Items where Subject is "H Social Sciences > HG Finance"

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Group by: Creators | Item Type
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Number of items at this level: 12.

A

Alonso Gómez, Pablo and Arnaud, Christophe and Aschenbeck-Florange, Tanja and Bergmann, Ariel and Burton, Bruce and Caneva, Silvia and Clifford, Lorraine and de Jong, Maarten and Dlouhy, Alexander and Drefke, Thorge and Gajda, Oliver and Harder, Karl and Kelly, Rebecca and Klaes, Matthias and Kohl, Kathrin and Martens, Fabian and Petit, Frederic and Raquet, Alex and Rumolino, Claudio and Wahlmüller, Johannes and Windisch, Sissy (2018) Crowdfunding Renewable Energy: A Practical Guide for Crowdfunding Platforms, Project Developers, Investors and Policy Makers. CrowdFundRES, Online. ISBN 3-936338-48-5

Andrejcik, Dusan (2020) The Impact of Credit Risk Reporting Rules on Financial Analysts' Information Environment. Doctoral thesis, University of Buckingham.

C

Chambers, David and Kabiri, Ali (2016) Keynes and Wall Street. Business History Review, 90 (2). pp. 301-328. ISSN 0007-6805

D

Demirovic, Amer and Kabiri, Ali and Tuckett, David and Nyman, Rickard (2020) A common risk factor and the correlation between equity and corporate bond returns. Journal of asset managemnt. ISSN 1470-8272

I

Ibrahim, Audu Samuel (2019) Protectionism and Liberalisation in the Nigerian Insurance Sector: A Critical Examination of the role of Multinational Insurance Programmes in Dealing with Protectionist Trade Barriers. Doctoral thesis, University of Buckingham.

K

Kostadinova, Valentina (2017) BREXIT is unlikely to provide answers to governance problems under globalisation. Economic Affairs, 37 (1). pp. 135-140. ISSN 1468-0270

S

Singh, Gurcharan and Halari, Anwar and Satoh, William Corporate governance mechanisms and risk-taking in South Africa. Int. J. Business Governance and Ethics, 13 (4). ISSN 1741-802X (In Press)

Singh, Gurcharan and Wilson, Albert and Halari, Anwar (2018) The efficacy of macroeconomic policies in resolving financial market disequilibria: A cross‐country analysis. International Journal of Financial Economics. ISSN 1099-1158

Spatareanu, Mariana and Manole, Vlad and Kabiri, Ali (2015) Bank Distress and Firms’ Investment during the Great Recession - Evidence from Ireland. Applied Economics Letters. ISSN 1350-4851 (Print), 1466-4291 (Online)

Spatareanu, Mariana and Manole, Vlad and Kabiri, Ali Do Bank Liquidity Shocks Hamper Firms’ Innovation? International Journal of Industrial Organization, 67. ISSN 0167-7187 (Submitted)

Spatareanu, Mariana and Manole, Vlad and Kabiri, Ali Exports and Bank Shocks: Evidence from Matched Firm-Bank Data. Structural Change and Economic Dynamics. ISSN 0954-349X (In Press)

Spatareanu, Mariana and Manole, Vlad and Kabiri, Ali and Roland, Isabelle (2022) Bank Default Risk Propagation along Supply Chains: Evidence from the U.K. International Review of Economics and Finance. ISSN 1059-0560 (In Press)

This list was generated on Sat Dec 21 14:23:19 2024 GMT.