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Collection's Items (Sorted by Submit Date in Descending order): 1 to 50 of 117
Issue DateTitleAuthor(s)
2022A study of why corporations acquire and merge: External and internal determinants of investment behaviourOcquaye, Nii Nortey Solomon
2023Corrected GARCH-DCC-MIDAS models in economics and financeWu, Jiaying
2022The interconnectedness between financial futures markets, commodities, and the macroeconomy: Empirical evidence from a time-varying approachAlmajali, Awon
2022Three chapters on foreign direct investment in OECD countriesGokceli, Emre
2022Bank earnings and capital management and early warning systems: evidence from OCED countriesLai, Yuli
2021Banking crises, competition, and financial stability: evidence from the Middle East and North Africa (MENA)Awadallah, Diyama Khaled
2021Studies of institutional development, international financial flows and emerging marketsMaunthrooa, Janeeta
2021Three essays on Earnings Management Evidence from UKAzam, Muhammad
2020Essays on Macroeconomic Dynamics: Trade, Integration and E(M)U Business Cycles.Paramaguru, Kanya Gowthami
2020Non-linear Panels in Economics and FinanceAl Hesso, Souhaila
2020Three papers on UK households' consumptionZara, Canbary
2020FDI, Chinese foreign relationship and labour market – empirical evidence from ChinaWang, Hao
2019The evolution and effectiveness of macroprudential policyDennison Adrian, Noel
2019The interrelationship between dividend payout, corporate governance and ownership structure: the case of GCCShira, Ruba Khalid A
2018The impact of IFRS adoption on the earnings quality: A comparative studyBüyükkurt, Ömer Faruk
2018Essays in exchange rates and international financeMirkin, Lorice
2017Sovereign risk in the Eurozone debt crisisTzima, Spyridoula
2018Arbitrage across the financial markets of the Gulf States and the prospects of currency unionAl Teneiji, Asma
2018Determinants and impacts of directors' remuneration disclosure: evidence from Malaysian FTSE30 companiesKhalid, Akhma Adlin
2018Essays on modelling house pricesWang, Yuefeng
2017Stock market activities, economic growth and firm growth: evidence from ChinaNi, Aimin
2017Modelling house price cycles in large metropolitan areasAlqaralleh, Huthaifa Sameeh
2016The impact of international financial reporting standards on earnings quality: EU evidenceMohamad, Housam
2017Firm’s value, financing constraints and dividend policy in relation to firm’s political connectionsAlsaraireh, Ahmad
2017Essays on equity valuation and accounting conservatism for insurance companiesHaboub, Ahmad
2017Five essays in applied economic theory and times series econometrics with applications to accounting and economicsDafnos, Stavros
2017Cooperation and discrimination in academic publishingPaphawasit, Boontarika
2017Essays on efficiency, stability, governance, and regulations in financial institutionsShaddady, Ali
2017Essays in behavioural finance and investmentAhmed, Mohamed Ahmed Shaker
2016Determinants of bank net interest margin: does monetary union membership matter?Yeboah, Eric Adjei
2017Investigating three aspects of corporate finance within the context of GCC marketsAl Wahaibi, Mahmood Ali Khalfan
2016Credit default and the real estate marketKhaled, Fawaz
2016Modelling inflation, output growth and their uncertaintiesAlliwa, Maher
2017Liquidity measurements and the return-liquidity relationship: empirical evidence from Germany, the UK, the US and ChinaBo, Yibo
2016Research on futures-commodities, macroeconomic volatility and financial developmentKoutroumpis, Panagiotis
2015Aggregate insider trading activity in the UK stock and option marketsWuttidma, Clarisse Pangyat
2016Effects of oil prices, food prices and macroeconomic news on Gcc stock marketsAl-Maadid, Alanoud
2016How do listing requirements impact firms: The case of AIMMortazian, Mona
2016Essays on modelling the volatility dynamics and linkages of emerging and frontier stock marketsAl Mughairi, Habiba
2016Essays in international finance and bankingNahhas, Abdulkader
2016What determines oil production? A case study of Nigeria and the United KingdomAlalade, Oluwadunsin
2016Essays on failure risk of firms using multivariate frailty modelsAtsu, Francis
2016Essays on monetary policy with Islamic banksHelmi, Mohamad Husam
2016Examining the relationship between trading volume, market return volatility and U.S. aggregate mutual fund flowOmran, Hayan
2016Essays on tourism and its determinantsGhalia, Thaana
2012An international study of bank performance: from the perspective of sustainability and externalityMirzaei, Ali
2016The significance of mapping data sets when considering commodity time series and their use in algorithmically-traded portfoliosMargaronis, Zannis N. P.
2016Corporate credit risk and economic performanceAliakbari, Saeideh
2016Essays in Ricardian trade theorySbracia, Massimo
2012The impact of legal responsibility of external auditors on auditing quality and investment levelMatar, Soud
Collection's Items (Sorted by Submit Date in Descending order): 1 to 50 of 117