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Number of items: 13.
Journal Article
Antoniou, Constantinos, Doukas, John A. and Subrahmanyam, Avanidhar (2015) Investor sentiment, beta and the cost of equity capital. Management Science, 62 (2). pp. 347-367. doi:10.1287/mnsc.2014.2101 ISSN 0025-1909.
Antoniou, Constantinos, Harris, Richard D. F. and Zhang, Ruogu (2015) Ambiguity aversion and stock market participation : an empirical analysis. Journal of Banking & Finance, Volume 58 . pp. 57-70. doi:10.1016/j.jbankfin.2015.04.009 ISSN 0378-4266.
Antoniou, Constantinos, Harrison, Glenn W., Lau, Morten I. and Read, Daniel (2015) Subjective Bayesian beliefs. Journal of Risk and Uncertainty, 50 (1). pp. 35-54. doi:10.1007/s11166-015-9208-5 ISSN 0895-5646.
Bartram, SΓΆhnke M., Brown, Greg W. and Waller, W. (2015) How important is financial risk? Journal of Financial and Quantitative Analysis, 50 (4). pp. 801-824. doi:10.1017/S0022109015000216 ISSN 0022-1090.
Bartram, SΓΆhnke M., Griffin, John M., Lim, Tae-Hoon and Ng, David T. (2015) How important are foreign ownership linkages for international stock returns? Review of Financial Studies, 28 (11). pp. 3036-3072. doi:10.1093/rfs/hhv030 ISSN 0893-9454.
Bartram, SΓΆhnke M. and Wang, Yaw-Huei (2015) European financial market dependence : an industry analysis. Journal of Banking & Finance, 59 (1). pp. 146-163. doi:10.1016/j.jbankfin.2015.06.002 ISSN 0378-4266.
Dunne, Peter G., Hau, Harald and Moore, Michael J. (2015) Dealer intermediation between markets. Journal of the European Economic Association, 13 (5). pp. 770-804. doi:10.1111/jeea.12118 ISSN 1542-4766.
Ferreira, Alex Luiz and Moore, Michael J. (2015) Carry trade e risco cambial : um conto de dois fatores. Revista Brasileira de Economia, 69 (4). pp. 429-449. doi:10.5935/0034-7140.20150020 ISSN 0034-7140 .
Gozluklu, Arie E., Perotti, Pietro, Rindi, Barbara and Fredella, Roberta (2015) Lot size constraints and market quality : evidence from the Borsa Italiana. Financial Management, 44 (4). pp. 905-945. doi:10.1111/fima.12105 ISSN 0046-3892.
Hutton, Irena, Jiang, Danling and Kumar, Alok (2015) Corporate policies of republican managers. Journal of Financial and Quantitative Analysis, 49 (5-6). pp. 1279-1310. doi:10.1017/S0022109014000702 ISSN 0022-1090.
Kumar, Alok, Niessen-Ruenzi, Alexandra and Spalt, Oliver G. (2015) What's in a name? Mutual fund flows when managers have foreign-sounding names. Review of Financial Studies, 28 (8). pp. 2281-2321. doi:10.1093/rfs/hhv017 ISSN 0893-9454.
Ritz, Robert A. and Walther, Ansgar (2015) How do banks respond to increased funding uncertainty? Journal of Financial Intermediation, 24 (3). pp. 386-410. doi:10.1016/j.jfi.2014.12.001 ISSN 1042-9573.
Shapiro, Joel and Skeie, David (2015) Information management in banking crises. Review of Financial Studies, 28 (8). pp. 2322-2363. doi:10.1093/rfs/hhv010 ISSN 0893-9454.