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Accounting and Finance

  1. Published

    Asymmetric loss functions and the rationality of expected stock returns.

    Aretz, K., Bartram, S. & Pope, P., 04/2011, In: International Journal of Forecasting. 27, 2, p. 413-437 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  2. Published

    Spreads vs professional forecasters as predictors of future output change

    Aretz, K. & Peel, D., 2010, In: Journal of Forecasting. 29, 6, p. 517-522 6 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  3. Published

    Do German security analysts herd?

    Aretz, K., Naujoks, M., Kerl, A. & Walter, A., 03/2009, In: Financial Markets and Portfolio Management. 23, 1, p. 3-29 27 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  4. Published

    Some implications of a quartic loss function

    Aretz, K. & Peel, D., 20/08/2007, In: Economics Bulletin. 7, 13, p. 1-7 7 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  5. Published

    Why hedge? Rationales for corporate hedging and value implications

    Aretz, K., Bartram, S. & Dufey, G., 2007, Lancaster University: The Department of Accounting and Finance, (Accounting and Finance Working Paper Series).

    Research output: Working paper

  6. Published

    Why hedge? Rationales for corporate hedging and value implications

    Aretz, K., Bartram, S. & Dufey, G., 2007, In: The Journal of Risk Finance. 8, 5, p. 434-449 16 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  7. Published

    Corporate hedging and shareholder value

    Aretz, K. & Bartram, S., 12/2010, In: Journal of Financial Research. 33, 4, p. 317-371 55 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  8. Published

    Common factors in default risk across countries and industries

    Aretz, K. & Pope, P. F., 01/2013, In: European Financial Management. 19, 1, p. 108-152 45 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  9. Published

    Omitted debt risk, financial distress and the cross-section of expected equity returns

    Aretz, K. & Shackleton, M. B., 2011, In: Journal of Banking and Finance. 35, 5, p. 1213-1227 15 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  10. Published

    An example of an optimal forecast exhibiting decreasing bias with increasing forecast horizon

    Aretz, K. & Peel, D., 10/2013, In: Bulletin of Economic Research. 65, 4, p. 362-371 10 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  11. Published

    In the Path of the Storm: Does Distress Risk Cause Industrial Firms to Risk-Shift?

    Aretz, K., Banerjee, S. & Pryshchepa, O., 31/10/2019, In: Review of Finance. 23, 6, p. 1115-1154 40 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  12. E-pub ahead of print

    Construction, Real Uncertainty, and Stock-Level Investment Anomalies

    Aretz, K. & Kagkadis, A., 11/12/2023, (E-pub ahead of print) In: Journal of Financial and Quantitative Analysis.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  13. Published

    Backtesting VaR and ES under the magnifying glass

    Argyropoulos, C. & Panopoulou, E., 1/07/2019, In: International Review of Financial Analysis. 64, p. 22-37 16 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  14. Published

    Measuring the market risk of freight rates: A forecast combination approach

    Argyropoulos, C. & Panopoulou, E., 1/03/2018, In: Journal of Forecasting. 37, 2, p. 201-224 24 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  15. Published

    Volatility Risk and the Value Premium: Evidence from the French Stock Market

    Arisoy, Y. E., 2010, In: Journal of Banking and Finance. 34, p. 975-983 9 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  16. Published

    Volatility Risk Priced in the Securities Market? Evidence from S&P 500 Index Options

    Arisoy, Y. E., Salih, A. & Akdeniz, L., 2007, In: Journal of Futures Markets. 27, p. 617-642 26 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  17. Published

    Residual income valuation models and inflation

    Ashton, D. J., Peasnell, K. V. & Wang, P., 09/2011, In: European Accounting Review. 20, 3, p. 459-483 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  18. Published

    British research in accounting and finance (2001–2007): The 2008 research assessment exercise

    Ashton, D., Beattie, V., Broadbent, J., Brooks, C., Draper, P., Ezzamel, M., Gwilliam, D., Hodgkinson, R., Hoskin, K., Pope, P. & Stark, A., 1/12/2009, In: British Accounting Review. 41, 4, p. 199-207 9 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  19. Published

    Annual Report Commentary on the Value Creation Process

    Athanasakou, V., El-Haj, M., Rayson, P., Walker, M. & Young, S., 2020, p. 1-63, 63 p.

    Research output: Working paper

  20. E-pub ahead of print

    Generalized Disappointment Aversion and the Variance Term Structure

    Babiak, M., 27/03/2023, (E-pub ahead of print) In: Journal of Financial and Quantitative Analysis. p. 1-25 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  21. Published

    Strategic R and D success announcements

    Bag, P. K. & Dasgupta, S., 01/1995, In: Economics Letters. 47, 1, p. 17-26 10 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  22. Published

    Changes in operational efficiency and firm performance: a frontier analysis approach

    Baik, B., Chae, J., Choi, S. & Farber, D., 09/2013, In: Contemporary Accounting Research. 30, 3, p. 996-1026 31 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  23. Published

    Managerial Ability and Income Smoothing

    Baik, B., Choi, S. & Farber, D. B., 1/07/2020, In: The Accounting Review. 95, 4, p. 1-22 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  24. Published

    The relationship between ownership, financing decisions and firm performance: a signaling model

    Bajaj, M., Chan, Y-S. & Dasgupta, S., 08/1998, In: International Economic Review. 39, 3, p. 723-744 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  25. Published

    Buyer-supplier relationships and the stakeholder theory of capital structure

    Banerjee, S., Dasgupta, S. & Kim, Y., 10/2008, In: Journal of Finance. 63, 5, p. 2507-2552 46 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  26. Published

    Joint Venture instability in developing countries under entry

    Banerjee, S. & Mukherjee, A., 2010, In: International Review of Economics and Finance. 19, p. 603-614 12 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  27. Published

    IPO waves and hot markets in the UK

    Banerjee, S., Gucbilmez, U. & Pawlina, G., 30/12/2013, Handbook of research on IPOs. Levis, M. & Vismara, S. (eds.). Cheltenham: Edward Elgar

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

  28. Published

    Optimal exercise of jointly held real options: a Nash bargaining approach with value diversion

    Banerjee, S., Gucbilmez, U. & Pawlina, G., 1/12/2014, In: European Journal of Operational Research. 239, 2, p. 565–578 14 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  29. Unpublished

    Environmental risk and buyer-supplier relationships

    Banerjee, S., Chang, S., Fu, K. & Wong, G., 2014, (Unpublished).

    Research output: Working paper

  30. Published

    Knowledge spillover and information sharing: the case of uncertain R&D

    Banerjee, S. & Mukherjee, A., 2007, In: The Indian Economic Journal. 55, 1, p. 157-163 7 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  31. Published

    Leaders and followers in hot IPO markets

    Banerjee, S., Gucbilmez, U. & Pawlina, G., 04/2016, In: Journal of Corporate Finance. 37, p. 309-334 26 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  32. Published

    Why don't all firms do 'good' equally?

    Banerjee, S., Homroy, S. & Slechten, A. C. D., 05/2016, Lancaster: Lancaster University, Department of Economics, (Economics working paper series).

    Research output: Working paper

  33. Published

    Managerial incentives and strategic choices of firms with different ownership structures

    Banerjee, S. & Homroy, S., 02/2018, In: Journal of Corporate Finance. 48, p. 314-330 17 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  34. Published

    Stakeholder Preference and Strategic Corporate Social Responsibility

    Banerjee, S., Homroy, S. & Slechten, A., 31/12/2022, In: Journal of Corporate Finance. 77, 27 p., 102286.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  35. Published

    Bank governance, regulation, supervision, and risk reporting: evidence from operational risk disclosures in European banks

    Barakat, A. & Hussainey, K., 12/2013, In: International Review of Financial Analysis. 30, p. 254-273 20 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  36. Published

    TIPS and inflation expectations

    Bardong, F. & Lehnert, T., 2008, In: Applied Economics Letters. 15, p. 513-517 5 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  37. Published

    Linear and nonlinear foreign exchange rate exposures

    Bartram, S., 2002, Lancaster University: The Department of Accounting and Finance, (Accounting and Finance Working Paper Series).

    Research output: Working paper

  38. Published

    The interest rate exposure of nonfinancial corporations

    Bartram, S., 2002, In: Review of Finance. 6, 1, p. 101-125 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  39. Published

    International portfolio investment: theory, evidence, and institutional framework

    Bartram, S. & Dufey, G., 2001, In: Financial Markets, Institutions and Instruments. 10, 3, p. 85-155 71 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  40. Published

    Corporate risk management as a lever for shareholder value creation

    Bartram, S., 2000, In: Financial Markets, Institutions and Instruments. 9, 5, p. 279-324 46 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  41. Published

    Techniques to estimate financial exposures of nonfinancial corporations

    Bartram, S., 2000, Handbook of Risk Management. Bad Soden: Uhlenbruch, p. 1267-1294 28 p.

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

  42. Published

    The management of financial risks by nonfinancial corporations

    Bartram, S., 2000, In: Die Unternehmung. 54, 2, p. 107-121 15 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  43. Published

    Financial risk, exposure and risk management of nonfinancial corporations

    Bartram, S., 2000, In: Wirtschaftswissenschaftliches Studium. 29, 5, p. 242-249 8 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  44. Published

    Corporate risk management practices of nonfinancial corporations

    Bartram, S., 1999, In: Finanz Betrieb. 1, 6, p. 71-77 7 p.

    Research output: Contribution to Journal/MagazineJournal article

  45. Published

    The impact of offshore financial centers on international financial markets

    Bartram, S. & Dufey, G., 1997, In: Thunderbird International Business Review. 39, 5, p. 535-579 45 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  46. Published

    Treasury Management in Banks

    Bartram, S., 1999, Ohio: Shaker.

    Research output: Book/Report/ProceedingsBook

  47. Published

    Linear and nonlinear foreign exchange rate exposures of German nonfinancial corporations

    Bartram, S., 2004, In: Journal of International Money and Finance. 23, 4, p. 673-699 27 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  48. Published

    Enhancing shareholder value with corporate risk management

    Bartram, S., 2002, In: Corporate Finance Review. 7, 3, p. 8-13 6 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  49. Published

    The impact of commodity price risk on firm value - an empirical analysis of corporate commodity price exposures

    Bartram, S., 2005, In: Multinational Finance Journal. 9, 3/4, p. 159-185 27 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  50. Published
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