Showing results 2 to 10 of 10
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Issue Date | Title | Author(s) |
2017 | Gender diversity and firm value: evidence from UK financial institutions | Agyemang-Mintah, P; Schadewitz, H |
13-Oct-2020 | Impact of Directors’ Networks on Corporate Social Responsibility: A Cross Country Study | Nandy, M; Lodh, S; Kaur, J; Wang, J |
3-Jan-2019 | Impact of Mergers and Acquisitions on Types of Earnings Management during Crisis: A study on Chinese Listed Firms | Lodh, S; Nandy, M |
18-Jun-2020 | Investors' trading behaviour and stock market volatility during crisis periods: A dual long-memory model for the Korean Stock Exchange | Caporale, GM; Karanasos, M; Yfanti, S; Kartsaklas, A |
4-Jan-2020 | The long memory HEAVY process: modeling and forecasting financial volatility | Karanasos, M; Yfanti, S; Christopoulos, A |
27-Mar-2014 | Modelling Returns and Volatilities During Financial Crises: a Time Varying Coefficient Approach | Karanasos, M; Paraskevopoulos, A; Ali, FM; Karoglou, M; Yfanti, S |
28-Feb-2020 | On the macro-drivers of realized volatility: the destabilizing impact of UK policy uncertainty across Europe | Karanasos, M; Yfanti, S |
4-Jul-2011 | Securitization and lending standards: Evidence from the wholesale loan market | Ongena, S; Kara, A; Marques-Ibanez, D |
2018 | Towards an understanding of credit cycles: do all credit booms cause crises? | Karim, D; Barrell, R; Macchiarelli, C |