Collection's Items (Sorted by Submit Date in Descending order): 51 to 62 of 62
| Issue Date | Title | Author(s) |
| 5-Dec-2019 | Hedge fund strategies: A non-parametric analysis | Canepa, A; de la O. González, M; Skinner, FS |
| 3-Sep-2019 | Discretionary tone, annual earnings and market returns: Evidence from UK Interim Management Statements | Rahman, S |
| 2019 | The impact of business and political news on the GCC stock markets | Al-Maadid, A; Caporale, G; Spagnolo, F; Spagnolo, N |
| 5-Jul-2019 | Can money buy EU love? | Fidrmuc, J; Hulényi, M; Tunalı, ÇB |
| 13-Jun-2019 | A New Approach to Optimal Capital Allocation for RORAC Maximization in Banks | Kang, W-Y; Poshakwale, S |
| 2019 | Long-run price behaviour in the gasoline market - The role of exogeneity | Tabaghdehi, SAH; Hunter, J |
| 27-Jul-2020 | The production of stand-alone sustainability reports: Visual impression management, legitimacy and ‘functional stupidity’ | Usmani, M; Davison, J; Napier, CJ |
| 30-Sep-2018 | Disentangling the impact of securitization on bank profitability | Bakoush, M; Abouarab, R; Wolfe, S |
| 2018 | Long-term price overreactions: are markets inefficient? | Caporale, GM; Gil-Alana, L; Plastun, A |
| 2018 | Islamic banking, credit and economic growth: some empirical evidence | Caporale, GM; Helmi, MH |
| 2018 | Exchange rates and macro news in emerging markets | Caporale, GM; Spagnolo, F; Spagnolo, N |
| 2017 | Prudential Supervision and the European Central Bank Credit Data Registry (AnaCredit): Legal Basis and Democratic Accountability | - |
Collection's Items (Sorted by Submit Date in Descending order): 51 to 62 of 62