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Items where Subject is "H Social Sciences > HG Finance"
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- H Social Sciences (8352)
- HG Finance (902)
- H Social Sciences (8352)
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Number of items at this level: 902.
Journal Article
Abhyankar, Abhay, Basu, Devraj and Stremme, Alexander (2012) The optimal use of return predictability : an empirical study. Journal of Financial and Quantitative Analysis, Volume 47 (Number 05). pp. 973-1001. doi:10.1017/S0022109012000415 ISSN 0022-1090.
Accetturo, Antonio, Barboni, Giorgia, Cascarano, Michele and Garcia-Appendini, Emilia (2023) The role of culture in firm-bank matching. Journal of Financial Intermediation, 53 . 101018. doi:10.1016/j.jfi.2023.101018 ISSN 10429573.
Achtypi, Elena, Ashby, Nathaniel J. S., Brown, Gordon D. A., Walasek, Lukasz and Yechiam, Eldad (2021) The endowment effect and beliefs about the market. Decision, 8 (1). pp. 16-35. doi:10.1037/dec0000143 ISSN 2325-9965.
Adams, Paul, Guttman-Kenney, Benedict, Hayes, Lucy, Hunt, Stefan, Laibson, David and Stewart, Neil (2022) Do nudges reduce borrowing and consumer confusion in the credit card market? Economica, 89 (S1). S178-S199. doi:10.1111/ecca.12427 ISSN 0013-0427.
Advani, Arun and Tarrant, Hannah (2021) Behavioural responses to a wealth tax. Fiscal Studies, 42 (3-4). pp. 509-537. doi:10.1111/1475-5890.12283 ISSN 0143-5671.
Ahammad, Mohammad F., Leone, Vitor, Tarba, Shlomo Y. , Glaister, Keith W. and Arslan, Ahmad (2017) Equity ownership in cross-border mergers and acquisitions by British firms : an analysis of real options and transaction cost factors. British Journal of Management, 28 (2). pp. 180-196. doi:10.1111/1467-8551.12215 ISSN 1045-3172.
Ahn, Jae Hwan, Kim, Gi Hyun and Kwon, Sewon (2021) The impact of shareholder intervention on overinvestment of free cash flow by overconfident CEOs. International Review of Financial Analysis, 75 . 101751. doi:10.1016/j.irfa.2021.101751 ISSN 1057-5219.
Akbar, S., Buthiena, K., Poletti, J. and Shah, Syed Zulfiqar Ali (2017) Board structure and corporate risk taking in the UK financial sector. International Review of Financial Analysis, 50 . pp. 101-110. doi:10.1016/j.irfa.2017.02.001 ISSN 1057-5219.
Akerlof, Robert J. (2017) The importance of legitimacy. The World Bank Economic Review, 30 (Supplement 1). S157-S165. doi:10.1093/wber/lhw009 ISSN 0258-6770.
Akerlof, Robert J. and Holden, Richard (2016) Movers and shakers. The Quarterly Journal of Economics, 131 (4). pp. 1849-1874. doi:10.1093/qje/qjw021 ISSN 0033-5533.
Alanyali, Merve, Moat, Helen Susannah and Preis, Tobias (2013) Quantifying the relationship between financial news and the stock market. Scientific Reports, Volume 3 . Article number 3578. doi:10.1038/srep03578 ISSN 2045-2322.
Alavi, Sascha, Habel, Johannes, Schwenke, Marco and Schmitz, Christian (2020) Price negotiating for services : elucidating the ambivalent effects on customers’ negotiation aspirations. Journal of the Academy of Marketing Science, 48 . pp. 165-185. doi:10.1007/s11747-019-00676-4 ISSN 0092-0703.
Alexopoulos, Angelos, Dellaportas, Petros and Forster, Jonathan J. (2019) Bayesian forecasting of mortality rates by using latent Gaussian models. Journal of the Royal Statistical Society: Series A (Statistics in Society), 182 (2). pp. 689-711. doi:10.1111/rssa.12422 ISSN 0964-1998.
Alili, Larbi and Kyprianou, A. E. (2005) Some remarks on first passage of Lévy processes, the American put and pasting principles. The Annals of Applied Probability, Volume 15 (Number 3). pp. 2062-2080. doi:10.1214/105051605000000377 ISSN 1050-5164.
Anagnostopoulos, Alexis, Cárceles-Poveda , Eva and Lin, Danmo (2012) Dividend and capital gains taxation under incomplete markets. Journal of Monetary Economics, 59 (7). pp. 599-611. doi:10.1016/j.jmoneco.2012.06.007 ISSN 0304-3932.
Anagol, Santosh, Balasubramaniam, Vimal and Ramadorai, Tarun (2018) Endowment effects in the field : evidence from India’s IPO lotteries. The Review of Economic Studies, 85 (4). pp. 1971-2004. doi:10.1093/restud/rdy014 ISSN 0034-6527.
Anginer, Deniz, Demirgus-Kunt, Asli, Huizinger, Harry and Ma, Kebin (2016) Corporate governance and bank capitalization strategies. Journal of Financial Intermediation, 26 . pp. 1-27. doi:10.1016/j.jfi.2015.12.002 ISSN 1042-9573.
Anginer, Deniz, Demirgüç-Kunt, Asli, Huizinga, Harry and Ma, Kebin (2018) Corporate governance of banks and financial stability. Journal of Financial Economics, 130 (2). pp. 327-246. doi:10.1016/j.jfineco.2018.06.011 ISSN 0304-405X.
Anjorin, Seun S., Ayorinde, Abimbola, Abba, Mustapha, Mensah, Daniel, Okolie, Elvis A., Uthman, Olalekan A. and Oyebode, Oyinlola (2021) Equity of national publicly funded health insurance schemes under the universal health coverage agenda : a systematic review of studies conducted in Africa. Journal of Public Health . doi:10.1093/pubmed/fdab316 ISSN 1741-3842.
Antolin-Diaz, Juan, Petrella, Ivan and Rubio-Ramirez, Juan (2021) Structural scenario analysis with SVARs. Journal of Monetary Economics, 117 . pp. 798-815. doi:10.1016/j.jmoneco.2020.06.001 ISSN 0304-3932.
Antoniou, Constantinos, Harrison, Glenn W., Lau, Morten and Read, Daniel (2017) Information characteristics and errors in expectations : experimental evidence. Journal of Financial and Quantitative Analysis, 52 (2). pp. 737-750. doi:10.1017/S0022109017000035 ISSN 0022-1090.
Bacon, Nick, Hoque, Kim and Wright, Mike (2019) Is job insecurity higher in leveraged buyouts? British Journal of Industrial Relations, 57 (3). pp. 479-512. doi:10.1111/bjir.12447 ISSN 0007-1080.
Bagues, Manuel F. and Esteve-Volart, Berta (2016) Politicians’ luck of the draw : evidence from the Spanish christmas lottery. Journal of Political Economy, 124 (5). pp. 1269-1294. doi:10.1086/688178 ISSN 0022-3808.
Barardehi, Yashar H., Bernhardt, Dan and Davies, Ryan J. (2019) Trade-time based measures of liquidity. Review of Financial Studies, 32 (1). pp. 126-179. doi:10.1093/rfs/hhy012 ISSN 0893-9454.
Barardehi, Yashar H., Bernhardt, Dan, Ruchti, Thomas G. and Weidenmier, Marc (2021) The night and day of Amihud's (2002) liquidity measure. The Review of Asset Pricing Studies, 11 (2). pp. 269-308. raaa022. doi:10.1093/rapstu/raaa022 ISSN 2045-9920.
Barboni, Giorgia and Rossi, Carlotta (2019) Does your neighbour know you better? The supportive role of local banks in the financial crisis. Journal of Banking & Finance, 106 . 514 -526. doi:10.1016/j.jbankfin.2019.05.007 ISSN 0378-4266.
Barillas, Francisco, Kan, Raymond, Robotti, Cesare and Shanken, Jay (2020) Model comparison with Sharpe ratios. Journal of Financial and Quantitative Analysis, 55 (6). pp. 1840-1874. doi:10.1017/S0022109019000589 ISSN 0022-1090.
Barman, Emily, Hall, Matthew and Millo, Yuval (2021) Demonstrating value : how entrepreneurs design new accounting methods to justify innovations. European Accounting Review, 30 (4). pp. 675-704. doi:10.1080/09638180.2020.1770113 ISSN 0963-8180.
Bartling, Björn, Brandes, Leif and Schunk, Daniel (2015) Expectations as reference points : field evidence from professional soccer. Management Science, 61 (11). 2646 -2661. doi:10.1287/mnsc.2014.2048 ISSN 0025-1909.
Bartram, Söhnke M. (2019) Corporate hedging and speculation with derivatives. Journal of Corporate Finance, 57 . pp. 9-34. doi:10.1016/j.jcorpfin.2017.09.023 ISSN 0929-1199.
Bartram, Söhnke M., Branke, Jürgen, De Rossi, Giuliano and Motahari, Mehrshad (2021) Machine learning for active portfolio management. Journal of Financial Data Science, 3 (3). pp. 9-30. doi:10.3905/jfds.2021.1.071 ISSN 2640-3943.
Bartram, Söhnke M., Conrad, Jennifer, Lee, Jongsub and Subrahmanyam, Marti G. (2022) Credit default swaps around the world. Review of Financial Studies, 35 (5). pp. 2464-2524. doi:10.1093/rfs/hhab092 ISSN 0893-9454.
Bartram, Söhnke M. and Grinblatt, Mark (2018) Agnostic fundamental analysis works. Journal of Financial Economics, 128 (1). pp. 125-147. doi:10.1016/j.jfineco.2016.11.008 ISSN 0304-405X.
Bartram, Söhnke M. and Grinblatt, Mark (2021) Global market inefficiencies. Journal of Financial Economics, 139 (1). pp. 234-259. doi:10.1016/j.jfineco.2020.07.011 ISSN 0304-405X.
Bartram, Söhnke M., Lohre, H., Pope, P. and Ranganathan, A. (2021) Navigating the factor zoo around the world : an institutional investor perspective. Journal of Business Economics, 91 . pp. 655-703. doi:10.1007/s11573-021-01035-y ISSN 0044-2372.
Bauer, Michael D., Lakdawala, Aeimit and Mueller, Philippe (2022) Market-based monetary policy uncertainty. The Economic Journal . ueab086. doi:10.1093/ej/ueab086 ISSN 0013-0133.
Becker, Sascha O. and Hvide, Hans K. (2022) Entrepreneur death and startup performance. Review of Finance, 26 (1). pp. 163-185. doi:10.1093/rof/rfab015 ISSN 1572-3097.
Bernards, Nicholas (2019) The poverty of fintech? Psychometrics, credit infrastructures, and the limits of financialization. Review of International Political Economy, 26 (5). pp. 815-838. doi:10.1080/09692290.2019.1597753 ISSN 0969-2290.
Bernards, Nicholas (2018) The truncated commercialization of microinsurance and the limits of neoliberalism. Development and Change, 49 (6). pp. 1447-1470. doi:10.1111/dech.12454 ISSN 0012-155X.
Bernards, Nick (2021) Child labour, cobalt, and the London Metal Exchange : fetish, fixing, and the limits of financialization. Economy and Society . doi:10.1080/03085147.2021.1899659 ISSN 0308-5147.
Bernards, Nick (2022) Colonial financial infrastructures and Kenya’s uneven fintech boom. Antipode, 54 (3). pp. 708-728. doi:10.1111/anti.12810 ISSN 0066-4812.
Bernards, Nick (2021) Poverty finance and the durable contradictions of colonial capitalism : placing ‘financial inclusion’ in the long run in Ghana. Geoforum, 123 . pp. 89-98. doi:10.1016/j.geoforum.2021.04.029 ISSN 0016-7185.
Bernards, Nick (2023) States, money and the persistence of colonial financial hierarchies in British West Africa. Development and Change . doi:10.1111/dech.12745 ISSN 0012-155X. (In Press)
Bernards, Nick (2019) Tracing mutations in neoliberal development governance : "fintech", failure, and the politics of marketization. Environment and Planning A : Economy and Space, 51 (7). pp. 1442-1459. doi:10.1177/0308518X19862576 ISSN 0308-518X .
Bernards, Nick (2022) Waiting for the market? Microinsurance and development as anticipatory marketization. Environment and Planning A: Economy and Space, 54 (5). pp. 949-965. doi:10.1177/0308518X221073986 ISSN 0308-518X.
Bernards, Nick (2022) The World Bank, agricultural credit, and the rise of neoliberalism in global development. New Political Economy, 27 (1). pp. 116-131. doi:10.1080/13563467.2021.1926955 ISSN 1356-3467.
Bernhardt, Dan, Koufopoulos, Kostas and Trigilia, Giulio (2022) Separating equilibria, underpricing and security design. Journal of Financial Economics, 145 (3). pp. 788-801. doi:10.1016/j.jfineco.2021.08.021 ISSN 0304-405X.
Bernhardt, Dan, Koufopoulos , Kostas and Trigilia, Giulio (2020) Is there a paradox of pledgeability? Journal of Financial Economics, 137 (3). pp. 606-611. doi:10.1016/j.jfineco.2020.05.003 ISSN 0304-405X.
Bernhardt, Dan, Liu, Tingjun and Marquez, Robert (2018) Targeting target shareholders. Management Science, 64 (4). pp. 1477-1973. doi:10.1287/mnsc.2016.2598 ISSN 0025-1909.
Berry, Craig, Rademacher, Inga and Watson, Matthew (2022) Introduction to the special section on Financialization, state action and the contested policy practices of neoliberalization. Competition & Change, 26 (2). pp. 215-219. doi:10.1177/10245294221086864 ISSN 1024-5294.
Bessler, Wolfgang, Conlon, Thomas and Huan, Xing (2019) Does corporate hedging enhance shareholder value? A meta-analysis. International Review of Financial Analysis, 61 . pp. 222-232. doi:10.1016/j.irfa.2018.11.010 ISSN 1057-5219.
Bhardwaj, Arti and Imam, Shahed (2019) The tone and readability of the media during the financial crisis : evidence from pre-IPO media coverage. International Review of Financial Analysis, 63 . pp. 40-48. doi:10.1016/j.irfa.2019.02.001 ISSN 1057-5219.
Bianchi, Daniele, Büchner, Matthias and Tamoni, Andrea (2021) Bond risk premiums with machine learning. The Review of Financial Studies, 34 (2). pp. 1046-1089. doi:10.1093/rfs/hhaa062 ISSN 0893-9454.
Bianchi, Daniele and Chiarella, Carlo (2019) An anatomy of industry merger waves. Journal of Financial Econometrics, 17 (2). pp. 153-179. doi:10.1093/jjfinec/nby025 ISSN 1479-8409.
Bilgili, Tsvetomira V., Bilgili, Hansin, Allen, David G., Loncarich, Holly, Kedia, Ben L. and Johnson, Jonathan L. (2022) Friends, foes, or “frenemies” : intercountry relations and cross‐border acquisitions. Global Strategy Journal . doi:10.1002/gsj.1460 ISSN 2042-5791. (In Press)
Bloise, Gaetano, Polemarchakis, H. M. and Vailakis, Yiannis (2021) Sustainable debt. Theoretical Economics, 16 (4). pp. 1513-1555. doi:10.3982/TE4173 ISSN 1933-6837.
Boero, Gianna , Mandalinci, Zeyyad and Taylor, Mark P. (2019) Modelling portfolio capital flows in a global framework : multilateral implications of capital controls. Journal of International Money and Finance, 90 . pp. 142-160. doi:10.1016/j.jimonfin.2018.09.006 ISSN 0261-5606.
Boodoo, Muhammad Umar, Henriques, Irene and Husted, Bryan W. (2022) Putting the “love of humanity” back in corporate philanthropy : the case of health grants by corporate foundations. Journal of Business Ethics, 178 . pp. 415-428. doi:10.1007/s10551-021-04807-2 ISSN 0167-4544.
Botta, Federico, Moat, Helen Susannah, Stanley, H. Eugene and Preis, Tobias (2015) Quantifying stock return distributions in financial markets. PLoS One, 10 (9). pp. 1-10. e0135600. doi:10.1371/journal.pone.0135600 ISSN 1932-6203.
Boulatov, Alex and Bernhardt, Dan (2015) Robustness of equilibrium in the Kyle model of informed speculation. Annals of Finance, 11 (3). pp. 297-318. doi:10.1007/s10436-015-0264-2 ISSN 1614-2446.
Bove, Vincenzo and Elia, Leandro (2014) The impact of American and British involvement in Afghanistan and Iraq on health spending, military spending and economic growth. The BE Journal of Macroeconomics, 14 (1). pp. 325-339. doi:10.1515/bejm-2013-0097 ISSN 2194-6116.
Boyson, Nicole M., Gantchev, Nickolay and Shivdasani, Anil (2017) Activism mergers. Journal of Financial Economics, 126 (1). pp. 54-73. doi:10.1016/j.jfineco.2017.06.008 ISSN 0304-405X.
Brassett, James and Rethel, Lena (2015) Sexy money : the hetero-normative politics of global finance. Review of International Studies, 41 (3). pp. 429-449. doi:10.1017/S0260210514000461 ISSN 0260-2105.
Breslin, Shaun (2014) Financial transitions in the PRC : banking on the state? Third World Quarterly, Volume 35 (Number 6). pp. 996-1013. doi:10.1080/01436597.2014.907723 ISSN 0143-6597.
Brettschneider, Julia, Burro, Giovanni and Henderson, Vicky (2021) Wide framing disposition effect : an empirical study. Journal of Economic Behavior and Organization, 185 . pp. 330-347. doi:10.1016/j.jebo.2021.03.003 ISSN 0167-2681.
Broadberry, S. N., Ghosal, Sayantan and Proto, Eugenio (2017) Anonymity, efficiency wages and technological progress. Journal of Development Economics, 127 . pp. 379-394. doi:10.1016/j.jdeveco.2016.06.002 ISSN 0304-3878.
Broome, André (2022) Gaming country rankings : consultancies as knowledge brokers for global benchmarks. Public Administration, 100 (3). pp. 554-570. doi:10.1111/PADM.12809 ISSN 0033-3298.
Buckley, Peter J., Driffield, Nigel L. and Kim, Jae Yeon (2022) The role of outward FDI in creating Korean global factories. Management International Review, 62 . pp. 27-52. doi:10.1007/s11575-022-00462-5 ISSN 0938-8249.
Büyükboyacı, Mürüvvet, Gürdal, Mehmet Y., Kibris, Arzu and Kibris, Özgür (2019) An experimental study of the investment implications of bankruptcy laws. Journal of Economic Behavior and Organization, 158 . pp. 607-629. doi:10.1016/j.jebo.2019.01.001 ISSN 0167-2681.
Callen, Jeffey L., Kaniel, Ron and Segal, Dan (2022) Filing speed, information leakage, and price formation. Review of Accounting Studies . doi:10.1007/s11142-022-09673-5 ISSN 1380-6653. (In Press)
Cao, Zhangfan, Rees, William and Zhang, Zhifang (2023) The effect of real earnings smoothing on corporate labour investment. The British Accounting Review . 101178. doi:10.1016/j.bar.2023.101178 ISSN 0890-8389. (In Press)
Cascino, Stefano, Clatworthy, Mark A., García Osma, Beatriz, Gassen, Joachim and Imam, Shahed (2021) The usefulness of financial accounting information : evidence from the field. The Accounting Review, 96 (6). pp. 73-102. doi:10.2308/TAR-2019-1030 ISSN 1558-7967.
Castellano, Giuliano G. and Dubovec, Marek (2018) Credit creation : reconciling legal and regulatory incentives. Law and Contemporary Problems, 81 (1). pp. 63-85. ISSN 0023-9186.
Castelle, Michael, Millo, Yuval, Beunza, Daniel and Lubin, David C. (2016) Where do electronic markets come from? : Regulation and the transformation of financial exchanges. Economy and Society, 45 (2). pp. 166-200. doi:10.1080/03085147.2016.1213985 ISSN 0308-5147.
Cayé, Thomas, Herdegen, Martin and Muhle-Karbe, Johannes (2020) Trading with small nonlinear price impact. Annals of Applied Probability, 30 (2). pp. 706-746. doi:10.1214/19-AAP1513 ISSN 1050-5164.
Chakraborty, Indraneel and Gantchev, Nickolay (2013) Does shareholder coordination matter? Evidence from private placements. Journal of Financial Economics, 108 (1). pp. 213-230. doi:10.1016/j.jfineco.2012.10.001 ISSN 0304-405X.
Chakuu, Sumeer, Masi, Donato and Godsell, Janet (2019) Exploring the relationship between mechanisms, actors and instruments in supply chain finance : a systematic literature review. International Journal of Production Economics, 216 . pp. 35-53. doi:10.1016/j.ijpe.2019.04.013 ISSN 0925-5273.
Chambers, Robert G. and Melkonyan, Tigran A. (2020) Incomplete preferences and equilibrium in contingent markets. Economica, 87 (345). pp. 108-131. doi:10.1111/ecca.12296 ISSN 0013-0427.
Chatrabgoun, O., Hosseinian-Far, A., Chang, V., Stocks, Nigel G. and Daneshkhah, Alireza (2018) Approximating non-gaussian bayesian networks using minimum information vine model with applications in financial modelling. Journal of Computational Science, 24 . pp. 266-276. doi:10.1016/j.jocs.2017.09.002 ISSN 1877-7503 .
Chen, Ding, Deakin, Simon, Johnston, Andrew and Wang, Boya (2021) Too much technology and too little regulation? The spectacular demise of P2P lending in China. Accounting, Economics, and Law: A Convivium . doi:10.1515/ael-2021-0056 ISSN 2194-6051. (In Press)
Cheng, Terence C., Costa-i-Font, Joan and Powdthavee, Nick (2018) Do you have to win it to fix it? A longitudinal study of lottery winners and their health care demand. American Journal of Health Economics, 4 (1). pp. 26-50. doi:10.1162/ajhe_a_00092 ISSN 0034-6535.
Chiu, Iris H-Y, Kokkinis, Andreas and Miglionico, Andrea (2021) Debt expansion as ‘relief and rescue’ at the time of the Covid-19 pandemic : insights from the legal theory of finance. Indiana Journal of Global Legal Studies, 28 (1). pp. 29-99. doi:10.2979/indjglolegstu.28.1.0029 ISSN 1080-0727.
Choi, Hoyong, Mueller, Philippe and Vedolin, Andrea (2017) Bond variance risk premiums. Review of Finance, 21 (3). pp. 987-1022. rfw072. doi:10.1093/rof/rfw072 ISSN 1572-3097.
Clarke, Chris (2019) Platform lending and the politics of financial infrastructures. Review of International Political Economy, 26 (5). pp. 863-885. doi:10.1080/09692290.2019.1616598 ISSN 1466-4526.
Clarke, Chris (2021) The legacy of Frank H. Knight for the politics of financial governance. Journal of Institutional Economics, 17 (6). pp. 973-987. doi:10.1017/S1744137421000436 ISSN 1744-1374.
Clarke, Chris and Tooker, Lauren (2018) Social finance meets financial innovation : contemporary experiments in payments, money and debt. Theory, Culture & Society, 35 (3). pp. 3-11. doi:10.1177/0263276417746467 ISSN 0263-2764.
Clements, Michael P. and Galvão, Ana B. (2023) Density forecasting with BVAR models under macroeconomic data uncertainty. Journal of Applied Econometrics . doi:10.1002/jae.2944 ISSN 0883-7252. (In Press)
Clift, Ben and Kuhn, Raymond (2014) Introduction : the politics of austerity in comparative perspective. French Politics, 12 (2). pp. 77-85. doi:10.1057/fp.2014.9 ISSN 1476-3419.
Clift, Ben and Robles, Te-Anne (2021) The IMF, tackling inequality, and post-neoliberal ‘reglobalization’ : the paradoxes of political legitimation within economistic parameters. Globalizations, 18 (1). pp. 39-54. doi:10.1080/14747731.2020.1774325 ISSN 1474-7731.
Condorelli, Daniele, Galeotti, Andrea and Renou, Ludovic (2017) Bilateral trading in networks. The Review of Economic Studies, 84 (1). pp. 82-105. doi:10.1093/restud/rdw034 ISSN 0034-6527.
Condorelli, Daniele, Galeotti, Andrea and Skreta, Vasiliki (2018) Selling through referrals. Journal of Economics & Management Strategy, 27 (4). pp. 669-685. doi:10.1111/jems.12251 ISSN 1058-6407.
Conlon, Thomas and Huan, Xing (2019) Scaling the twin peaks : systemic risk and dual regulation. Economics Letters, 178 . pp. 98-101. doi:10.1016/j.econlet.2019.02.021 ISSN 0165-1765.
Connelly, Stephen (2016) When overseeing becomes overlooking : the post-GFC reconfigurations of international finance. Journal of Corporate Law Studies, 16 (2). pp. 403-435. doi:10.1080/14735970.2016.1191930 ISSN 1473-5970.
Connelly, Stephen and Leesurakarn, Saveethika (2017) 'Tis said they turned and ate each other? The interaction between OTC clearing requirements and the BRRD. Butterworths Journal of International Banking and Financial Law, 32 (4). pp. 205-208. ISSN 0269-2694.
Connelly, Stephen, Tan, Celine, Patricio, Karina, Lima, Ferreira and Tassis, Chris (2020) The G20 debt service suspension initiative : what of commercial creditors? Butterworths Journal of International Banking and Financial Law, 35 (11). pp. 741-743. ISSN 0269-2694.
Copley, Jack (2017) Financial deregulation and the role of statecraft : lessons from Britain’s 1971 competition and credit control measures. New Political Economy, 22 (6). pp. 692-708. doi:10.1080/13563467.2017.1311849 ISSN 1356-3467.
Copley, Jack (2019) Why were capital controls abandoned? The case of Britain’s abolition of exchange controls, 1977-9. British Journal of Politics and International Relations, 21 (2). pp. 403-420. doi:10.1177/1369148118819687 ISSN 1369-1481.
Crafts, N. F. R. (2019) The fall potential output due to the financial crisis : a much bigger estimate for the UK. Comparative Economic Studies, 61 (4). pp. 625-635. doi:10.1057/s41294-019-00094-z ISSN 0888-7233.
Croft, Charlotte and Currie, Graeme (2020) Realizing policy aspirations of voluntary sector involvement in integrated care provision : insights from the English National Health Service. Health Policy, 124 (5). pp. 549-555. doi:10.1016/j.healthpol.2020.03.008 ISSN 0168-8510.
Cui, Bei and Gozluklu, Arie E. (2016) Intraday rallies and crashes : spillovers of trading halts. International Journal of Finance and Economics, 21 (4). pp. 472-501. doi:10.1002/ijfe.1556 ISSN 1076-9307.
Curme, Chester, Zhuo, Ying Daisy, Moat, Helen Susannah and Preis, Tobias (2017) Quantifying the diversity of news around stock market moves. The Journal of Network Theory in Finance, 3 (1). pp. 1-20. doi:10.21314/JNTF.2017.027 ISSN 2055-7795.
Cvijanović, Dragana, Milcheva, Stanimira and van de Minne, Alex (2022) Preferences of institutional investors in commercial real estate. The Journal of Real Estate Finance and Economics, 65 . pp. 321-359. doi:10.1007/s11146-020-09816-y ISSN 0895-5638.
Cvijanović, Dragana and Spaenjers, Christophe (2021) “We’ll always have Paris” : out-of-country buyers in the housing market. Management Science, 67 (7). pp. 4120-4138. doi:10.1287/mnsc.2020.3686 ISSN 0025-1909.
Dafe, Florence and Rethel, Lena (2022) Domestic bank reform and the contingent nature of the structural power of finance in emerging markets. Politics & Society, 50 (4). pp. 571-598. doi:10.1177/00323292221125567 ISSN 0032-3292.
Danis, Andràs and Gamba, Andrea (2018) The real effects of credit default swaps. Journal of Financial Economics, 127 (1). pp. 51-76. doi:10.1016/j.jfineco.2017.10.005 ISSN 0304-405X.
Danis, András and Gamba, Andrea (2023) Dark knights : the rise in firm intervention by CDS investors. Management Science . doi:10.1287/mnsc.2023.4717 ISSN 0025-1909. (In Press)
Delacretaz, David, Loertscher, Simon and Mezzetti, Claudio (2022) When Walras meets Vickrey. Theoretical Economics, 17 (4). pp. 1803-1845. doi:10.3982/TE4296 ISSN 1933-6837.
Della Corte, Pasquale, Kozhan, Roman and Neuberger, Anthony (2021) The cross-section of currency volatility premia. Journal of Financial Economics, 139 (3). pp. 950-970. doi:10.1016/j.jfineco.2020.08.010 ISSN 0304-405X.
Delle Monache, Davide, Venditti, Fabrizio and Petrella, Ivan (2021) Price dividend ratio and long-run stock returns : a score driven state space model. Journal of Business and Economic Statistics, 39 (4). pp. 1054-1065. doi:10.1080/07350015.2020.1763805 ISSN 0735-0015.
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Miller, Marcus, García Fronti, Javier I. and Zhang, Lei (2006) Supply shocks and currency crises: the policy dilemma reconsidered. Working Paper. Coventry: University of Warwick, Department of Economics. Warwick economic research papers (No.760).
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Journal Item
Farmer, Roger E. A. (2018) The end of alchemy by Mervyn King : a review essay. Journal of Economic Literature, 56 (3). pp. 1102-1118. doi:10.1257/jel.20171445
Peng, Yuzhu (Altman) (2020) Alipay adds “beauty filters” to face-scan payments : a form of patriarchal control over women’s bodies. Feminist Media Studies, 20 (4). pp. 582-585. doi:10.1080/14680777.2020.1750779
Report
Anzel, Andrew, Kaszynska, Patrycja and Beer, Haley (2022) Social value creation and measurement in the cultural sector. Coventry: University of Warwick; Arts and Humanities Research Council (AHRC). (Future Trends Series).
Thesis
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Dataset
Mugnai, Iacopo (2022) Data for The politics of ECB’s economic ideas and its implications for European economic governance : embedding a resilient EMU from the top-down? [Dataset]
Mugnai, Iacopo (2022) Data for The politics of ECB’s economic ideas and its implications for European economic governance : embedding a resilient EMU from the top-down? [Dataset]