162. ISSN 0361-3682

UNSPECIFIED. (2002) The impact of divestment on firm performance: Empirical evidence from a panel of UK companies. JOURNAL OF INDUSTRIAL ECONOMICS, 50 (2). pp. 173-196. ISSN 0022-1821

UNSPECIFIED. (2002) An internalisation-based world environmental organisation. WORLD ECONOMY, 25 (5). pp. 619-642. ISSN 0378-5920

UNSPECIFIED. (1997) The 'laissez faire' bias of managed floating. JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 16 (6). pp. 989-1000. ISSN 0261-5606

UNSPECIFIED. (2004) A new Fourier transform algorithm for value-at-risk. QUANTITATIVE FINANCE, 4 (3). pp. 328-338. ISSN 1469-7688

UNSPECIFIED. (2004) A new approach to modeling the dynamics of implied distributions: Theory and evidence from the S&P 500 options. JOURNAL OF BANKING & FINANCE, 28 (7). pp. 1499-1520. ISSN 0378-4266

UNSPECIFIED. (1997) A nonlinear model of the term structure of interest rates. MATHEMATICAL FINANCE, 7 (2). pp. 177-209. ISSN 0960-1627

UNSPECIFIED. (2002) The productivity and wage effects of foreign acquisition in the United Kingdom. JOURNAL OF INDUSTRIAL ECONOMICS, 50 (1). pp. 85-102. ISSN 0022-1821

UNSPECIFIED. (1999) The tax treatment of financial intermediation. JOURNAL OF MONEY CREDIT AND BANKING, 31 (4). pp. 704-719. ISSN 0022-2879

UNSPECIFIED. (1997) The unbearable ambiguity of accounting. ACCOUNTING ORGANIZATIONS AND SOCIETY, 22 (7). pp. 691-712. ISSN 0361-3682

Abdul-Majid, Mariani, Saal, David S. and Battisti, Giuliana. (2010) Efficiency in Islamic and conventional banking : an international comparison. Journal of Productivity Analysis, 34 (1). pp. 25-43. ISSN 0895-562X

Abdul-Majid, Mariani, Saal, David S. and Battisti, Giuliana. (2011) The impact of Islamic banking on the cost efficiency and productivity change of Malaysian commercial banks. Applied Economics, 43 (16). pp. 2033-2054. ISSN 0003-6846

Abhyankar, Abhay, Basu, Devraj and Stremme, Alexander. (2007) Portfolio efficiency and discount factor bounds with conditioning information: an empirical study. Journal of Banking & Finance, Vol.31 (No.2). pp. 419-437. ISSN 0378-4266

Adam-Müller, Axel F.A. and Nolte, Ingmar. (2011) Cross hedging under multiplicative basis risk. Journal of Banking & Finance, Vol.35 (No.11). pp. 2956-2964. ISSN 0378-4266

Agarwal, Vineet and Taffler, Richard J.. (2008) Comparing the performance of market-based and accounting-based bankruptcy prediction models. Journal of Banking & Finance, 32 (8). pp. 1541-1551. ISSN 0378-4266

Agarwal, Vineet and Taffler, Richard J.. (2008) Does financial distress risk drive the momentum anomaly? Financial Management , 37 (3). pp. 461-484. ISSN 0046-3892

Ahrens, Thomas. (2008) Overcoming the subjective-objective divide in interpretive management accounting research. Accounting, Organizations and Society, Vol.33 (No.2-3). pp. 292-297. ISSN 0361-3682

Ahrens, Thomas and Chapman, Christopher S.. (2007) Management accounting as practice. ACCOUNTING ORGANIZATIONS AND SOCIETY, 32 (1-2). pp. 1-27. ISSN 0361-3682

Ahrens, Thomas and Mollona, Massimillano. (2007) Organisational control as cultural practice - A shop floor ethnography of a Sheffield steel mill. Accounting, Organizations and Society, Vol.32 (No.4-5). pp. 305-331. ISSN 0361-3682

Akbar, Saeed, Shah, Syed Zulfiqar Ali and Stark, Andrew W.. (2011) The value relevance of cash flows, current accruals, and non-current accruals in the UK. International Review of Financial Analysis, Vol.20 (No.5). pp. 311-319. ISSN 10575219

Akram, Qaisar Farooq, Rime, Dagfinn and Sarno, Lucio. (2008) Arbitrage in the foreign exchange market : turning on the microscope. Journal of International Economics, Vol.76 (No.2). pp. 237-253. ISSN 0022-1996

Angelis, Jannis, Macintyre, Mairi, Dhaliwal, Jag, Parry, Glenn and Siraliova, Jelena. (2011) Customer centered value creation. Issues of Business and Law, Vol.3 (No.3). pp. 11-19. ISSN 2029-1094

Aretz, Kevin and Bartram, Söhnke M.. (2010) Corporate hedging and shareholder value. Journal of Financial Research, Vol.33 (No.4). pp. 317-371. ISSN 0270-2592

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter F.. (2011) Asymmetric loss functions and the rationality of expected stock returns. International Journal of Forecasting, Vol.27 (No.2). pp. 413-437. ISSN 0169-2070

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter F.. (2010) Macroeconomic risks and characteristic-based factor models. Journal of Banking & Finance, Vol.34 (No.6). pp. 1383-1399. ISSN 0378-4266

Barker, Richard and Imam, Shahed. (2008) Analysts' perceptions of 'earnings quality'. Accounting and Business Research, Vol.38 (No.4). pp. 313-329. ISSN 0001-4788

Barnes, Tina Angela, Raynor, S. A. and Bacchus, W. J.. (2009) An investigation of trends in international joint venture activity in emerging economies and the effects of market uncertainty. The International Journal of Knowledge, Culture and Change Management, Vol.9 (Iss.2). pp. 161-174. ISSN 1447-9524

Barnett, Alina. (2007) The effects of EU shocks on the newly acceded countries. International Journal of Finance & Economics, Vol.12 (No.4). pp. 389-404. ISSN 1099-1158

Bartram, Söhnke M.. (2008) What lies beneath : foreign exchange rate exposure, hedging and cash flows. Journal of Banking & Finance, Vol.32 (No.8). pp. 1508-1521. ISSN 0378-4266

Bartram, Söhnke M. and Bodnar, Gordon M.. (2012) Crossing the lines : the conditional relation between exchange rate exposure and stock returns in emerging and developed markets. Journal of International Money and Finance, Vol.31 (No.4). pp. 766-792. ISSN 0261-5606

Bartram, Söhnke M., Brown, Gregory W. and Conrad, Jennifer. (2011) The effects of derivatives on firm risk and value. Journal of Financial and Quantitative Analysis, Vol.46 (No.4). pp. 967-999. ISSN 0022-1090

Bartram, Söhnke M., Brown, Gregory W. and Fehle, Frank R.. (2009) International evidence on financial derivatives usage. Financial Management , Vol.38 (No.1). pp. 185-206. ISSN 0046-3892

Bartram, Söhnke M., Brown, Gregory W. and Minton, Bernadette A.. (2010) Resolving the exposure puzzle: The many facets of exchange rate exposure. Journal of Financial Economics, Vol.95 (No.2). pp. 148-173. ISSN 0304-405X

Bartram, Söhnke M., Brown, Gregory W. and Stulz, Rene M.. (2012) Why are U.S. stocks more volatile? Journal of Finance, 67 (4). pp. 1329-1370. ISSN 0022-1082

Basu, Devraj, Oomen, Roel and Stremme, Alexander. (2010) International dynamic asset allocation and return predictability. Journal of Business Finance & Accounting, Vol.37 (No.7-8). pp. 1008-1025. ISSN 0306-686X

Bhar, R., Colwell, D. R. and Peiris, Udara. (2010) A Markov chain modulated short-term interest rate model : inference on Central Bank transparency. Journal of Applied Statistical Science, Vol.17 (No.3). pp. 427-446. ISSN 1067-5817

Bhardwaj, G. (Geetesh), Corradi, Valentina and Swanson, Norman R. (Norman Rasmus), 1964-. (2008) A simulation-based specification test for diffusion processes. Journal of Business and Economic Statistics, Vol.26 (No.2). pp. 176-193. ISSN 0735-0015

Bien, Katarzyna, Nolte, Ingmar and Pohlmeier, Winfried. (2009) An inflated multivariate integer count hurdle model : an application to bid and ask quote dynamics. Journal of Applied Econometrics, Volume 26 (Number 4). pp. 669-707. ISSN 0883-7252

Bisping, Christopher. (2011) The case against Section 75 of the Consumer Credit Act 1974 in credit card transactions. Journal of Business Law (No.5). pp. 457-474. ISSN 0021-9460

Botsari, Antonia and Meeks, Geoffrey. (2008) Do acquirers manage earnings prior to a share for share bid? Journal of Business Finance & Accounting, Vol.35 (No.5-6). pp. 633-670. ISSN 0306-686X

Bouyé, Eric and Salmon, Mark. (2009) Dynamic copula quantile regressions and tail area dynamic dependence in Forex markets. European Journal of Finance, Vol.15 (No.7-8). pp. 721-750. ISSN 1351-847X

Brammer, Stephen, Brooks, Chris and Pavelin, Stephen. (2009) The stock performance of America's 100 Best Corporate Citizens. Quarterly Review of Economics & Finance, Vol.49 (No.3). 1065 - 1080. ISSN 1062-9769

Brammer, Stephen and Millington, Andrew. (2008) Does it pay to be different? An analysis of the relationship between corporate social and financial performance. Strategic Management Journal, Vol.29 (No.12). 1325 - 1343. ISSN 0143-2095

Branke, Jürgen, 1969-, Scheckenbach, B., Steinke, M., Deb, Kalyanmoy and Schmeck, H.. (2009) Portfolio optimization with an envelope-based multi-objective evolutionary algorithm. European Journal of Operational Research, 199 (3). pp. 684-693. ISSN 0377-2217

Bryer, Rob. (2006) Capitalist accountability and the British Industrial Revolution : the Carron Company, 1759-circa. 1850. Accounting Organizations and Society, Vol.31 (No.8). pp. 687-734. ISSN 0361-3682

Chantziara, Thalia and Skiadopoulos, George. (2008) Can the dynamics of the term structure of petroleum futures be forecasted? Evidence from major markets. Energy Economics, Vol.30 (No.3). pp. 962-985. ISSN 0140-9883

Cohen, Robin, 1944-. (2005) La liberté de circulation de devises et de personnes : les débats avant et après le 11 Septembre 2001. Migrations Société, Vol.27 (No.102). pp. 45-69. ISSN 0996-7367

Cole, Tony and Vaksha, Anuj Kumar. (2011) Power-conferring treaties : the meaning of ‘investment’ in the ICSID convention. Leiden Journal of International Law, Vol.24 (No.2). pp. 305-330. ISSN 0922-1565

Collins, J. Michael and Orton, Michael. (2010) Comparing foreclosure counseling policies in the US and UK. Journal of Comparative Policy Analysis: Research and Practice, Vol.12 (No.4). pp. 417-438. ISSN 1387-6988

Corradi, Valentina, Distaso, Walter and Fernandes, Marcelo. (2012) International market links and volatility transmission. Journal of Econometrics, 170 (1). pp. 117-141. ISSN 0304-4076

Corrado, Luisa, Miller, Marcus, 1941- and Zhang, Lei, Dr.. (2007) Bulls, Bears and excess volatility: can currency intervention help? International Journal of Finance & Economics, Vol. 12 (pt. 2). pp. 261-272. ISSN 1099-1158

Corrado, Luisa, Miller, Marcus, 1941- and Zhang, Lei, Dr.. (2007) Bulls, bears and excess volatility: can currency intervention help? International Journal of Finance & Economics, Vol.12 (No.2). pp. 261-272. ISSN 1076-9307

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Watson, Matthew, Ph.D.. (2001) International capital mobility in an era of globalisation: adding a political dimension to the 'Feldstein–Horioka Puzzle'. Politics (Oxford), Vol.21 (No.2). pp. 81-92. ISSN 0263-3957

Watson, Matthew, Ph.D.. (2009) Investigating the potentially contradictory microfoundations of financialization. Economy and Society, Vol.38 (No.2). pp. 255-277. ISSN 0308-5147

Watson, Matthew, Ph.D.. (1999) Rethinking capital mobility, re-regulating financial markets. New Political Economy, Vol.4 (No.1). pp. 55-75. ISSN 1356-3467

Watson, Matthew, Ph.D.. (2002) Sand in the wheels, or oiling the wheels, of international finance? New Labour's appeal to a 'new Bretton Woods'. British Journal of Politics and International Relations, Vol.4 (No.2). pp. 193-221. ISSN 1369-1481

Watson, Matthew, Ph.D.. (2007) Searching for the Kuhnian moment : the Black-Scholes-Merton formula and the evolution of modern finance theory. Economy and Society, Vol.36 (No.2). pp. 325-337. ISSN 0308-5147

Watson, Matthew, Ph.D.. (2002) The institutional paradoxes of monetary orthodoxy: reflections on the political economy of central bank independence. Review of International Political Economy, Vol.9 (No.1). pp. 183-196. ISSN 0969-2290

Whalley, A. Elizabeth. (2011) Optimal partial hedging of options with small transaction costs. Journal of Futures Markets, Vol.31 (No.9). pp. 855-897. ISSN 0270-7314

Wolf, Nikolaus, 1973-. (2008) Scylla and Charybdis. explaining Europe's exit from gold, January 1928-December 1936. Explorations in Economic History, Vol.45 (No.4). pp. 383-401. ISSN 0014-4983

Zhang, Chendi and Goergen, Marc. (2008) Do UK institutional shareholders monitor their investee firms? Journal of Corporate Law Studies, Vol.8 (No.1). pp. 39-56. ISSN 1473-5970

de la Feria, Rita and Lockwood, Ben. (2010) Opting for opting-in? an evaluation of the European Commission's proposals for reforming VAT on financial services. Fiscal Studies, Vol.31 (No.2). pp. 171-202. ISSN 0143-5671

Book Item

Branston, J. Robert, Cowling, Keith and Sugden, Roger (2008) Corporate governance and the public interest : the way forward. In: Gugler, Klaus and Yurtoglu, B. Burcin, (eds.) The economics of corporate governance and mergers. Cheltenham ; Northampton, MA: Edward Elgar, pp. 54-76. ISBN 9781847207159

Burnell, Peter J. (2008) Foreign aid resurgent : new spirit or old hangover? In: Addison, Tony and Mavrotas, George, (eds.) Development finance in the global economy ; the road ahead. Studies in Development Economics and Policy . Basingstoke ; New York: Palgrave Macmillan, pp. 24-42. ISBN 9780230202481

Chang, Li-Jen, Levy, Margi and Powell, Philip (2011) Small Firm Process Re-Engineering Success. In: Tavana, M., (ed.) Managing Adaptability, Intervention, and People in Enterprise Information Systems. United States: I G I Global, pp. 138-155. ISBN 978-1-6096-0529-2

Crouch, Colin (2012) Democracy and capitalism in the wake of the financial crisis. In: Amenta, Edwin and Nash, Kate and Scott, Alan, (eds.) The Wiley-Blackwell Companion to Political Sociology. Oxford: Wiley-Blackwell Publishing Ltd., pp. 478-490. ISBN 9781444330939

Crouch, Colin (2010) Postdemokratie und die krise des 'privatisierten Keynesianismus'. In: Huber, B., (ed.) Kurswechsel fuer Deutschland: die lehren aus der krise (Change of course for Germany: The lessons of the crisis). Frankfurt: Campus-Verlag GmbH , pp. 114-129. ISBN 9783593391045

Finn, Margot C. (2000) Law, debt, and Empire in Calcutta. In: Louis, William Roger, 1936-, (ed.) Papers of the Faculty Seminar in British Studies. Texas, USA: Harry Ransom Humanities Research Center, University of Texas at Austin, pp. 1-25.

Gracia, Louise and Oats, Lynne (2012) Insights from Bourdieu. In: Oats, L., (ed.) Taxation: A Fieldwork Research Handbook. London, UK: Routledge. ISBN 978-0-415-57761-8

Grant, Wyn (2011) Was there ever an Anglo-American model of Capitalism? In: Casey, Terrence, (ed.) Legacy of the crash : how the financial crisis changed America and Britain. Basingstoke: Palgrave Macmillan, pp. 19-37. ISBN 9780230304581

Hobson, David (David G.) (2011) The Skorokhod embedding problem and model-independent bounds for option prices. In: Cousin , Areski, (ed.) Paris-Princeton Lectures on Mathematical Finance 2010. Lecture Notes in Mathematics, Vol.2003 . London ; New York: Springer, pp. 267-318. ISBN 9783642146596

Hyeyoen, Kim and Taylor, Mark P. (2008) Real Variables, Nonlinearity and European Real Exchange Rates. In: NBER International Seminar on Macroeconomics. NBER Book Series NBER International Seminar on Macroeconomics (Chapter 4). United States: National Bureau of Economic Research, pp. 157-193. ISBN 978-0-226-10732-5

Kettell, Steven, 1973- and Burnham, Peter (2011) International economy. In: Flinders, Matthew and Gamble, Andrew and Hay, Colin, 1968- and Kenny, Michael, (eds.) The Oxford handbook of British politics. Oxford Handbooks in Politics & International Relations . Oxford: Oxford University Press, pp. 932-948. ISBN 9780199230952

McEldowney, John F. (2009) Defining the public interest : public law perspectives on regulating the financial crisis. In: Labrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, (eds.) Financial crisis management and bank resolution. London: Informa Law, pp. 103-132. ISBN 9781843118381

McEldowney, John F. (2011) The precautionary principle and protecting the public interest in the UK. In: LaBrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, (eds.) Managing risk in the financial system. Cheltenham : Edward Elgar, p. 7. ISBN 9780857933812

Pratt, Nicola Christine (2008) Human rights NGOs and the foreign funding debate in Egypt. In: Chase, Anthony and Hamzawy, Amr, (eds.) Human rights in the Arab world : indepedent voices. Pennsylvania Studies in Human Rights . Philadelphia: University of Pennsylvania Press, pp. 114-126. ISBN 9780812220322

Sinclair, Timothy J. (2010) Credit rating agencies. In: Coen, David and Wilson, Graham K. and Grant, Wyn, (eds.) The Oxford handbook of business and government. Oxford Handbooks in Business and Management . Oxford: Oxford University Press, pp. 422-439. ISBN 9780199214273

Sinclair, Timothy J. (2010) Global financial crises. In: Beeson, Mark and Bisley, Nick, (eds.) Issues in 21st century world politics. Basingstoke ; New York: Palgrave Macmillan, pp. 214-224. ISBN 9780230594517

Sinclair, Timothy J. (2011) Im Inneren der Weltfinanzkrise : Eine kritische Analyse zum Problem des Interessenkonflikts. In: Die Internationale Politische Ökonomie der Weltfinanzkrise. Wiesbaden: VS Verlag, pp. 183-198. ISBN 9783531165356

Singh, Dalvinder, 1970- (2009) The European deposit guarantee directive : an appraisal of the reform. In: Labrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, (eds.) Financial crisis management and bank resolution. London: Informa Law, pp. 155-175. ISBN 9781843118381

Singh, Dalvinder, 1970- (2008) The role of the IMF and World Bank in financial sector reform and compliance. In: Shan, Wenhua and Simons, Penelope, 1963- and Singh, Dalvinder, 1970-, (eds.) Redefining sovereignty in international economic law. Studies in international trade law (No.7). Oxford: Hart, pp. 331-362. ISBN 9781841137018

Snape, John (2011) Tax and the City : the UK's proposals for a bank levy. In: LaBrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, (eds.) Managing risk in the financial system. Cheltenham : Edward Elgar. ISBN 9780857933812

Sorge, Marco and Zhang, Chendi (2010) Currency and Maturity Mismatches in Latin America. In: Gregoriou, G.N., (ed.) The Banking Crisis Handbook. Boca Raton, Fla. ; London: CRC Press, pp. 353-372. ISBN 978-1-4398-1853-4

Watson, Matthew, Ph.D. (2009) Boom and crash : the politics of individual subject creation in the most recent British house price bubble. In: The politics of housing booms and busts. Basingstoke: Palgrave Macmillan, pp. 52-75. ISBN 9780230230804

Watson, Matthew, Ph.D. (2011) Global trade and finance. In: Baylis, John and Smith, Steve and Owens, Patricia, (eds.) The globalization of world politics : an introduction to international relations (fifth edition). Oxford: Oxford University Press, pp. 444-457. ISBN 9780199569090

Zhang, Chendi (2009) Ethical Funds and Socially Responsible Investment: An Overview. In: QFinance: The Ultimate Resource. London, UK: Bloomsbury, pp. 306-308. ISBN 978-1-8493-0000-1

Conference Item

UNSPECIFIED (2006) Can you teach old dogs new tricks? On complementarity of human capital and incentives. In: Conference on Emerging Markets Finance, London, ENGLAND, MAY 05-06, 2005. Published in: JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 25 (3). pp. 445-458.

UNSPECIFIED (1999) Corporate governance, executive pay and performance in Europe. In: Conference on Executive Compensation and Shareholder Value, NEW YORK, NY, OCT 24, 1997. Published in: EXECUTIVE COMPENSATION AND SHAREHOLDER VALUE: THEORY AND EVIDENCE pp. 13-33.

UNSPECIFIED (2005) Empirical exchange rate models and currency risk: some evidence from density forecasts. In: 8th International Conference on Macroeconomic Analysis and International Finance, Univ Crete, Rethymno, GREECE, MAY 27-29, 2004. Published in: JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 24 (2). pp. 363-385.

UNSPECIFIED (1998) Explaining the paradox of business process reengineering diffusion despite its limited success. In: Information-Resources-Management-Association International Conference, BOSTON, MA, MAY 17-20, 1998. Published in: EFFECTIVE UTILIZATION AND MANAGEMENT OF EMERGING INFORMATION TECHNOLOGIES pp. 500-511.

UNSPECIFIED (1992) IS THERE AN INTRAHOUSEHOLD KUZNETS CURVE - SOME EVIDENCE FROM THE PHILIPPINES. In: 47TH CONGRESS OF THE INTERNATIONAL INST OF PUBLIC FINANCE : PUBLIC FINANCE IN A WORLD OF TRANSITION, ST PETERSBURG, RUSSIA, AUG 25-29, 1991. Published in: PUBLIC FINANCE-FINANCES PUBLIQUES, 47 (Suppl. S). pp. 77-93.

UNSPECIFIED (2000) Investment and financial restraints: Theory and evidence. In: European Meeting of the Econometric-Society, UPPSALA, SWEDEN, SEP, 1993. Published in: INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 5 (4). pp. 285-296.

UNSPECIFIED (1992) ON THE WELFARE EFFECTS OF REGULATING PRICE-DISCRIMINATION. In: 1990 ANNUAL CONF OF THE EUROPEAN ECONOMIC ASSOC, LISBON, PORTUGAL, AUG, 1990. Published in: JOURNAL OF INDUSTRIAL ECONOMICS, 40 (3). pp. 237-248.

UNSPECIFIED (2005) Purchasing power parity and the theory of general relativity: The first tests. In: 8th International Conference on Macroeconomic Analysis and International Finance, Univ Crete, Rethymno, GREECE, MAY 27-29, 2004. Published in: JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 24 (2). pp. 293-316.

UNSPECIFIED (2006) What drives credit risk in emerging markets? The roles of country fundamentals and market co-movements. In: Conference on Emerging Markets Finance, London, ENGLAND, MAY 05-06, 2005. Published in: JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 25 (3). pp. 476-502.

UNSPECIFIED (2000) The effects of the earned income credit on the seasonality of household expenditures. In: Joint Center for Proverty Research Conferene on the Earned Income Tax Credit: Early Evidence, EVANSTON, ILLINOIS, OCT 07-08, 1999. Published in: NATIONAL TAX JOURNAL, 53 (4 Part 2). pp. 1211-1243.

UNSPECIFIED (2000) The history of accounting and the transition to capitalism in England. Part two: evidence. In: 50th Interdisciplinary Conference on Accounting, UNIV MANCHESTER, MANCHESTER, ENGLAND, JUL, 1997. Published in: ACCOUNTING ORGANIZATIONS AND SOCIETY, 25 (4-5). pp. 327-381.

UNSPECIFIED (2004) The impact of European Central Bank Governing Council announcements on the foreign exchange market: a microstructural analysis. In: 12th International Conference on Banking and Finanace, Univ Rome, Rome, ITALY, DEC, 2003. Published in: JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 23 (7-8). pp. 1043-1051.

UNSPECIFIED (2002) The simulation of the implied distribution and other smile consistent stochastic volatility models: An overview. In: International Conference on Financial Engineering, E-Commerce and Supply Chain, ATHENS, GREECE, MAY 24-27, 2001. Published in: FINANCIAL ENGINEERING, E-COMMERCE AND SUPPLY CHAIN, 70 pp. 189-212.

UNSPECIFIED (1997) A synthesis of six European case studies of successful, venture capital backed, new technology-based firms. In: Annual International High Technology Small Firms Conference, MANCHESTER UNIV, MANCHESTER BUSINESS SCH, MANCHESTER, ENGLAND, 1995. Published in: NEW TECHNOLOGY-BASED FIRMS IN THE 1990S, VOL III pp. 34-54.

UNSPECIFIED (2002) The theory of good-deal pricing in financial markets. In: 1st World Congress of the Bachelier-Finance-Society, PARIS, FRANCE, JUN 29-JUL 01, 2000. Published in: MATHEMATICAL FINANCE - BACHELIER CONGRESS 2000 pp. 175-202.

Asmild, Mette and Ohene-Asare, Kwaku (2010) Efficiencies of banks under corporate social responsibilities and global frontier differences between subgroups. In: 6th North American Productivity Workshop (NAPW2010), Rice University, Houston, Texas, 2-5 Jun 2010 (Unpublished)

Clubb, Colin and Naffi, Mounir (2007) The usefulness of book-to-market and ROE expectations for explaining UK stock returns. In: 28th Annual Congress of the European-Accounting-Association, Gothenburg, SWEDEN, MAY 18-20, 2005. Published in: Journal of Business, Finance and Accounting, 34 (1-2). pp. 1-32.

Cohen, Robin, 1944- The free movement of money and people : old arguments, new dangers. In: First joint ESRC/SSRC colloquium on Money and Migration, Oxford, UK, 25-28 Mar 2004

Corradi, Valentina, Distaso, Walter and Fernandes, Marcelo (2011) A realized approach to estimate conditional alphas. In: 2011 Australasian Meeting of the Econometric Society, Adelaide, 4-7 July 2011 (Unpublished)

Corradi, Valentina, Distaso, Walter and Mele, Antonio (2008) Macroeconomic determinants of stock market volatility and volatility risk-premia. In: 2008 North American Summer Meeting of the Econometric Society, Pittsburgh, PA, 19-22 Jun 2008 (Unpublished)

Della Corte, Pasquale, Sarno, Lucio and Thornton, Daniel L. (2008) The expectation hypothesis of the term structure of very short-term rates: Statistical tests and economic value. In: 62nd European Meeting of the Econometric-Society, Budapest, Hungary, Aug 27-31, 2007. Published in: Journal of Financial Economics, Vol.89 (No.1). pp. 158-174.

Dias, Alexandra and Embrechts, Paul (2009) Testing for structural changes in exchange rates' dependence beyond linear correlation. In: Conference on Copulae and Multivariate Probability Distributions in Finance, Warwick Business Sch, Coventry, England, September 14-15, 2007. Published in: European Journal of Finance, Vol.15 (No.7-8). pp. 619-637.

Feldhütter, P., Schneider, Paul and Trolle, A. (2008) Jumps in Interest Rates and Pricing of Jump Risk - Evidence from the Eurodollar Market. In: 35th EFA Annual Meeting, Athens, Greece, 27-30 Aug, 2008. Published in: EFA 2008 Athens Meetings Paper

Finn, Margot C. (2002) Credit before the credit card : English guardian societies, c. 1780-1914. In: [unknown], University of Bristol , 14 Mar 2002 (Unpublished)

Finn, Margot C. Enlightened equity : petty credit and the reformulation of law in the eighteenth-century courts of conscience. In: History Department Seminar, University of Warwick, Coventry, UK, 30 Nov 2000 (Unpublished)

Finn, Margot C. Litigating luxury : small debts in eighteenth-century London and Calcutta. In: East and West : Luxury and the Exotic Conference , University of Warwick, Coventry, UK, 13 Feb 2000 (Unpublished)

Gemmill, Gordon and Thomas, Dylan C. (2006) The impact of corporate governance on closed-end funds. In: Symposium on European Corporate Governance, Univ Leeds, Leeds, ENGLAND, APR, 2005. Published in: EUROPEAN FINANCIAL MANAGEMENT, 12 (5). pp. 725-746.

Ghosal, Sayantan (2009) Financial markets : efficiency, stability. In: New Micro-foundations for Macroeconomics, University of Warwick, 10-11 Jul 2009 (Unpublished)

Konstantinidi, Eirini, Skiadopoulos, George and Tzakaraki, Emmilia (2008) Can the evolution of implied volatility be forecasted? Evidence from European and US implied volatility indices. In: 19th Australasian Finance and Banking Conference, Sydney, Australia, 13-15 Dec, 2006. Published in: Journal of Banking & Finance, Vol.32 (No.11). pp. 2401-2411.

Martinez, Jose and Woodruff, Christopher M. (2010) Expansion of financial services in Mexico : using the Popular Credit Law to understand the important of trust and social capital. In: The Allied Social Science Associations Meeting 2010, Atlanta, 2-5 Jan 2010 (Unpublished)

Melvin, Michael and Taylor, Mark P. (2009) The crisis in the foreign exchange market. In: Conference on Global Financial Crisis - Causes, Threats and Opportunities, Warwick Univ Business Sch, Warwick, England, April 06, 2009. Published in: Journal of International Money and Finance, Vol.28 (No.8 Sp. Iss. SI). pp. 1317-1330.

Park, Andreas and Sgroi, Daniel (2008) When herding and contrarianism foster market efficiency: a financial trading experiment. In: Third Congress of the Game Theory Society, Evanston, Illinoi, 13-17 Jul 2008 (Unpublished)

Peiris, Udara and Tsomocos, D. P. (2009) International monetary equilibrium with default. In: CRETA Workshop 2009, Department of Economics, University of Warwick, 14 Apr 2009 (Unpublished)

Rethel, Lena and Sinclair, Timothy J. (2011) Persistent global troublemakers : what is the problem with banks and what can we do about it? In: Invited Speaker: University of York, Department of Politics, University of York, 10 Nov 2011 (Unpublished)

Scholte, Jan Aart (2008) Defining Globalisation. In: CESifo Venice Summer Institute 2004 Workshop on “Dissecting Globalization”, Venice, Italy, 21-22 July, 2004. Published in: World Economy, Vol.31 (No.11). pp. 1471-1502.

Sinclair, Timothy J. How to understand the global financial crisis. In: Invited Speaker: Oxford Brookes University, Department of International Relations, Politics & Sociology, Oxford Brookes University, 9 Mar 2009 (Unpublished)

Sinclair, Timothy J. (2009) Implications of the global financial crisis. In: Invited Speaker: University of Birmingham, Department of Political Science and International Relations, University of Birmingham, 25 Feb 2009 (Unpublished)

Sinclair, Timothy J. (2009) Inside the global financial crisis : who is to blame and what lessons can we learn? In: Invited Speaker: Copenhagen Business School, Copenhagen Business School, 12 May 2009 (Unpublished)

Sinclair, Timothy J. (2010) Problems of credit rating agencies. In: Invited Speaker: University of Oxford, Oxford Martin School, University of Oxford, 25 Nov 2010 (Unpublished)

Sinclair, Timothy J. (2008) Systemic lessons from the global financial crisis. In: Invited Speaker: University of York, Department of Politics, University of York, 5 Nov 2008 (Unpublished)

Sinclair, Timothy J. (2009) We do not understand global financial crises. In: 'From the International to the Transnational' Conference, University of York, 16 Oct 2009 (Unpublished)

Sinclair, Timothy J. (2009) The problems of growing up and getting rich : how the truly obscure became very important in global financial markets and to us all. In: Constitutionalization of the Global Corporate Sphere? Workshop, Copenhagen Business School, 18 Sep 2009 (Unpublished)

Sinclair, Timothy J. and Rethel, Lena (2011) Innovation and the entrepreneurial state in Asia : mechanisms of bond market development. In: Regulation, Private Sector Authority and Market Building in Asia, Lee Kuan Yew School of Public Policy, National University of Singapore, 27 Oct 2011 (Unpublished)

Stone, Diane, 1964- (2011) Private philanthropy and the transnational policies of the open society foundations. In: Australasian Political Science Association Conference 2011 : crisis, uncertainty and democracy, Old Parliament House, Canberra, 26-28 Sep 2011 (Unpublished)

Stone, Diane, 1964- (2008) Rebranding the World Bank. In: Invited Speaker : Faculty Seminar, Monash University Malaysia, Monash University Malaysia, Kuala Lumpur, 24 Feb 2008 (Unpublished)

Stone, Diane, 1964- (2011) The World Bank and knowledge networks. In: Invited Speaker : Centre for Business and Governance staff seminar, Griffith University, Griffith University, Brisbane, 7 Oct 2011 (Unpublished)

Stone, Diane, 1964- (2010) The World Bank, knowledge networks and academic engagement. In: AGORA Workshop on Knowledge and Governance, Brown University, 17 Jun 2010 (Unpublished)

Working or Discussion Paper

Abhyankar, Abhay, 1951-, Basu, Devraj and Stremme, Alexander (2004) Portfolio efficiency and discount factor bounds with conditioning information: a unified approach. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Abhyankar, Abhay, 1951-, Sarno, Lucio and Valente, Giorgio (2004) Exchange rates and fundamentals: evidence on the economic value of predictability. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Akram, Qaisar Farooq, Rime, Dagfinn and Sarno, Lucio (2008) Arbitrage in the foreign exchange market: turning on the microscope. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Albanis, George T. and Batchelor, R. A. (1999) Combining heterogeneous classifiers for stock selection. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Alfarano, Simone and Franke, Reiner (2007) A simple asymmetric herding model to distinguish between stock and foreign exchange markets. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Alfarano, Simone, Lux, Thomas, 1962- and Wagner, F. (Friedrich) (2005) Time-variation of higher moments in a financial market with heterogeneous agents: an analytical approach. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Allouch, Nizar (2001) A note on two notions of arbitrage. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Allouch, Nizar, Le, Van Cuong and Page, Frank H. (2002) Arbitrage, equilibrium and nonsatiation. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Avesani, Renzo G., Gallo, Giampiero M. and Salmon, Mark H. (Mark Howard), 1949- (1999) On the evolution of credibility and flexible exchange rate target zones. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Awartani, Basel, Corradi, Valentina and Distaso, Walter (2004) Testing and modelling market microstructure effects with an application to the Dow Jones industrial average. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Babecký, Jan, Komárek, Luboš and Komárková, Zlatuše (2008) Financial integration of stock markets among new EU member states and the Euro area. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Batchelor, R. A. and Orakcioglu, Ismail (2002) Event-related GARCH: the impact of stock dividends in Turkey. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Beeson, Mark and Bell, Stephen, 1954- (2005) The G20 and the politics of international financial sector reform: robust regimes or hegemonic instability? Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Beker, Pablo (2007) Market selection and payout policy under majority rule. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Besfamille , Martin and Sanguinetti, Pablo (2003) Formal and real fiscal federalism in Argentina. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Bianconi, Ginestra, Galla, Tobias and Marsili, Matteo, 1966- (2006) Effects of Tobin taxes in minority game markets. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Blackorby, Charles, 1937- and Brett, Craig, 1969- (2004) Capital taxation in a simple finite-horizon OLG model. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Boero, Gianna and Marrocu, Emanuela (2003) The performance of SETAR models: a regime conditional evaluation of point, interval and density forecasts. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Boonprakaikawe, Juntip and Ghosal, Sayantan (2001) Bank runs and noisy signals. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Breslin, Shaun (2000) (Still) learning to live without the plan? The politics of financial reform in the People's Republic of China. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Caglayan, Mustafa and Munoz-Torres, Rebeca I. (2008) The effect of the exchange rates on investment in Mexican manufacturing industry. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Castro, Vítor Manuel Alves (2008) Are Central Banks following a linear or nonlinear (augmented) Taylor rule? Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Chang, Yoonhee Tina (2003) Dynamics of banking technology adoption: an application to internet banking. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Chatterji, Shurojit and Ghosal, Sayantan (2008) Moral hazard, bank runs and contagion. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Chaudhary, Swati and Seabrooke, Leonard, 1974- (2009) Pragmatic numbers: how the IMF creates policy dialogue for financial reform. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Chen, Xiaohong, 1965-, Fan, Yanqin and Patton, Andrew J. (Andrew John), 1976- (2004) Simple tests for models of dependence between multiple financial time series, with applications to U.S. equity returns and exchange rates. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Cheung, Yin-Wong, Chinn, Menzie David and Marsh, Ian W. (1999) How do UK-based foreign exchange dealers think their market operates? Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Christodoulakis, George (2002) Sharp style analysis in the MSCI sector portfolios: a Monte Carlo integration approach. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Christodoulakis, George and Satchell, S. (Stephen) (2001) On the evolution of global style factors in the MSCI universe of assets. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Chu, Ba M., Knight, John L. and Satchell, S. (Stephen) (2005) Optimal investment and asymmetric risk for a large portfolio: a large deviations approach. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Chu, Ba M., Knight, John L. and Satchell, S. (Stephen) (2006) Optimal long term investment in a jump diffusion setting : a large deviation approach. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.2006).

Clements, Michael P. and Galvão, Ana Beatriz C. (Ana Beatriz Camatari) (2006) Macroeconomic forecasting with mixed frequency data: forecasting US output growth and inflation. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Coakley, Jerry, Fuertes, Ana-Maria and Wood, Andrew, Dr. (2002) Reinterpreting the real exchange rate - yield differential nexus. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Cohen, Robin, 1944- (2005) The free movement of money and people: debates before and after ‘9/11’. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Conconi, Paola and Perroni, Carlo (2003) Self-enforcing international agreements and domestic policy credibility. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

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Corradi, Valentina and Distaso, Walter (2004) Estimating and testing stochastic volatility models using realized measures. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Corradi, Valentina and Distaso, Walter (2004) Testing for one-factor models versus stochastic volatility models. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

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Frait, Jan and Komárek, Luboš (2008) The debt-adjusted real exchange rate for China. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Frait, Jan, Komárek, Luboš and Kulhánek, Lumír (2000) P-star-model based analysis of inflation dynamics in the Czech Republic. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Frait, Jan, Komárek, Luboš and Melecky, Martin (2006) The real exchange rate misalignment in the five central European countries. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Gemmill, Gordon (2002) Testing Merton's model for credit spreads on zero-coupon bonds. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Gemmill, Gordon, Hwang, Soosung and Salmon, Mark H. (Mark Howard), 1949- (2005) Performance measurement with loss aversion. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Gemmill, Gordon and Thomas, D. C. (Dylan C.) (2002) Costly arbitrage and asset prices: evidence from closed-end funds. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

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Hansen, Stephen and McMahon, Michael F. (2010) What do outside experts bring to a committee? : evidence from the Bank of England. Working Paper. Coventry: University of Warwick. Dept. of Economics. (Warwick economics research paper series (TWERPS), Vol.2010).

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Hillman, Robert and Salmon, Mark H. (Mark Howard), 1949- (1999) From market micro-structure to macro fundamentals : is there predictability in the dollar-Deutsche Mark exchange rate? Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

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Horváth, Roman and Komárek, Luboš (2003) Optimum currency area indices: evidence from the 1990s. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Horváth, Roman and Komárek, Luboš (2002) Optimum currency area theory: an approach for thinking about monetary integration. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Hošek, Jan, Komárek, Luboš and Motl, Martin (2010) Monetary policy and oil prices. Working Paper. Coventry: University of Warwick. Dept. of Economics. (Warwick economics research paper series (TWERPS), Vol.2010).

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Hwang, Soosung and Salmon, Mark H. (Mark Howard), 1949- (2001) A new measure of herding and empirical evidence. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Hwang, Soosung and Satchell, S. (Stephen) (1999) Market risk and the concept of fundamental volatility : measuring volatility across asset and derivative markets and testing for the impact of derivatives markets on financial markets. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Hwang, Soosung and Satchell, S. (Stephen) (1999) Modelling emerging market risk premia using higher moments. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Hwang, Soosung and Satchell, S. (Stephen) (2000) The disappearance of style in the US equity market. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

King, Michael and Sinclair, Timothy J. (2001) Grasping at straws: a ratings downgrade for the emerging international financial architecture. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Koethenbuerger, Marko and Lockwood, Ben (2007) Does tax competition really promote growth? Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Kohlscheen, Emanuel (2009) Domestic vs. external sovereign debt servicing: an empirical analysis. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Kohlscheen, Emanuel (2009) Emerging floaters: pass-throughs and (some) new commodity currencies. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Kohlscheen, Emanuel and Taylor, Mark P., 1958- (2006) International liquidity swaps: is the Chiang Mai Initiative pooling reserves efficiently? Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Komárek, Luboš and Melecky, Martin (2001) Currency substitution in the transition economy: a case of the Czech Republic 1993-2001. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Komárek, Luboš and Melecky, Martin (2001) Demand for money in transition economy: the case of the Czech Republic 1993-2001. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Kozhan, Roman and Pál, Rozália (2008) Firms' investment under financial constraints: a Euro area investigation. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

La Feria, Rita de and Lockwood, Ben (2010) Opting for opting in? : an evaluation of the European Commission’s proposals for reforming VAT on financial services. Working Paper. Coventry: University of Warwick. Dept. of Economics. (Warwick economics research paper series (TWERPS), Vol.2010).

Lee, Eddy and Vivarelli, Marco, 1963- (2006) The social impact of globalisation in the developing countries. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Leech, Dennis (2001) Members' voting power in the governance of the International Monetary Fund. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Lewin, Richard A. and Satchell, S. (Stephen) (2001) The derivation of new model of equity duration. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Liu, Ruipeng, Di Matteo, T. and Lux, Thomas, 1962- (2007) True and apparent scaling: the proximity of the markov- switching multifractal model to long-range dependence. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Lockwood, Ben (2010) How should financial intermediation services be taxed? Working Paper. Coventry: University of Warwick. Dept. of Economics. (Warwick economics research paper series (TWERPS), Vol.2010).

Lockwood, Ben and Makris, Miltiadis (2003) Tax competition and politics: double-edged incentives revisited. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Lockwood, Ben and Makris, Miltiadis (2004) Tax incidence, majority voting and capital market integration. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Marchesi, Silvia (2000) Buybacks of domestic debt in public debt management. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Marsh, Ian W. (1999) An analysis of the performance of European foreign exchange forecasters. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Marsh, Ian W. and Power, David (1999) A panel-based investigation into the relationship between stock prices and dividends. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

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Mayr, Karin, 1976- (2003) Immigration and majority voting on income redistribution - is there a case for opposition from natives? Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

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Migali, Giuseppe (2006) Funding higher education and wage uncertainty: income contingent loan versus mortgage loan. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Miller, Marcus, 1941-, García Fronti, Javier I. and Zhang, Lei, Dr. (2005) Contractionary devaluation and credit crunch: analysing Argentina. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Miller, Marcus, 1941-, García Fronti, Javier I. and Zhang, Lei, Dr. (2006) Supply shocks and currency crises: the policy dilemma reconsidered. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Miller, Marcus, 1941-, García Fronti, Javier I. and Zhang, Lei, Dr. (2006) Supply shocks and currency crises: the policy dilemma reconsidered. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Miller, Marcus, 1941-, García Fronti, Javier I. and Zhang, Lei, Dr. (2006) Supply shocks and currency crises: the policy dilemma reconsidered. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Miller, Marcus, 1941- and Luangaram, Pongsak (1998) Financial crisis in East Asia: bank runs, asset bubbles and antidotes. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Miller, Marcus, 1941- and Thomas, Dania (2006) Sovereign debt restructuring : the judge, the vultures and creditor rights. Discussion Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Miller, Marcus, 1941-, Weller, Paul A. and Zhang, Lei, Dr. (2001) Moral hazard and the US stock market: analysing the 'Greenspan put'. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Miller, Marcus, 1941-, Weller, Paul A. and Zhang, Lei, Dr. (2001) Moral hazard and the US stock market: the idea of a 'greenspan put'. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Miller, Marcus, 1941- and Zhang, Lei, Dr. (2006) Fear and market failure: global imbalances and 'self-insurance'. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Miller, Marcus, 1941- and Zhang, Lei, Dr. (2005) World finance and the US 'new economy': risk sharing and risk exposure. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

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Mody, Ashoka and Taylor, Mark P., 1958- (2003) Common vulnerabilities. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Mody, Ashoka and Taylor, Mark P., 1958- (2003) International capital crunches: the time-varying role of informational asymmetries. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Mody, Ashoka and Taylor, Mark P., 1958- (2006) Regional vulnerability: the case of East Asia. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Moheeput, Ashwin (2008) Financial fragility, systemic risks and informational spillovers: modelling banking contagion as state-contingent change in cross-bank correlation. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Moheeput, Ashwin (2008) Financial systems, micro-systemic risks and Central Bank policy: an analytical taxonomy of the literature. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Moheeput, Ashwin (2008) Issues on the choice of exchange rate regimes and currency boards – an analytical survey. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Neely, Christopher J. and Weller, Paul A. (1999) Predictability in international asset returns : a re-examination. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

Neely, Christopher J. and Weller, Paul A. (1999) Technical analysis and central bank intervention. Working Paper. University of Warwick: Warwick Business School Financial Econometrics Research Centre. (Working Papers Series, Vol.1999).

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Novy, Dennis (2006) Hedge your costs: exchange rate risk and endogenous currency invoicing. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Otero, Jesus and Milas, Costas (1998) Modelling the behaviour of the spot prices of various types of coffee. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Park, Andreas and Sgroi, Daniel (2008) When herding and contrarianism foster market efficiency: a financial trading experiment. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Riello, Giorgio and O'Brien, Patrick (2004) Reconstructing the Industrial Revolution: analyses, perceptions and conceptions of Britain’s precocious transition to Europe’s first industrial society. Working Paper. London: Department of Economic History, London School of Economics. (Economic History working papers .

Robotti, Paola Giovanna, 1969- (2006) Arbitrage and short selling: a political economy approach. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Roper, Stephen and Scott, J. (2008) Gender differentials in access to finance for business start-up in the UK an econometric analysis of GEM data. Working Paper. Aston Business School: Aston Academy for Research in Management..

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Salmon, Mark H. (Mark Howard), 1949- and Schleicher, Christoph (2006) Pricing multivariate currency options with copulas. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

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Sarno, Lucio and Taylor, Mark P., 1958- (2001) Official intervention in the foreign exchange market: is it effective, and, if so, how does it work? Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio, Taylor, Mark P., 1958- and Chowdhury, Ibrahim, 1972- (2002) Non-linear dynamics in deviations from the law of one price: a broad-based empirical study. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio and Thornton, Daniel L. (2002) The dynamic relationship between the federal funds rate and the Treasury bill rate: an empirical investigation. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio, Thornton, Daniel L. and Valente, Giorgio (2004) Federal funds rate prediction. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio and Valente, Giorgio (2004) Empirical exchange rate models and currency risk: some evidence from density forecasts. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Sarno, Lucio and Valente, Giorgio (2008) Exchange rates and fundamentals: footloose or evolving relationship? Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio and Valente, Giorgio (2003) Modeling and forecasting stock returns: exploiting the futures market, regime shifts and international spillovers. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Sarno, Lucio, Valente, Giorgio and Leon, H. L. (Hyginus Lambert) (2006) Nonlinearity in deviations from uncovered interest parity: an explanation of the forward bias puzzle. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Sarno, Lucio, Valente, Giorgio and Wohar, Mark E. (2003) Monetary fundamentals and exchange rate dynamics under different nominal regimes. Discussion Paper. London: Centre for Economic Policy Research (Great Britain). (Discussion paper (Centre for Economic Policy Research (Great Britain)).

Scholte, Jan Aart (2002) Governing global finance. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

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Strulik, Torsten (2006) Knowledge politics in the field of global finance? The emergence of a cognitive approach in banking supervision. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Szalay, Dezsö (2008) Monopoly, non-linear pricing, and imperfect information: a reconsideration of the insurance market. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

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Tsiakas, Ilias (2004) Periodic stochastic volatility and fat tails. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

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Walker, Ian, 1954- and Young, Juliet (2000) The dummies' guide to lottery design. Working Paper. Coventry: University of Warwick, Department of Economics. (Warwick economic research papers.

Watson, Matthew, Ph.D. (2008) Euphoria, risk and corporate scandal: Enron and the commercial corruption of expertise within financialised captialism. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Watson, Matthew, Ph.D. (2007) Off the leash: understanding the dynamics of capital mobility in IPE. Working Paper. [Manchester]: BISA International Political Economy Group (IPEG). (IPEG papers in global political economy.

Weber, Heloise (2001) The imposition of a global development architecture: the example of microcredit. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (CSGR working papers.

Weyrauch, Vanesa (2007) Weaving global networks: handbook for policy influence. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Whalley, John (2004) Rationality, irrationality and economic cognition. Working Paper. Coventry: University of Warwick. Centre for the Study of Globalisation and Regionalisation. (Working papers (University of Warwick. Centre for the Study of Globalisation and Regionalisation).

Yusupov, Timur and Lux, Thomas, 1962- (2007) The efficient market hypothesis through the eyes of an artificial technical analyst: an application of a new chartist methodology to high-frequency stock market data. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre. (Working papers (Warwick Business School. Financial Econometrics Research Centre).

Zhang, Chendi and Sorge, Marco (2010) Information sharing, creditor rights, and corporate debt maturity. Working Paper. Coventry: Warwick Business School, Financial Econometrics Research Centre..

Book

Breslin, Shaun, ed. (2012) East Asia and the global crisis. London: Routledge. ISBN 9780415508063 (In Press)

Labrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, eds. (2009) Financial crisis management and bank resolution. London: Informa Law. ISBN 9781843118381

LaBrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, eds. (2011) Managing risk in the financial system. Cheltenham : Edward Elgar. ISBN 9780857933812

Shan, Wenhua and Simons, Penelope, 1963- and Singh, Dalvinder, 1970-, eds. (2008) Redefining sovereignty in international economic law. Studies in international trade law (No.7). Oxford: Hart. ISBN 9781841137018

Finn, Margot C. (2003) The character of credit : personal debt in English culture, c. 1740-1914. Cambridge social and cultural histories (No.1). Cambridge: Cambridge University Press. ISBN 0521823420

Kozhan, Roman (2009) Financial econometrics - with Eviews. Denmark: Ventus. ISBN 9788776814274

Olivares-Caminal, Rodrigo, Douglas, John, Guynn, Randall, Kornberg, Alan, Paterson, Sarah, Singh, Dalvinder, 1970- and Stonefrost, Hilary (2011) Debt restructuring. Oxford: Oxford University Press. ISBN 9780199579693

Rethel, Lena and Sinclair, Timothy J. (2012) The problem with banks. London: Zed Books. ISBN 9781848139381

Taylor, Mark P. (2011) Perspectives on Econometrics and Applied Economics: A Tribute to Sir Clive Granger. London, UK: Routledge. ISBN 978-0-415-69308-0

Webber, Nick (2011) Implementing models of financial derivatives: object oriented applications with VBA. Hoboken, N.J: Wiley-Blackwell Publishing Ltd.. ISBN 978-0-470-71220-7

Journal Item

UNSPECIFIED (1991) ARE RESETTABLE BONDS INTENDED TO FORCE BANKRUPTCY. FINANCIAL MANAGEMENT, 20 (3). p. 7. ISSN 0046-3892

UNSPECIFIED (2006) Aspects of foreign exchange market microstructure: Editors' introduction. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 11 (1). pp. 1-2. ISSN 1076-9307

UNSPECIFIED (2006) Discussion of 'Do better-governed Australian firms make more informative disclosures?'. JOURNAL OF BUSINESS FINANCE & ACCOUNTING, 33 (3-4). pp. 451-458. ISSN 0306-686X

UNSPECIFIED (1987) GROWTH AND EQUITY IN DEVELOPING-COUNTRIES - A REINTERPRETATION OF THE SRI-LANKAN EXPERIENCE - COMMENT. WORLD BANK ECONOMIC REVIEW, 1 (3). pp. 515-520. ISSN 0258-6770

UNSPECIFIED (2005) A Marxist accounting history of the British industrial revolution: a review of evidence and suggestions for research. ACCOUNTING ORGANIZATIONS AND SOCIETY, 30 (1). pp. 25-65. ISSN 0361-3682

UNSPECIFIED (1987) OWNERSHIP CONCENTRATION AND CONTROL IN LARGE UNITED-STATES CORPORATIONS IN THE 1930S - AN ANALYSIS OF THE TNEC SAMPLE. JOURNAL OF INDUSTRIAL ECONOMICS, 35 (3). pp. 333-342. ISSN 0022-1821

UNSPECIFIED (2002) Purchasing power parity and the real exchange rate. IMF STAFF PAPERS, 49 (1). pp. 65-105. ISSN 1020-7635

UNSPECIFIED (1990) REGIONAL SUSTAINABLE DEVELOPMENT AND NATURAL-RESOURCE USE - DISCUSSION. WORLD BANK ECONOMIC REVIEW (Suppl. S). pp. 201-205. ISSN 0258-6770

UNSPECIFIED (1990) SOME EXPERIMENTAL-EVIDENCE ON FUNCTIONAL FIXATION - A RESEARCH NOTE. ACCOUNTING ORGANIZATIONS AND SOCIETY, 15 (3). pp. 193-198. ISSN 0361-3682

Ahrens, Thomas and Chapman, Christopher S. (2006) Doing qualitative field research in management accounting: Positioning data to contribute to theory. ACCOUNTING ORGANIZATIONS AND SOCIETY, 31 (8). pp. 819-841. ISSN 0361-3682

Kouretas, Georgios P., Mark, Nelson C., Papadopoulos, Athanasios P. and Sarno, Lucio (2006) Special issue on advances in international money, macro and finance. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 11 (3). p. 175. ISSN 1076-9307

Melvin, Michael and Taylor, Mark P., 1958- (2009) The global financial crisis: causes, threats and opportunities. Introduction and overview. Journal of International Money and Finance, Vol.28 (No.8 Sp. Iss. SI). pp. 1243-1245. ISSN 02615606

Neely, Christopher J. and Taylor, Mark P., 1958- (2007) Exchange rate intervention. International Journal of Finance & Economics, Vol.12 (No.2). pp. 107-108. ISSN 1076-9307

Shah, Syed Zulfiqar Ali (2007) Discussion of Employee layoffs, shareholder wealth and firm performance: evidence from the UK. Journal of Business Finance & Accounting, Vol.34 (No.3-4). pp. 495-504. ISSN 0306-686X

Submitted Journal Article

Forde, Martin, Jacquier, Antoine and Mijatović, Aleksandar (2011) A note on essential smoothness in the Heston model. Finance and Stochastics, Vol.15 (No.4). pp. 781-784. ISSN 0949-2984

Report

McCarthy, D. and Neuberger, Anthony (2009) The economic basis for the regulation of pensions. United Kingdom: Department for Work and Pensions (DWP) . (DWP Research reports.

Thesis or Dissertation

Adeeko, Olukayode Adesope (1998) The law and policy of financial regulation and deregulation of Nigerian banking system. PhD thesis, University of Warwick.

Ailola, David A. (1988) The regulation of commercial banks in Zambia and their role in development. PhD thesis, University of Warwick.

Al-Yagout, Mona Mohammed Abdulla (1997) The regulation of foreign investment in Kuwait: the role of law, politics and economic policy in the development process. PhD thesis, University of Warwick.

AlQatamin, Ma'en Mardi (1997) The behaviour of stock returns in Amman stock market : a thin emerging market. PhD thesis, University of Warwick.

Awwad, Awwad Saleh (2000) Legal regulation of the Saudi stock market : evaluation, and prospects for reforms. PhD thesis, University of Warwick.

Barclay, Lou Anne (1998) Foreign investment in the Caribbean : multinational enterprise motivation, investment behaviour and corporate strategy. PhD thesis, University of Warwick.

Bedendo, Mascia (2003) Density forecasting in financial risk modelling. PhD thesis, University of Warwick.

Brassett, James (2006) Cosmopolitan ethics in global finance? : a pragmatic approach to the Tobin Tax. PhD thesis, University of Warwick.

Brennan, Niamh (1995) Disclosure of profit forecasts during takeover bids. PhD thesis, University of Warwick.

Camanho, Ana Maria Cunha Ribeiro dos Santos Ponces (1999) Performance measurement and improvement in the management of bank networks using data envelope analysis. PhD thesis, University of Warwick.

Cenedese, Gino (2011) Essays in international finance. PhD thesis, University of Warwick.

Chang, Yoonhee Tina (2005) Banking structure and governance: changes in regulation and technology. PhD thesis, University of Warwick.

Chirayukool, Pokpong (2011) The valuation of exotic barrier options and American options using Monte Carlo simulation. PhD thesis, University of Warwick.

Chu, Jung, Ph.D. (1997) Comparing statistical methods and artificial neural networks in bankruptcy prediction. PhD thesis, University of Warwick.

Cook, Audrey Ciceley Heloise (2008) A study of identity formation in the London investment banking sector. PhD thesis, University of Warwick.

Courtenay, Roger A. (1997) Alternative models of security price equilibrium. PhD thesis, University of Warwick.

Della Corte, Pasquale (2007) Essays in empirical finance. PhD thesis, University of Warwick.

Egginton, D. M. (Donald Michael) (1999) A principal components analysis of the UK term structure and the influence of fiscal policy. PhD thesis, University of Warwick.

Ekkayokkaya, Pollarat (2011) Convertible bonds in corporate finance. PhD thesis, University of Warwick.

El-Hassan, Mirghani Mohmed, 1952- (1981) The role of insurance and its regulation in development : Sudan and Tanzania. PhD thesis, University of Warwick.

Ferry, Laurence (2011) A study of management accounting and control in governing the state : some lessons from a local government waste management service. PhD thesis, University of Warwick.

Fusai, Gianluca (2000) Applications of Laplace transform for evaluating occupation time options and other derivatives. PhD thesis, University of Warwick.

Gachuki, David (1982) Regulation of foreign investment in Kenya, 1963-81 : an empirical study. PhD thesis, University of Warwick.

Ganoulis, Ioannis (1990) Financial factors in the investment decisions of firms : theory and evidence. PhD thesis, University of Warwick.

Gelsomini, Luca (2009) Essays on financial economics. PhD thesis, University of Warwick.

Han, Liang, 1973- (2005) Collateralisation, interest rates and signalling in entrepreneurial finance. PhD thesis, University of Warwick.

Hill, Denys Alan (1999) A chaos related investigation into small manufacturing business financial decision-making dynamics. PhD thesis, University of Warwick.

Hondora, Tawanda (2009) Developing securitization-enabling financial infrastructure in emerging markets: a case-study of Zimbabwe. PhD thesis, University of Warwick.

Hudson, Sarah J., 1951- (2001) Attitudes to investment risk amongst West Midland canal and railway company investors, 1760-1850. PhD thesis, University of Warwick.

Ismail, Ahmad Khalil (2000) European banking mergers : stock market and operating performance evaluation. PhD thesis, University of Warwick.

Jackson, Christopher Paul, 1942- (2005) Employee participation in Sharesave schemes : a case study analysis of three companies in the UK retail sector. PhD thesis, University of Warwick.

Karytinos, Aristotle D. (1999) A chaos theory and nonlinear dynamics approach to the analysis of financial series : a comparative study of Athens and London stock markets. PhD thesis, University of Warwick.

Klimmek, Martin (2012) On inverse problems in mathematical finance. PhD thesis, University of Warwick.

Kolossiatis, Michalis (2009) Modelling via normalisation for parametric and nonparametric inference. PhD thesis, University of Warwick.

Leake, David E. (2011) Group behaviour in financial markets. PhD thesis, University of Warwick.

Liao, Chien-Hui (2003) Essays on dynamic portfolio management. PhD thesis, University of Warwick.

Lin, Hao, 1976- (2006) Essays in market microstructure. PhD thesis, University of Warwick.

Liu, Lan, 1976- (2007) Portfolio risk measurement: the estimation of the covariance of stock returns. PhD thesis, University of Warwick.

Mohieldin, Mahmoud (1995) On financial liberalisation in LDCs : the case of Egypt, 1960-93. PhD thesis, University of Warwick.

Morozumi, Atsuyoshi (2009) Credit market imperfections, nominal rigidities, and business cycles. PhD thesis, University of Warwick.

Mwenda, Kenneth Kaoma (2000) Legal aspects of corporate finance: the case for an emerging stock market. PhD thesis, University of Warwick.

Nakano, Satoshi, 1960- (1993) A time-series analysis of union growth : unionisation in banking, 1920-1989. PhD thesis, University of Warwick.

Ohene-Asare, Kwaku (2011) Nonparametric efficiency and productivity change measurement of banks with corporate social responsibilities : the case for Ghana. PhD thesis, University of Warwick.

Ota, Tomohiro (2008) Essays on financial systems. PhD thesis, University of Warwick.

Owen, Aneirin Sion (2010) The political economy of the accounting firm. PhD thesis, University of Warwick.

Pitts, Marianne V. (2002) The development of modern accounting and the changing position of shareholders 1864 - 2000. PhD thesis, University of Warwick.

Porter, Qing Amie (2005) Internet and competitive advantage: an empirical study of UK retail banking sector. PhD thesis, University of Warwick.

Rethel, Lena (2009) Local bond markets, financial development and the new politics of debt in Malaysia. PhD thesis, University of Warwick.

Robotti, Paola Giovanna, 1969- (2003) The political economy of hedge fund regulation. PhD thesis, University of Warwick.

Sager, Michael, 1964- (2004) Exchange rate modelling and forecasting. PhD thesis, University of Warwick.

San Miguel, Olga Arratibel (1996) Monetary policy, credibility and central bank constitutions. PhD thesis, University of Warwick.

Sgherri, Silvia (2000) Policy evaluation with macroeconometric models. PhD thesis, University of Warwick.

Sousa, João Miguel Soucasaux Meneses e (2004) Essays on monetary policy and financial markets. PhD thesis, University of Warwick.

Spirakos-Papastavridis, Spiridon (2004) On the trading volume and time effects on the bid-ask spread components of NYSE and NASDAQ common stocks. PhD thesis, University of Warwick.

Sui, Peng (2012) Essays on financial networks, systemic risk and policy. PhD thesis, University of Warwick.

Sun, Jia, Ph.D. (2011) Models of executive stock options. PhD thesis, University of Warwick.

Tan, Chai-Ling Celine (2007) A new regulatory discipline : Poverty Reduction Strategy Papers (PRSPs) in the framework of postcolonial international law and global governance. PhD thesis, University of Warwick.

Terry, Brian J. (1977) The leasing industry and the role and evaluation of leasing in corporate financing strategies. PhD thesis, University of Warwick.

Turbide, Johanne (1997) Management accounting systems and the exercise of interpersonal power in organizations: observations from an 'accounting free' zone : the case of not-for-profit performing arts organisations. PhD thesis, University of Warwick.

Vieira, Rui José Oliveira (2002) Accounting and change in the financial services sector: the case of activity-based costing in a Portuguese bank. PhD thesis, University of Warwick.

Voorduin, Raquel (2004) A non-parametric procedure to estimate a linear discriminant function with an application to credit scoring. PhD thesis, University of Warwick.

Wattanasupachoke, Teerayout (1999) International strategic alliances of Thai financial enterprises: a study of the formation process. PhD thesis, University of Warwick.

Wiskin, Christine (2000) Women, finance and credit in England, c.1780-1826. PhD thesis, University of Warwick.

Wong, Chi Wing Mark (2002) The pricing of corporate debt and related issues. PhD thesis, University of Warwick.

Wongkaew, Wila-sini (2007) Managing multiple dimensions of performance: a field study of balanced scorecard translation in the Thai financial services organisation. PhD thesis, University of Warwick.

Wood, Eric, 1948- (2006) Private sector engagement in public sector education in England, 1997-2005: an analysis of New Labour's policy with a focus on modernisation, competitiveness and the Private Finance Initiative. PhD thesis, University of Warwick.

Zhang, Huazhu (Researcher in business) (2011) Three studies on portfolio optimization and performance appraisal. PhD thesis, University of Warwick.

Digital Scholarly Resource

Sinclair, Timothy J. (2009) The Queen and the perfect bicycle. [Online]. (http://inside.org.au/the-queen-and-the-perfect-bic...)Inside Story.

Book Review

UNSPECIFIED (1988) CURRENT COST CONSTANT DOLLAR ACCOUNTING AND ITS USES IN THE MANAGERIAL DECISION-MAKING PROCESS - BELL,PW. ACCOUNTING REVIEW, 63 (2). pp. 364-365. ISSN 0001-4826

UNSPECIFIED (1993) THE GROWTH OF THE INTERNATIONAL ECONOMY, 1820-1990, 3RD EDITION - KENWOOD,AG, LOUGHEED,AL. WORLD ECONOMY, 16 (3). pp. 390-391. ISSN 0378-5920

UNSPECIFIED (1999) The global crisis in foreign aid. WORLD ECONOMY, 22 (4). pp. 604-605. ISSN 0378-5920

UNSPECIFIED (2004) The world economy and national economies in the interwar slump. WORLD ECONOMY, 27 (3). pp. 473-474. ISSN 0378-5920

Ahrens, Thomas (2006) Globalization, management control and ideology. European Accounting Review, Vol.15 (No.3). pp. 431-433. ISSN 0963-8180

Ahrens, Thomas (2007) Making political science matter. EUROPEAN ACCOUNTING REVIEW, 16 (2). pp. 460-463. ISSN 0963-8180

Cooley, Alison (2008) Review of The bankers of Puteoli : finance, trade and industry in the Roman world, by Jones, D. The Journal of Classics Teaching (No.13). ISSN 1741-7627

Hardiman, David (1991) Review of Banks, gods and government : institutional and informal credit structure in a remote and tribal Indian district (Kinnaur, Himachal Pradesh) 1960–1985, by Singh, J. Journal of the Royal Asiatic Society of Great Britain & Ireland (Third Series), Vol.1 (No.3). pp. 428-430. ISSN 1356-1863

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