
The Library
Browse by Research subject area at the University of Warwick
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- Subject Classification [Library of Congress, Moys] (82404)
- H Social Sciences (17280)
- HG Finance (1363)
- H Social Sciences (17280)
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Number of items at this level: 1363.
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 (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 (2005) The Brazilian currency turmoil of 2002: A nonlinear analysis. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 10 (4). pp. 289-306. doi:10.1002/ijfe.273 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. doi:10.1002/ijfe.231 ISSN 1076-9307.
UNSPECIFIED (2005) A Contango-constrained model for storable commodity prices. JOURNAL OF FUTURES MARKETS, 25 (11). pp. 1025-1044. doi:10.1002/fut.20180 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. doi:10.1002/ijfe.247 ISSN 1076-9307.
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. doi:10.1002/ijfe.232 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 (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 (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. doi:10.1016/j.jbankfin.2003.10.018 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 (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 (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. doi:10.1002/ijfe.277 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. doi:10.1088/1469-7688/4/1/008 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 (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. doi:10.1016/S0378-4266(02)00246-7 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 (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. doi:10.1088/1469-7688/7/3/008 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. doi:10.1016/S0378-4266(03)00127-4 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. doi:10.1007/s11123-009-0165-3 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. doi:10.1080/00036840902984381 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. doi:10.1016/j.jbankfin.2006.06.016 ISSN 0378-4266.
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 1042-9573.
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.
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. doi:10.1016/j.jbankfin.2011.03.022 ISSN 0378-4266.
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, Bangham, George and Leslie, Jack (2021) The UK's wealth distribution and characteristics of high-wealth households. Fiscal Studies, 42 (3-4). pp. 397-430. doi:10.1111/1475-5890.12286 ISSN 0143-5671.
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.
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. doi:10.1016/j.jbankfin.2007.07.014 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. doi:10.1111/j.1755-053X.2008.00021.x ISSN 0046-3892.
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.
Ahrens, Thomas (2008) Overcoming the subjective-objective divide in interpretive management accounting research. Accounting, Organizations and Society, Volume 33 (Numbers 2-3). pp. 292-297. doi:10.1016/j.aos.2007.03.002 ISSN 0361-3682.
Ahrens, Thomas and Chapman, Christopher S. (2007) Management accounting as practice. Accounting Organizations and Society, Volume 32 (Number 1-2). pp. 1-27. doi:10.1016/j.aos.2006.09.013 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. doi:10.1016/j.aos.2006.08.001 ISSN 0361-3682.
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.
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. doi:10.1016/j.irfa.2011.06.005 ISSN 10575219.
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.
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. doi:10.1016/j.jinteco.2008.07.004 ISSN 0022-1996.
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.
Alempaki, Despoina, Isoni, Andrea and Read, Daniel (2023) Deception aversion, norm violation and consumer responses to prosocial initiatives. Behavioural Public Policy . doi:10.1017/bpp.2023.32 ISSN 2398-063X. (In Press)
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.
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.
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, Doukas, John A. and Subrahmanyam, Avanidhar (2013) Cognitive dissonance, sentiment, and momentum. Journal of Financial and Quantitative Analysis, Volume 48 (Number 1). pp. 245-275. doi:10.1017/S0022109012000592 ISSN 0022-1090.
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 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.
Aretz, Kevin and Bartram, Söhnke M. (2010) Corporate hedging and shareholder value. Journal of Financial Research, Vol.33 (No.4). pp. 317-371. doi:10.1111/j.1475-6803.2010.01278.x 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. doi:10.1016/j.ijforecast.2009.10.008 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. doi:10.1016/j.jbankfin.2009.12.006 ISSN 0378-4266.
Arrowsmith, James and Marginson, Paul (2011) Variable pay and collective bargaining in British retail banking. British Journal of Industrial Relations, Volume 49 (Number 1). pp. 54-79. doi:10.1111/j.1467-8543.2009.00768.x ISSN 0007-1080.
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Martinez, Jose and Woodruff, Christopher (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)
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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)
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Book
Breslin, Shaun, ed. (2012) East Asia and the global crisis. London: Routledge. ISBN 9780415508063
Labrosse, John Raymond and Olivares-Caminal, Rodrigo and Singh, Dalvinder, 1970-, eds. (2009) Financial crisis management and bank resolution. London: Informa Law. ISBN 9781843118381
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Kozhan, Roman (2009) Financial econometrics - with Eviews. Denmark: Ventus. ISBN 9788776814274
Olivares-Caminal, Rodrigo, Douglas, John, Guynn, Randall, Kornberg, Alan, Paterson, Sarah, Singh, Dalvinder 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
Sinclair, Timothy J. (2021) To the brink of destruction : America's rating agencies and financial crisis. Cornell Studies in Money . Ithaca, New York: Cornell University Press. ISBN 9781501760242
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
Journal Item
UNSPECIFIED (1991) ARE RESETTABLE BONDS INTENDED TO FORCE BANKRUPTCY. FINANCIAL MANAGEMENT, 20 (3). p. 7.
UNSPECIFIED (2006) Aspects of foreign exchange market microstructure: Editors' introduction. INTERNATIONAL JOURNAL OF FINANCE & ECONOMICS, 11 (1). pp. 1-2. doi:10.1002/ijfe.290
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.
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. doi:10.1016/j.aos.2003.11.002
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.
UNSPECIFIED (1990) REGIONAL SUSTAINABLE DEVELOPMENT AND NATURAL-RESOURCE USE - DISCUSSION. WORLD BANK ECONOMIC REVIEW (Suppl. S). pp. 201-205.
UNSPECIFIED (1990) SOME EXPERIMENTAL-EVIDENCE ON FUNCTIONAL FIXATION - A RESEARCH NOTE. ACCOUNTING ORGANIZATIONS AND SOCIETY, 15 (3). pp. 193-198.
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. doi:10.1016/j.aos.2006.03.007
Clubb, Colin (2006) Discussion of 'Do better-governed Australian firms make more informative disclosures?'. Journal of Business Finance & Accounting, 33 (3-4). pp. 451-458. doi:10.1111/j.1468-5957.2006.00624.x
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
Forde, Martin, Jacquier, Antoine and Mijatović, Aleksandar (2011) A note on essential smoothness in the Heston model. Finance and Stochastics, 15 (4). pp. 781-784. doi:10.1007/s00780-011-0162-z
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. doi:10.1002/ijfe.308
Melvin, Michael and Taylor, Mark P. (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. doi:10.1016/j.jimonfin.2009.08.002
Neely, Christopher J. and Taylor, Mark P. (2007) Exchange rate intervention. International Journal of Finance & Economics, Vol.12 (No.2). pp. 107-108. doi:10.1002/ijfe.331
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
Sarno, Lucio and Taylor, Mark P. (2002) Purchasing power parity and the real exchange rate. IMF Staff Papers, 49 (1). pp. 65-105.
Scholte, Jan Aart (2011) Towards greater legitimacy in global governance. Review of International Political Economy, Volume 18 (Number 1). pp. 110-120. doi:10.1080/09692290.2011.545215
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).
Green, Anne E., De Hoyos, Maria, Barnes, Sally-Anne, Baldauf, Beate and Behle, Heike (2013) CrowdEmploy crowdsourcing case studies : an empirical investigation into the impact of crowdsourcing on employability. Luxembourg: Publications Office of the European Union.
Latif, Lyla (2022) Intensifying the fight against corruption and money laundering in Africa. New York, USA: United Nations, Office of the Special Adviser on Africa.
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).
Orton, Michael (2010) The long-term impact of debt advice on low income households : the year 3 report. Coventry : University of Warwick.
Thesis
Abdullah, Mat Saad (1996) Behaviour of the Kuala Lumpur stock exchange 1984-1994 : some comparative, descriptive and inferential analyses. PhD thesis, University of Warwick.
Adeeko, Olukayode Adesope (1998) The law and policy of financial regulation and deregulation of Nigerian banking system. PhD thesis, University of Warwick.
Ahmed, Waqar (2016) Agency issues in share repurchase programmes. 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 Ben Ali, Lulwa Mubarak (2020) Regulation and supervision of Kuwait capital markets : a critical analysis of the risk based approach. 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.
Albrighton, Lewis Mark (1997) The acquisition process decision in United Kingdom companies. PhD thesis, University of Warwick.
Allayioti, Anastasia (2020) Forecasting financial and macroeconomic variables in the presence of instabilities and asymmetries. PhD thesis, University of Warwick.
Andreu, Marco (2019) Impact bonds and the ambiguous politics of market ethics. PhD thesis, University of Warwick.
Angkasa, Sany (2021) Values placed upon different forms of capital of audit professionals in Big 4 and mid-tier firms in Indonesia. PhD thesis, University of Warwick.
Arias-Barrera, Ligia Catherine (2016) Fractures of the UK regulation and supervision of central counterparties in the OTC derivatives market. PhD thesis, University of Warwick.
Arthur, Simon James (2022) The independence of the Bank of England : a sociological investigation. PhD thesis, University of Warwick.
Asbool, Ghasan Saeed (2019) Essays on the effects of debt on real activity. PhD thesis, University of Warwick.
Ashton, David (1978) The construction and use of mathematical programming models for the analysis of the integrated investment and financing decision within a firm. 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.
Azinge, Nkechikwu Nkeiruka Valerie (2018) Compliance with the global AML/CFT regulation: parameters and paradoxes of regulation in African countries and emerging economies. 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.
Battisti, Giuliana (2000) The intra-firm diffusion of new technologies. PhD thesis, University of Warwick.
Bedendo, Mascia (2003) Density forecasting in financial risk modelling. PhD thesis, University of Warwick.
Behrens, Thore (2018) The eurosystem under siege: the crisis response of the European central bank. PhD thesis, University of Warwick.
Bennett, Piyaseeli (1981) Effects of taxation on business in less developed countries with special reference to Sri Lanka. PhD thesis, University of Warwick.
Bin Hasan, Mohammad Shehub (2021) Investor emotions and asset prices. PhD thesis, University of Warwick.
Biswas, Swarnava (2014) Essays in banking and financial structure. 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.
Braun, B. (Benjamin) (2014) Central bank agency and monetary governability in the euro area : governing through money, trust, and expectations. PhD thesis, University of Warwick.
Brennan, Niamh (1995) Disclosure of profit forecasts during takeover bids. PhD thesis, University of Warwick.
Burro, Giovanni (2020) Estimation and statistical modelling of financial and economic decisions from trading and survey data. PhD thesis, University of Warwick.
Büchner, Matthias (2020) Essays in empirical asset pricing with machine learning. PhD thesis, University of Warwick.
Ca'Zorzi, Michele (1998) Exchange rate instability and economic reform : with specific reference to Russian exchange rate reforms in the early 1990's. 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.
Chakuu, Sumeer (2019) Exploring supply chain finance as an instrument for enabling logistics service providers to upgrade their service offerings. PhD thesis, University of Warwick.
Chang, Yoonhee Tina (2005) Banking structure and governance: changes in regulation and technology. PhD thesis, University of Warwick.
Chaudhary, Amit (2021) Four essays in empirical economics. PhD thesis, University of Warwick.
Chen, Linquan (2016) Essays on the role of short selling in financial markets. PhD thesis, University of Warwick.
Chen, Wen-Hui (2014) Determinants of internet banking adoption by corporate customers : a study of behavioural intentions in Taiwanese businesses. PhD thesis, University of Warwick.
Chen, Yao (2017) Investor attention and stock market outcomes. 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.
Chohan, Sharonjit Kaur (2020) New public management and its impact on the voluntary sector : a case study of youth unemployment services in Coventry. 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.
Chui, Bing Sun (2017) An integrated model to predict M&A decisions. 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.
Copley, Jack (2018) Financialisation and the State: Global Crisis and British Financial Regulatory Change. PhD thesis, University of Warwick.
Courtenay, Roger A. (1997) Alternative models of security price equilibrium. PhD thesis, University of Warwick.
Dal Borgo, Mariela (2015) Essays in household savings and portfolio choice. PhD thesis, University of Warwick.
Davradakis, Emmanuel (2004) Monetary policy analysis at a non-linear and a Bayesian framework. PhD thesis, University of Warwick.
Degasperi, Riccardo (2022) Essays in applied macroeconomics. PhD thesis, University of Warwick.
Delfino, María Eugenia (2003) Post-deregulation developments in financial services : the case of the banking industry in Argentina. PhD thesis, University of Warwick.
Della Corte, Pasquale (2007) Essays in empirical finance. PhD thesis, University of Warwick.
Deriantino, Ellis (2019) Empirical essays on banking intermediation. PhD thesis, University of Warwick.
Deshpande , Amogh (2014) Topics in risk-sensitive stochastic control. PhD thesis, University of Warwick.
Desmond, Helen J. (2002) Workforce reduction, older workers and public policy. PhD thesis, University of Warwick.
Dimmelmeier, Andreas (2020) The role of economic ideas in sustainable finance : from paradigms to policy. PhD thesis, University of Warwick.
Ding, Rong (2016) Essays on the efficiency of markets. PhD thesis, University of Warwick.
Dinçkol, Dize (2021) Industry disruption in UK banking : the evolution of regulation, technology adoption and business models. PhD thesis, University of Warwick.
Djuranovik, Leslie (2019) Essays in international financial markets. PhD thesis, University of Warwick.
Dobra-Kiel, Alexandra (2017) Emotions and behavioural ethics : the case of asset management and investment banking. PhD thesis, University of Warwick.
D’Aguanno, Lucio (2016) Essays in international monetary economics. 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 (1981) The role of insurance and its regulation in development : Sudan and Tanzania. PhD thesis, University of Warwick.
El-Omari, Jawad A. (2013) Efficient learning methods to tune algorithm parameters. PhD thesis, University of Warwick.
Estrada, Fredy A. G. (2015) Essays on exchange rate determination and international capital flows in emerging economies. PhD thesis, University of Warwick.
Farida, Siti (2021) Essays in mergers & acquisitions and leveraged buyouts. PhD thesis, University of