Collection's Items (Sorted by Submit Date in Descending order): 1 to 50 of 120
Issue Date | Title | Author(s) |
2024 | Factor based pension portfolio strategies for sustainable withdrawals | Dada, Oluwaseun Ayokunle |
2024 | Addressing the power of news in financial markets: Analysing stock returns with GARCH models | Ding, Jiahui |
2024 | Essays in migration and regional trends in Germany | Popova, Maria |
2022 | A study of why corporations acquire and merge: External and internal determinants of investment behaviour | Ocquaye, Nii Nortey Solomon |
2023 | Corrected GARCH-DCC-MIDAS models in economics and finance | Wu, Jiaying |
2022 | The interconnectedness between financial futures markets, commodities, and the macroeconomy: Empirical evidence from a time-varying approach | Almajali, Awon |
2022 | Three chapters on foreign direct investment in OECD countries | Gokceli, Emre |
2022 | Bank earnings and capital management and early warning systems: evidence from OCED countries | Lai, Yuli |
2021 | Banking crises, competition, and financial stability: evidence from the Middle East and North Africa (MENA) | Awadallah, Diyama Khaled |
2021 | Studies of institutional development, international financial flows and emerging markets | Maunthrooa, Janeeta |
2021 | Three essays on Earnings Management Evidence from UK | Azam, Muhammad |
2020 | Essays on Macroeconomic Dynamics: Trade, Integration and E(M)U Business Cycles. | Paramaguru, Kanya Gowthami |
2020 | Non-linear Panels in Economics and Finance | Al Hesso, Souhaila |
2020 | Three papers on UK households' consumption | Zara, Canbary |
2020 | FDI, Chinese foreign relationship and labour market – empirical evidence from China | Wang, Hao |
2019 | The evolution and effectiveness of macroprudential policy | Dennison Adrian, Noel |
2019 | The interrelationship between dividend payout, corporate governance and ownership structure: the case of GCC | Shira, Ruba Khalid A |
2018 | The impact of IFRS adoption on the earnings quality: A comparative study | Büyükkurt, Ömer Faruk |
2018 | Essays in exchange rates and international finance | Mirkin, Lorice |
2017 | Sovereign risk in the Eurozone debt crisis | Tzima, Spyridoula |
2018 | Arbitrage across the financial markets of the Gulf States and the prospects of currency union | Al Teneiji, Asma |
2018 | Determinants and impacts of directors' remuneration disclosure: evidence from Malaysian FTSE30 companies | Khalid, Akhma Adlin |
2018 | Essays on modelling house prices | Wang, Yuefeng |
2017 | Stock market activities, economic growth and firm growth: evidence from China | Ni, Aimin |
2017 | Modelling house price cycles in large metropolitan areas | Alqaralleh, Huthaifa Sameeh |
2016 | The impact of international financial reporting standards on earnings quality: EU evidence | Mohamad, Housam |
2017 | Firm’s value, financing constraints and dividend policy in relation to firm’s political connections | Alsaraireh, Ahmad |
2017 | Essays on equity valuation and accounting conservatism for insurance companies | Haboub, Ahmad |
2017 | Five essays in applied economic theory and times series econometrics with applications to accounting and economics | Dafnos, Stavros |
2017 | Cooperation and discrimination in academic publishing | Paphawasit, Boontarika |
2017 | Essays on efficiency, stability, governance, and regulations in financial institutions | Shaddady, Ali |
2017 | Essays in behavioural finance and investment | Ahmed, Mohamed Ahmed Shaker |
2016 | Determinants of bank net interest margin: does monetary union membership matter? | Yeboah, Eric Adjei |
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. |
Collection's Items (Sorted by Submit Date in Descending order): 1 to 50 of 120