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Results 441-450 of 1151 (Search time: 0.024 seconds).
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Issue DateTitleAuthor(s)
7-Mar-2023Price Convergence between Credit Default Swap and Put Option: New EvidenceChan, KK; Kolokolova, O; Lin, M-T; Poon, S-H
5-Jun-2013Testing for financial crashes using the Log Periodic Power Law modelBrée, DS; Joseph, NL
5-Jul-2023Nominal and real wages in the UK, 1750–2015: mean reversion, persistence and structural breaksCaporale, GM; Gil-Alana, LA
11-Jul-2023Modelling monetary policy’s impact on labour markets under Covid-19Evgenidis, A; Fasianos, A
22-Nov-2022IV Estimation of Spatial Dynamic Panels with Interactive Effects: Large Sample Theory and an Application on Bank Attitude Toward RiskCui, G; Sarafidis, V; Yamagata, T
2-Sep-2021Interpreting banks’ sustainability initiatives as reputational risk management and mechanisms for coping, re-embedding and rebuilding societal trustSaeudy, M; Atkins, J; Barone, EAV
13-Jun-2022Conservation through conversation? Therapeutic engagement on biodiversity and extinction between NGOs and companiesAtkins, JF; Atkins, B; Maroun, W; Barone, E; Gozman, D
25-Oct-2021Sustainability reporting in banking and financial services sector: a regional analysisMohamed Buallay, A; Al Marri, M; Nasrallah, N; Hamdan, A; Barone, E; Zureigat, Q
13-Sep-2020Increasing Female Participation on Boards: Effects on Sustainability ReportingBuallay, A; Hamdan, R; Barone, E; Hamdan, A
7-Jun-2021Guest editorial: Exploring the evolution of qualitative research in financial markets and corporate governance: Identifying potential paths for future researchAtkins, J; Khalid, S; Barone, EAV