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Accounting and Finance

  1. Published

    Audit market structure, fees and choice in a period of structural change: evidence from the UK – 1998–2003

    Abidin, S., Beattie, V. & Goodacre, A., 09/2010, In: British Accounting Review. 42, 3, p. 187-206 20 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  2. Published

    What to do if a Dollar is not a Dollar? The impact of inflation risk on production and risk management

    Adam-Müller, A. F. A., 2002, In: Journal of Futures Markets. 22, 4, p. 371-386 16 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  3. Published

    Hedging price risk when real wealth matters

    Adam-Müller, A. F. A., 2000, In: Journal of International Money and Finance. 19, 4, p. 549-560 12 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  4. Published

    Exports and hedging exchange rate risk: the multi-country case

    Adam-Müller, A. F. A., 2000, In: Journal of Futures Markets. 20, 9, p. 843-864 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  5. Published

    Merkmale und Einsatz von exotischen Optionen

    Adam-Müller, A. F. A., 1997, In: Zeitschrift für betriebswirtschaftliche Forschung. 38, p. 559-564 6 p.

    Research output: Contribution to Journal/MagazineJournal article

  6. Published

    Internationale Unternehmensaktivität, Wechselkursrisiko und Hedging mit Finanzinstrumenten

    Adam-Müller, A. F. A., 1995, Heidelberg: Physica. 191 p.

    Research output: Book/Report/ProceedingsBook

  7. Published

    Optimal currency hedging, export, and production in the presence of idiosyncratic risk

    Adam-Müller, A. F. A., 1993, In: Swiss Journal of Economics and Statistics. 192, 2, p. 197-208 12 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  8. Published

    Export and hedging decisions under revenue and exchange rate risk: a note

    Adam-Müller, A. F. A., 1997, In: European Economic Review. 41, 7, p. 1421-1426 6 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  9. Published

    Wann gehen Aktienoptionspläne ins Leere?

    Adam-Müller, A. F. A., 2003, In: ZEWnews. Jun, p. 4-5 2 p.

    Research output: Contribution to Journal/MagazineJournal article

  10. Published

    The impact of delivery risk on optimal production and futures hedging

    Adam-Müller, A. F. A. & Wong, K. P., 2003, In: Review of Finance. 7, 3, p. 459-477 19 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  11. Published

    On the portfolio problem with two risky and a riskless asset

    Adam-Müller, A. F. A., 2005, In: Finance Research Letters. 3, 4

    Research output: Contribution to Journal/MagazineJournal article

  12. Published

    Zur Verbesserung der marktwertbezogenen Vergütung in diversifizierten Unternehmen

    Adam-Müller, A. F. A., 2003, In: ZEWnews. Dec, p. 2-4 3 p.

    Research output: Contribution to Journal/MagazineJournal article

  13. Published

    Managerentlohnung mit Aktienoptionen

    Adam-Müller, A. F. A., 2001, Handbuch Corporate Finance: Konzepte, Strategien und Praxiswissen für das moderne Finanzmanagement. 2nd ed. Köln: Deutscher Wirtschaftdienst, p. 1-56 56 p.

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

  14. Published

    Stock Option Plans für das Top-Management

    Adam-Müller, A. F. A., 2001, Corporate Governance, Shareholder Value and Finance. Milestones in Management. Stuttgart: Helbing und Lichtenhahn, Vol. IX. p. 331-362 32 p.

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

  15. Published

    Diskussion von "Warum optimale Entlohnungsveträge keine Aktienoptionen enthalten" von Ingolf Dittmann und Ernst Maug

    Adam-Müller, A. F. A., 2005, Funktionsfähigkeit und Stabilität von Finanzmärkten. Tübingen: Mohr Siebeck, p. 21-25 5 p.

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

  16. Published

    Risk management with options and futures under liquidity risk

    Adam-Müller, A. F. A. & Panaretou, A., 04/2009, In: Journal of Futures Markets. 29, 4, p. 297-318 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  17. Published

    Cross hedging under multiplicative basis risk

    Adam-Müller, A. & Nolte, I., 11/2011, In: Journal of Banking and Finance. 35, 11, p. 2956-2964 9 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  18. Published

    Experimental Observation of Proton Bunch Modulation in a Plasma at Varying Plasma Densities

    Adli, E., Ahuja, A., Apsimon, O., Apsimon, R., Bachmann, A-M., Barrientos, D., Barros, M. M., Batkiewicz, J., Batsch, F., Bauche, J., Berglyd Olsen, V. K., Bernardini, M., Biskup, B., Boccardi, A., Bogey, T., Bohl, T., Bracco, C., Braunmüller, F., Burger, S., Burt, G., & 92 othersBustamante, S., Buttenschön, B., Caldwell, A., Cascella, M., Chappell, J., Chevallay, E., Chung, M., Cooke, D., Damerau, H., Deacon, L., Deubner, L. H., Dexter, A., Doebert, S., Farmer, J., Fedosseev, V. N., Fior, G., Fiorito, R., Fonseca, R. A., Friebel, F., Garolfi, L., Gessner, S., Gorgisyan, I., Gorn, A. A., Granados, E., Grulke, O., Gschwendtner, E., Guerrero, A., Hansen, J., Helm, A., Henderson, J. R., Hessler, C., Hofle, W., Hüther, M., Ibison, M., Jensen, L., Jolly, S., Keeble, F., Kim, S-Y., Kraus, F., Lefevre, T., Legodec, G., Li, Y., Liu, S., Lopes, N., Lotov, K. V., Maricalva Brun, L., Martyanov, M., Mazzoni, S., Medina Godoy, D., Minakov, V. A., Mitchell, J., Molendijk, J. C., Mompo, R., Moody, J. T., Moreira, M., Muggli, P., Mutin, C., Öz, E., Ozturk, E., Pasquino, C., Pardons, A., Peña Asmus, F., Pepitone, K., Perera, A., Petrenko, A., Pitman, S., Plyushchev, G., Pukhov, A., Rey, S., Rieger, K., Ruhl, H., Schmidt, J. S., Shalimova, I. A., Shaposhnikova, E., Sherwood, P., Silva, L. O., Soby, L., Sosedkin, A. P., Speroni, R., Spitsyn, R. I., Tuev, P. V., Turner, M., Velotti, F., Verra, L., Verzilov, V. A., Vieira, J., Vincke, H., Welsch, C. P., Williamson, B., Wing, M., Woolley, B. & Xia, G., 8/02/2019, In: Physical review letters. 122, 5, 6 p., 054802.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  19. Published

    Seeking “conversations for accountability”: Mediating the impact of non-governmental organization (NGO) upward accountability processes

    Agyemang, G., O’Dwyer, B., Unerman, J. & Awumbila, M., 19/06/2017, In: Accounting, Auditing and Accountability Journal. 30, 5, p. 982-1007 26 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  20. Published

    Confronting a coercion logic with nongovernmental organization upward accountability processes

    Agyemang, G., O’Dwyer, B., Unerman, J. & Awumbila, M., 2015, Egham: Royal Holloway.

    Research output: Working paper

  21. Published

    NGO accountability: Its impact on aid delivery

    Agyemang, G., Awumbila, M., Unerman, J. & O'Dwyer, B., 2009, ACCA.

    Research output: Book/Report/ProceedingsBook

  22. Published

    Personal skills development and first year undergraduate accounting education: A teaching note

    Agyemang, G. & Unerman, J., 1998, In: Accounting Education. 7, 1, p. 87-92 6 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  23. Published

    NGO accountability: retrospective and prospective academic contributions

    Agyemang, G., O'Dwyer, B. & Unerman, J., 2/12/2019, In: Accounting, Auditing and Accountability Journal. 32, 8, p. 2353-2366 14 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  24. Published

    NGOs in Ghana: accountabilities, performance and motivations

    Agyemang, G., O’Dwyer, B., Owusu, C. A. & Unerman, J., 30/07/2019, Routledge Companion to Accounting in Emerging Economies. Weetman, P. & Tsalavoutas, I. (eds.). Abingdon: Routledge

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

  25. Published

    The road not taken: A comparison of Accounting and Auditing Enforcement Releases and securities class actions: A comparison of Accounting and Auditing Enforcement Releases and securities class actions

    Ahn, J. H., 31/10/2022, In: Journal of Business Finance and Accounting. 49, 9-10, p. 1489-1529 41 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  26. Published

    Decomposition of Managerial Shareholding: Role of Monetary Incentives and Control Rights in Financial Misreporting

    Ahn, J. H., 31/10/2021, In: Korean Accounting Review. 46, 5, p. 165-197 33 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  27. Published

    Synchronisation and commonalities in metropolitan housing market cycles

    Akimov, A., Stevenson, S. & Young, J., 07/2015, In: Urban Studies. 52, 9, p. 1665-1682 18 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  28. Published

    Public real estate and the term structure of interest rates: a cross-country study

    Akimov, A., Stevenson, S. & Zagonov, M., 11/2015, In: Journal of Real Estate Finance and Economics. 51, 4, p. 503-540 38 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  29. Published

    The interaction of volatility, volume and skewness: empirical evidence from REITs

    Akimov, A., Hutson, E. & Stevenson, S., 1/06/2016, In: Journal of Real Estate Portfolio Management. 22, 1, p. 1-17 17 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  30. Published

    Interest Rate Sensitivity in European Public Real Estate Markets

    Akimov, A., Lee, C. L. & Stevenson, S., 1/09/2020, In: Journal of Real Estate Portfolio Management. 25, 2, p. 138-150 13 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  31. Published

    On measuring concentration in banking systems

    Alegria, C. & Schaeck, K., 1/03/2008, In: Finance Research Letters. 5, 1, p. 59-67 8 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  32. Published

    Research and development activity and expected returns in the United Kingdom

    Al-Horani, A., Pope, P. F. & Stark, A. W., 2003, In: Review of Finance. 7, 1, p. 27-46 20 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  33. Published

    The use of the R2 as a measure of firm-specific information: A cross-country critique

    Alves, P., Peasnell, K. & Taylor, P., 01/2010, In: Journal of Business Finance and Accounting. 37, 1, p. 1-26 26 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  34. Published

    Cross-border information transfers: evidence from profit warnings issued by European firms

    Alves, P., Pope, P. F. & Young, S. E., 2009, In: Accounting and Business Research. 39, 5, p. 449-472 24 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  35. Published

    Corporate Governance and Transparency in Japan

    Aman, H., Beekes, W. A. & Brown, P., 2011, Lancaster University: The Department of Accounting and Finance, (Accounting and Finance Working Paper Series).

    Research output: Working paper

  36. Unpublished

    Corporate governance and transparency in Japan

    Aman, H., Beekes, W. A. & Brown, P. R., 7/12/2016, (Unpublished) 48 p.

    Research output: Working paper

  37. Published

    The role of credibility in the relation between management forecasts and analyst forecasts in Japan

    Aman, H., Beekes, W., Chang, M. & Wee, M., 1/06/2019, In: Pacific-Basin Finance Journal. 55, p. 29-45 17 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  38. Published

    Responsible science: Celebrating the 50-year legacy of Ball and Brown (1968) using a registration-based framework

    Aman, H., Beekes, W., Berkman, H., Bohmann, M., Bradbury, M., Chapple, E., Chang, M., Clout, V., Faff, R., Han, J., Hillier, D., Hodgson, A., Howieson, B., Jona, J., Linnenluecke, M., Loncan, T., McCredie, B., Michayluk, D., Mroczkowski, N., PAN, ZHEYAO., & 8 othersPatel, V., Podolski, E., Soderstrom, N., Smith, T., Tanewski, G., Walsh, K., Wee, M. & Wright, S., 1/09/2019, In: Pacific-Basin Finance Journal. 56, p. 129-150 21 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  39. Published

    Corporate governance and transparency in Japan

    Aman, H., Beekes, W. & Brown, P., 13/01/2021, In: The International Journal of Accounting. 56, 1, 2150003.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  40. Published

    Diversifying Macroeconomic Factors — For Better or for Worse

    Amato, L. & Lohre, H., 8/01/2021, 54 p.

    Research output: Working paper

  41. Published

    A descriptive study of high-frequency trade and quote option data

    Andersen, T., Archakov, I., Grund, L., Hautsch, N., Li, Y., Nasekin, S., Nolte, I., Pham, M., Taylor, S. & Todorov, V., 31/01/2021, In: Journal of Financial Econometrics. 19, 1, p. 128-177 50 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  42. Published

    Differences in options investors’ expectations and the cross-section of stock returns

    Andreou, P., Kagkadis, A., Philip, D. & Tuneshev, R., 09/2018, In: Journal of Banking and Finance. 94, p. 315-336 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  43. Published

    The information content of forward moments

    Andreou, P. C., Kagkadis, A., Philip, D. & Taamouti, A., 1/09/2019, In: Journal of Banking and Finance. 106, p. 527-541 15 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  44. Published

    Dispersion in options investors' versus analysts' expectations: Predictive inference for stock returns

    Andreou, P. C., Kagkadis, A., Maio, P. & Philip, D., 1/04/2021, In: Critical Finance Review. 10, 1, p. 65-81 17 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  45. Published

    Extending quadrature methods to value multi-asset and complex path-dependent options

    Andricopoulos, A. D., Widdicks, M., Newton, D. P. & Duck, P. W., 2007, In: Journal of Financial Economics. 83, 2, p. 471-499 29 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  46. Published

    Universal option pricing using quadrature

    Andricopoulos, A. D., Widdicks, M., Duck, P. W. & Newton, D. P., 2003, In: Journal of Financial Economics. 67, 3, p. 447-471 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  47. Published

    Curtailing the range for lattice and grid methods

    Andricopoulos, A. D., Widdicks, M., Duck, P. W. & Newton, D. P., 2004, In: Journal of Derivatives. 11, 4, p. 55-61 7 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  48. Published

    The realized volatility of FTSE-100 futures prices

    Areal, N. M. P. C. & Taylor, S. J., 2002, In: Journal of Futures Markets. 22, 7, p. 627-648 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  49. Published

    Macroeconomic risks and characteristic-based factor models.

    Aretz, K., Bartram, S. & Pope, P., 2010, In: Journal of Banking and Finance. 34, 6, p. 1383-1399 17 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  50. 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

  51. 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

  52. 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

  53. 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

  54. 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

  55. 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

  56. 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

  57. 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

  58. 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

  59. 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

  60. 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

  61. 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

  62. 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

  63. 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

  64. 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

  65. 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

  66. 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

  67. 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

  68. 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

  69. 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

  70. 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

  71. 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

  72. 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

  73. 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

  74. 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

  75. 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

  76. 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

  77. Unpublished

    Environmental risk and buyer-supplier relationships

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

    Research output: Working paper

  78. 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

  79. 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

  80. 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

  81. 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

  82. 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

  83. 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

  84. 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

  85. 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

  86. 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

  87. 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

  88. 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

  89. 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

  90. 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

  91. 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

  92. 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

  93. 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

  94. Published

    Treasury Management in Banks

    Bartram, S., 1999, Ohio: Shaker.

    Research output: Book/Report/ProceedingsBook

  95. 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

  96. 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

  97. 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

  98. Published
  99. Published

    Another look at the relationship between cross-market correlation and volatility

    Bartram, S. & Wang, H., 2005, In: Finance Research Letters. 2, 2, p. 75-88 14 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  100. Published

    The use of options in corporate risk management

    Bartram, S., 2006, In: Managerial Finance. 32, 2, p. 160-181 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

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