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Accounting and Finance

  1. Published

    Portfoliooptimierung: Korrelationen von Immobilien mit anderen Maerkten und Assetklassen: Effiziente Portfoliodiversifikation unter Beruecksichtigung von Downside-Risiken

    Benk, K., Hass, L. H., Johanning, L., Rudolph, B. & Schweizer, D., 2009, Praxishandbuch Immobilienmarktrisiken. Junius, K. & Piazolo, D. (eds.). Immobilienmanager Verlag

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNChapter (peer-reviewed)

  2. Published

    Does the stock market make firms more productive?

    Bennett, B., Stulz, R. & Wang, J., 1/05/2020, In : Journal of Financial Economics. 136, 2, p. 281-306 26 p.

    Research output: Contribution to journalJournal article

  3. Published

    Tests of ex ante versus ex post theories of collateral using private and public information

    Berger, A. N., Scott Frame, W. & Ioannidou, V., 1/04/2011, In : Journal of Financial Economics. 100, 1, p. 85-97 13 p.

    Research output: Contribution to journalJournal article

  4. Published

    Tests of ex ante versus ex post theories of collateral using private and public information

    Berger, A., Frame, S. & Ioannidou, V., 2011.

    Research output: Contribution to conference - Without ISBN/ISSN Conference paper

  5. Published

    Does it pay to have friends? Social ties and executive appointments in banking

    Berger, A. N., Kick, T., Koetter, M. & Schaeck, K., 1/06/2013, In : Journal of Banking and Finance. 37, 6, p. 2087-2105 18 p.

    Research output: Contribution to journalJournal article

  6. Published

    Executive board composition and bank risk taking

    Berger, A. N., Kick, T. & Schaeck, K., 1/10/2014, In : Journal of Corporate Finance. 28, p. 48-65 17 p.

    Research output: Contribution to journalJournal article

  7. Published

    Small and medium-sized enterprises, bank relationship strength, and the use of venture capital

    Berger, A. N. & Schaeck, K., 1/03/2011, In : Journal of Money, Credit and Banking. 43, 2-3, p. 461-490 29 p.

    Research output: Contribution to journalJournal article

  8. Published

    Bank liquidity creation following regulatory interventions and capital support

    Berger, A. N., Bouwman, C. H. S., Kick, T. & Schaeck, K., 04/2016, In : Journal of Financial Intermediation. 26, p. 115-141 27 p.

    Research output: Contribution to journalJournal article

  9. Published

    Reexamining the empirical relation between loan risk and collateral: the roles of collateral liquidity and types

    Berger, A. N., Frame, W. S. & Ioannidou, V., 04/2016, In : Journal of Financial Intermediation. 26, p. 28-46 19 p.

    Research output: Contribution to journalJournal article

  10. Published

    Development financial institutions, financial constraints and growth: evidence from the Indian corporate sector

    Bhandari, L., Dasgupta, S. & Gangopadhyay, S., 01/2003, In : Journal of Emerging Market Finance. 2, 1, p. 83-129 47 p.

    Research output: Contribution to journalJournal article

  11. Published

    Portfolio theory applied to on-line financial information: a computer based graphical approach

    Bielinski, B., Whiddett, D., Ho, S. & O'Hanlon, J. F., 1993, In : Accounting Education. 2, 2, p. 123-142 20 p.

    Research output: Contribution to journalJournal article

  12. Published

    An inflated multivariate integer count hurdle model: an application to bid and ask quote dynamics

    Bien, K., Nolte, I. & Pohlmeier, W., 06/2011, In : Journal of Applied Econometrics. 26, 4, p. 669-707 39 p.

    Research output: Contribution to journalJournal article

  13. Published

    Perturbation by multiplicative noise and the Simulation Extrapolation method

    Biewen, E., Nolte, S. & Rosemann, M., 12/2008, In : AStA Advances in Statistical Analysis. 92, 4, p. 375-389 15 p.

    Research output: Contribution to journalJournal article

  14. Published

    Managers’ private information, investor underreaction and long-run SEO performance

    Bilinski, P. & Strong, N., 11/2013, In : European Financial Management. 19, 5, p. 956-990 35 p.

    Research output: Contribution to journalJournal article

  15. Published

    Does liquidity risk explain low firm performance following seasoned equity offerings?

    Bilinski, P., Strong, N. & Liu, W., 2011, Lancaster: Lancaster University, 51 p.

    Research output: Working paper

  16. Published

    Target price accuracy: international evidence

    Bilinski, P., Lyssimachou, D. & Walker, M., 2012, Lancaster: Lancaster University, 58 p.

    Research output: Working paper

  17. Published
  18. Published

    Strategic distortions in analyst forecasts in the presence of short-term institutional investors

    Bilinski, P. T., Cumming, D., Hass, L. H., Stathopoulos, K. & Walker, M., 28/02/2019, In : Accounting and Business Research. 49, 3, p. 305-341 37 p.

    Research output: Contribution to journalJournal article

  19. Published

    Forecasting S&P 100 volatility: the incremental information content of implied volatilities and high-frequency index returns

    Blair, B. J., Poon, S. & Taylor, S. J., 2001, In : Journal of Econometrics. 105, 1, p. 5-26 22 p.

    Research output: Contribution to journalJournal article

  20. Published

    Modelling S&P 100 volatility: the information content of stock returns

    Blair, B. J., Poon, S. & Taylor, S. J., 2001, In : Journal of Banking and Finance. 25, 9, p. 1665-1679 15 p.

    Research output: Contribution to journalJournal article

  21. Published

    Forecasting S&P 100 volatility: the incremental information content of implied volatilities and high frequency index returns

    Blair, B. J., Poon, S. & Taylor, S. J., 2010, Handbook of Quantitative Finance and Risk Management. Lee, C-F., Lee, A. C. & Lee, J. (eds.). Berlin: Springer, p. 1333-1344 12 p.

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNChapter

  22. Published

    Compensation Committees and Executive Compensation: Evidence from Publicly Traded UK Firms

    Bonet, R. & Conyon, M., 2005, Corporate Governance: Accountability, Enterprise and International Comparisons. Keasey, K., Thompson, S. R. & Wright, M. (eds.). Chichester: Wiley, p. 137-154 18 p.

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNChapter

  23. Published

    Cross-border acquisitions and optimal government policy

    Bose, G., Dasgupta, S. & Ghosh, A., 09/2011, In : Economic Record. 87, 278, p. 427-437 11 p.

    Research output: Contribution to journalJournal article

  24. Published

    Leverage, CEO Risk–Taking Incentives, and Bank Failure during the 2007–2010 Financial Crisis

    Boyallian, P. & Ruiz-Verdu, P., 1/08/2018, In : Review of Finance. 22, 5, p. 1763-1805 43 p.

    Research output: Contribution to journalJournal article

  25. Published

    One Aviva, Twice the Value: Connecting Sustainability at Aviva plc

    Brigham, M., Kiosse, P. & Otley, D. T., 2009, ICAEW Accounting for Sustainability Conference (London) - 2009. N/A: unknown

    Research output: Contribution in Book/Report/Proceedings - With ISBN/ISSNConference contribution/Paper

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