Collection's Items (Sorted by Submit Date in Descending order): 31 to 80 of 117
Issue Date | Title | Author(s) |
2017 | Investigating three aspects of corporate finance within the context of GCC markets | Al Wahaibi, Mahmood Ali Khalfan |
2016 | Credit default and the real estate market | Khaled, Fawaz |
2016 | Modelling inflation, output growth and their uncertainties | Alliwa, Maher |
2017 | Liquidity measurements and the return-liquidity relationship: empirical evidence from Germany, the UK, the US and China | Bo, Yibo |
2016 | Research on futures-commodities, macroeconomic volatility and financial development | Koutroumpis, Panagiotis |
2015 | Aggregate insider trading activity in the UK stock and option markets | Wuttidma, Clarisse Pangyat |
2016 | Effects of oil prices, food prices and macroeconomic news on Gcc stock markets | Al-Maadid, Alanoud |
2016 | How do listing requirements impact firms: The case of AIM | Mortazian, Mona |
2016 | Essays on modelling the volatility dynamics and linkages of emerging and frontier stock markets | Al Mughairi, Habiba |
2016 | Essays in international finance and banking | Nahhas, Abdulkader |
2016 | What determines oil production? A case study of Nigeria and the United Kingdom | Alalade, Oluwadunsin |
2016 | Essays on failure risk of firms using multivariate frailty models | Atsu, Francis |
2016 | Essays on monetary policy with Islamic banks | Helmi, Mohamad Husam |
2016 | Examining the relationship between trading volume, market return volatility and U.S. aggregate mutual fund flow | Omran, Hayan |
2016 | Essays on tourism and its determinants | Ghalia, Thaana |
2012 | An international study of bank performance: from the perspective of sustainability and externality | Mirzaei, Ali |
2016 | The significance of mapping data sets when considering commodity time series and their use in algorithmically-traded portfolios | Margaronis, Zannis N. P. |
2016 | Corporate credit risk and economic performance | Aliakbari, Saeideh |
2016 | Essays in Ricardian trade theory | Sbracia, Massimo |
2012 | The impact of legal responsibility of external auditors on auditing quality and investment level | Matar, Soud |
2015 | Essays on financial development and economic growth | Samargandi, Nahla |
2015 | Essays on oil: project evaluation and investment impact | Bagh, Dima |
2015 | How does the life insurance business perform and behave: the case of the UK industry | Almezweq, Muhammad |
2015 | Banking instability: causes and remedies | Tajik, Mohammad |
2015 | Do more mergers and acquisitions create value for the firm? | Li, Shaomeng |
2014 | Non oil exports finance and economic development in Saudi Arabia | Alsakran, Abdullah |
2014 | Non-linear time series models with applications to financial data | Yfanti, Stavroula |
2013 | Structural analysis of energy market failure: Empirical evidence from US | Hosseini Tabaghdehi, Seyedeh Asieh |
2011 | The growth impact of political regimes and instability: impirical evidences from Western Europe | Dimitraki, Ourania |
2014 | Financial development, political instability and growth: evidence for Brazil since 1870 | Zhang, Jihui |
2014 | Essays in exchange rates and international finance | Menla Ali, Faek |
2012 | Three essays on financing education: exploring the role of the government and the private sector | Twum-Boateng, Dickson |
2014 | Accounting quality across different groups of firms under differential reporting framework: UK evidence | Liu, Siming |
2010 | Growth, financial development, market liquidity and risk | Tan, Bin |
2014 | An empirical analysis of patterns in, and the informativeness of, director trading in the UK | Nassar, Basel |
2010 | Financial development and economic growth in Africa: an examination of causation and efficiency | Oluitan, Roseline |
2013 | The key challenge of corporate governance of firms: Empirical evidence from Sub-Saharan African anglophone (SSAA) countries | Afolabi, Adeoye Amuda |
2013 | Macroeconomic effects of fiscal policy | Yang, Weonho |
1999 | Electricity pricing and regulation | Lowrey, Craig |
2013 | The cointegrating relationship in Asian markets with applications to stock prices, exchange rates and interest rates | Tanonklin, Tippawan |
2012 | The effectiveness of central bank interventions in the foreign exchange market | Seerattan, Dave Arnold |
2013 | Corporate cash-holding decisions: Amman stock exchange | Al Zoubi, Tariq |
2013 | Financial constraints, capital structure and dividend policy: Evidence from Jordan | Abuhommous, Ala’a Adden Awni |
2012 | Examination of energy sector: The implications and effects of financing for innovations, corporate governance for company value, and resource abundance and corruption for investment attractiveness | Kuznecovs, Mihails |
2012 | Essays on political economy of economic growth, institutions and the business environment in the industrial sector | Saleh, Ahmad |
2010 | Investigation into intrinsic motivation and reputational concerns in the public sector | Tabvuma, Vurain |
2012 | Effect of regulation, Islamic law and noise traders on the Saudi stock market | Ibnrubbian, Abdullah |
2011 | Implementation of taylor type rules in nascent money and capital markets under managed exchange rates | Birchwood, Anthony |
2000 | On asset pricing and the equity premium puzzle | Bart-Williams, Claudius |
1993 | The decline of the British film industry: An analysis of market structure, the firm and product competition | Romer, Stephen |
Collection's Items (Sorted by Submit Date in Descending order): 31 to 80 of 117