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Accounting and Finance

  1. Published

    Auditor-client interactions in the changed UK regulatory environment: a revised grounded theory model

    Beattie, V., Fearnley, S. & Hines, T., 03/2015, In: International Journal of Auditing. 19, 1, p. 15-36 22 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  2. Published

    Private lenders’ demand for audit

    Baylis, R., Burnap, P., Clatworthy, M., Gad Mahmoud, M. & Pong, C., 08/2017, In: Journal of Accounting and Economics. 64, 1, p. 78-97 20 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  3. Published

    The effect of conference calls on analysts' forecasts: German evidence

    Bassemir, M., Novotny-Farkas, Z. & Pachta, J., 2013, In: European Accounting Review. 22, 1, p. 151-183 33 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  4. Published

    IFRS Adoption, Reporting Incentives, and Financial Reporting Quality in Private Firms

    Bassemir, M. & Novotny-Farkas, Z., 07/2018, In: Journal of Business Finance and Accounting. 45, 7-8, p. 759-796 38 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  5. Published

    Transaction Cost-Optimized Equity Factors Around the World

    Basic, F., Lohre, H., Martin Utrera, A., Nolte, I. & Nolte, S., 1/04/2024, In: Journal of Portfolio Management. 50, 6, p. 40-73

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  6. 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

  7. 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

  8. 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

  9. 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

  10. 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

  11. 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

  12. 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

  13. 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

  14. 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

  15. Published

    Treasury Management in Banks

    Bartram, S., 1999, Ohio: Shaker.

    Research output: Book/Report/ProceedingsBook

  16. 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

  17. 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

  18. 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

  19. Published
  20. 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

  21. 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

  22. Published

    Competition without fungibility: evidence from alternative market structures for derivatives

    Bartram, S. & Fehle, F. R., 2007, In: Journal of Banking and Finance. 31, 3, p. 659-677 19 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  23. Published

    The impact of the introduction of the Euro on foreign exchange rate risk exposures

    Bartram, S. & Karolyi, G. A., 2006, In: Journal of Empirical Finance. 13, 4, p. 519-549 31 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  24. Published

    The foreign exchange exposure puzzle

    Bartram, S. & Bodnar, G. M., 2007, In: Managerial Finance. 33, 9, p. 642-666 25 p.

    Research output: Contribution to Journal/MagazineJournal articlepeer-review

  25. Published

    Corporate transparency and risk management disclosure of European issuers in the United States

    Bartram, S., Stadtmann, G. & Wissmann, M. F., 2006, Corporate and Institutional Transparency for Economic Growth in Europe. London, New York and Amsterdam: Elsevier, p. 311-341 31 p.

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

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