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Neupane, Biwesh and Thapa, Chandra and Marshall, Andrew and Neupane, Suman and Shrestha, Chaman (2024) Do foreign institutional investors improve board monitoring? Journal of International Financial Markets Institutions and Money, 91. 101962. ISSN 1042-4431
Fletcher, Jonathan and Marshall, Andrew and OConnell, Michael (2024) Model scan of factors in U.K. stock returns. European Journal of Finance, 30 (13). pp. 1548-1561. ISSN 1351-847X
Andriosopoulos, Dimitris and Czarnowski, Pawel and Marshall, Andrew (2023) Do corporate lawyers matter? Evidence from patents. Journal of Corporate Finance, 83. 102473. ISSN 0929-1199
Fletcher, Jonathan and Marshall, Andrew and Littlejohn, Elizabeth (2023) Exploring the performance of US international bond mutual funds. Financial Review, 58 (4). pp. 765-782. ISSN 0732-8516
Marshall, Andrew and Rao, Sandeep and Roy, Partha P. and Thapa, Chandra (2022) Mandatory corporate social responsibility and foreign institutional investor preferences. Journal of Corporate Finance, 76. 102261. ISSN 0929-1199
Andriosopoulos, Dimitris and Czarnowski, Pawel and Marshall, Andrew (2022) Does green innovation increase shareholder wealth? Preprint / Working Paper. Social Science Research Network (SSRN), Rochester, NY.
Marshall, Andrew and Farag, Hisham and Neupane, Biwesh and Neupane, Suman and Thapa, Chandra (2022) Tax threat and the disruptive market power of foreign portfolio investors. British Journal of Management, 33 (3). pp. 1468-1498. ISSN 1045-3172
Krebbers, Arthur and Marshall, Andrew and McColgan, Patrick and Neupane, Biwesh (2022) Orderbook demand for corporate bonds. European Financial Management, 29 (1). pp. 247-287. ISSN 1354-7798
Koirala, Santosh and Rao, Sandeep and Farag, Hisham and Marshall, Andrew (2022) The market for corporate control and risk-taking : evidence from global merger and acquisition laws. British Journal of Management, 34 (2). pp. 997-1022. ISSN 1045-3172
Andriosopoulos, Dimitris and Czarnowski, Pawel and Marshall, Andrew P. (2022) Do lawyers matter? Evidence from patents. Preprint / Working Paper. Social Science Research Network (SSRN), Amsterdam.
Bhatta, Bibek and Marshall, Andrew and Neupane, Suman and Thapa, Chandra (2022) Foreign ownership and the enforcement of corporate governance reforms. Review of Quantitative Finance and Accounting, 58. 541–580. ISSN 0924-865X
Krebbers, Arthur and Marshall, Andrew and McColgan, Patrick and Neupane, Biwesh (2022) Home bias and the need to build a bond market track record. European Journal of Finance, 28 (18). pp. 1803-1818. ISSN 1351-847X
Krebbers, Arthur and Marshall, Andrew and Neupane, Biwesh and McColgan, Patrick (2021) Bookrunner syndicate geography and the quality of service : the benefits of a local team. Journal of International Money and Finance, 119. 102500. ISSN 0261-5606
Neupane, Biwesh and Thapa, Chandra and Marshall, Andrew and Neupane, Suman (2021) Mimicking insider trades. Journal of Corporate Finance, 68. 101940. ISSN 0929-1199
Marshall, Andrew and McColgan, Patrick and Liu, Mei (2021) Foreign direct investments : the role of corporate social responsibility. Journal of Multinational Financial Management, 59. 100663. ISSN 1042-444X
Roy, Partha P. and Rao, Sandeep and Marshall, Andrew P. and Thapa, Chandra (2020) Corporate social responsibility and foreign institutional investor heterogeneity. Preprint / Working Paper. Elsevier, Rochester, NY.
Koirala, Santosh and Marshall, Andrew and Neupane, Suman and Thapa, Chandra (2020) Corporate governance reform and risk-taking : evidence from a quasi-natural experiment in an emerging market. Journal of Corporate Finance, 61. 101396. ISSN 0929-1199
Li, Wilson X. B. and He, Tina T. and Marshall, Andrew and Tang, Gordon Y. N. (2019) An empirical analysis of accounting conservatism surrounding share repurchases. Eurasian Business Review. ISSN 1309-4297
Marshall, Andrew and Pinto, Helena and Tang, Leilei (2019) Executive compensation in less regulated markets : the impact of debt monitoring. European Journal of Finance, 25 (18). pp. 1883-1918. ISSN 1351-847X
Barbopoulos, Leonidas G. and Cheng, Louis T.W. and Cheng, Yi and Marshall, Andrew (2019) The role of real options in the takeover premia in mergers and acquisitions. International Review of Economics and Finance, 61. pp. 91-107. ISSN 1059-0560
Marshall, Andrew and McCann, Laura and McColgan, Patrick (2019) The market reaction to debt announcements : UK evidence surrounding the global financial crisis. British Accounting Review, 51 (1). pp. 92-109. ISSN 0890-8389
Finlay, William and Marshall, Andrew and McColgan, Patrick (2018) Financing, fire sales, and the stockholder wealth effects of asset divestiture announcements. Journal of Corporate Finance, 50. pp. 323-348. ISSN 0929-1199
Bhatta, Bibek and Marshall, Andrew and Thapa, Chandra (2018) Foreign bias in bond portfolio investments : the role of economic and non-economic factors and the impact of the global financial and sovereign debt crises. European Journal of Finance, 24 (7-8). pp. 654-681. ISSN 1351-847X
Neupane, Suman and Marshall, Andrew and Paudyal, Krishna and Thapa, Chandra (2017) Do investors flip less in bookbuilding than in auction IPOs? Journal of Corporate Finance, 47. pp. 253-268. ISSN 0929-1199
Li, Wilson and He, Tina and Marshall, Andrew and Tang, Gordon (2017) Revisiting conditional accounting conservatism in state-controlled firms. Asian Review of Accounting, 25 (4). pp. 486-501. ISSN 1321-7348
Bhatta, Bibek and Marshall, Andrew and Thapa, Chandra (2017) Cost of sovereign debt and foreign bias in bond allocations. Journal of International Financial Markets Institutions and Money, 51. pp. 75-91. ISSN 1042-4431
Marshall, Andrew and Davies, John and Fletcher, M. (2017) Time-varying investment barriers and closed-end country fund pricing. Finance Research Letters, 21. pp. 66-71. ISSN 1544-6123
Marshall, Andrew and McCann, Laura and Mccolgan, Patrick (2016) The choice of debt source for UK firms. Journal of Business Finance and Accounting, 43 (5-6). 729–764. ISSN 0306-686X
Kwabi, Frank and Faff, Robert and Marshall, Andrew and Thapa, Chandra (2016) Sub-optimal international portfolio allocations and cost of capital. Journal of Multinational Financial Management, 35. pp. 41-58. ISSN 1042-444X
Thapa, Chandra and Neupane, Suman and Marshall, Andrew (2016) Market liquidity risks of foreign exchange derivatives and cross-country equity portfolio allocations. Journal of Multinational Financial Management, 34. pp. 46-64. ISSN 1042-444X
Davies, J. Richard and Fletcher, Jonathan and Marshall, Andrew (2015) Testing index-based models in U.K. stock returns. Review of Quantitative Finance and Accounting, 45 (2). 337–362. ISSN 0924-865X
Marshall, Andrew and McCann, Laura and McColgan, Patrick (2014) Do banks really monitor? Evidence from CEO succession decisions. Journal of Banking and Finance, 46. pp. 118-131. ISSN 0378-4266
Tang, Leilei and Thomas, Lyn and Fletcher, Mary H and Pan, Jiazhu and Marshall, Andrew (2014) Assessing the impact of derived behaviour information on customer attrition in the financial service industry. European Journal of Operational Research, 236 (2). pp. 624-633. ISSN 0377-2217
Barbopoulos, Leonidas and Marshall, Andrew and MacInnes, Cameron and McColgan, Patrick (2014) Foreign direct investment in emerging markets and acquirers' value gains. International Business Review, 23 (3). pp. 604-619. ISSN 0969-5931
Fletcher, Jonathan and Marshall, Andrew (2014) Investor heterogeneity and the cross-section of U.K. investment trust performance. Journal of Financial Services Research, 45 (1). pp. 67-89. ISSN 0920-8550
Davies, Richard and Fletcher, Mary H and Marshall, Andrew (2013) Investigating the role of illiquidity in explaining the UK closed-end country fund discount. International Review of Financial Analysis, 30. pp. 121-130. ISSN 1057-5219
Marshall, Andrew and Kemmitt, Martin and Pinto, Helena (2013) The determinants of foreign exchange hedging in alternative investment market firms. European Journal of Finance, 19 (2). pp. 89-111. ISSN 1351-847X
Marshall, Andrew and Musyev, T and Pinto, Helena and Tang, Leilei (2012) Impact of news announcements on the foreign exchange implied volatility. Journal of International Financial Markets Institutions and Money, 22 (4). pp. 719-737. ISSN 1042-4431
Marshall, Andrew and McColgan, Patrick and McCann, Laura (2012) Do banks really monitor? evidence from CEO succession decisions. In: Financial Engineering and Banking Society, 2012-06-07 - 2012-06-08.
Marshall, Andrew and McColgan, Patrick and McLeish, Susan (2012) Why do stock prices decline in response to employee layoffs? U.K. evidence from the 2008 global financial crisis. Journal of Financial Research, 35 (3). pp. 375-396. ISSN 0270-2592
Marshall, Andrew and Tang, Leilei (2011) Assessing the impact of heteroskedasticity for evaluating hedge fund performance. International Review of Financial Analysis, 20 (1). pp. 12-19. ISSN 1057-5219
Anderson, G. and Fletcher, Jonathan and Marshall, A.P. (2011) Performance evaluation of dynamic trading strategies in UK stock returns incorporating lagged conditioning information. European Journal of Finance, 17 (1). pp. 67-82.
Bowe, M. and Filatotchev, I. and Marshall, Andrew (2010) Integrating contemporary finance and international business research. International Business Review, 19 (5). pp. 435-445. ISSN 0969-5931
Marshall, A.P. and Tang, L. and Milne, Alistair (2010) Variable reduction, sample selection bias and bank retail credit scoring. Journal of Empirical Finance, 17 (3). 501–512.
MacInnes, Cameron and Marshall, Andrew and McColgan, Patrick (2010) Corruption, political risk, asset type and agency issues for UK firms investing in emerging markets. In: Eastern Finance Association Annual Meeting 2010, 2010-04-14 - 2010-04-17.
Barclay, R. and Fletcher, Jonathan and Marshall, A.P. (2010) Pricing emerging market stock returns : an update. Emerging Markets Review, 11 (1). pp. 49-61. ISSN 1566-0141
Marshall, Andrew and McColgan, Patrick and Susan, McLeish (2010) Why do stock prices decline in response to employee layoffs? UK evidence from the 2008 global financial crisis. In: Eastern Finance Association Annual Meeting 2010, 2010-04-14 - 2010-04-17.
Marshall, A.P. and Maulana, T. and Tang, L. (2009) The estimation and determinants of emerging market country risk and the dynamic conditional correlation GARCH model. International Review of Financial Analysis, 18 (5). pp. 250-259. ISSN 1057-5219
Marshall, A.P. and Weetman, P. (2008) Managing interest rate risk and foreign exchange : disclosure of objectives, policies and processes. Institute of Chartered Accountants in England and Wales, Centre for Business Performance.
Fletcher, J.E. and Marshall, A.P. (2008) Is international trust performance predictable over time? A note. Accounting and Finance, 48 (1). pp. 123-132. ISSN 0810-5391
Ngatuni, P. and Capstaff, J. and Marshall, A. (2007) Long term performance following rights issues and open offers in the UK. Journal of Business Finance and Accounting, 34 (1-2). pp. 33-64. ISSN 0306-686X
McColgan, P. and Hillier, C. and Marshall, A.P. and Wereman, S. (2007) Employee layoffs, shareholder wealth and firm performance: evidence from the UK. Journal of Business Finance and Accounting, 34 (3-4). pp. 467-494. ISSN 0306-686X
Nguyen, Hoa and Faff, Robert and Marshall, Andrew (2007) Exchange rate exposure, foreign currency derivatives and the introduction of the euro : French evidence. International Review of Economics and Finance, 16 (4). pp. 563-577. ISSN 1059-0560
Marshall, A.P. and Weetman, P. (2007) Modelling transparency in disclosure: the case of foreign exchange risk management. Journal of Business Finance and Accounting, 34 (5-6). pp. 705-739. ISSN 0306-686X
Hjelmstad, M. and Walmsley, T. and Marshall, A.P. (2007) Open market share repurchases in the UK: evidence on the agency theory of free cash flow. Applied Financial Economic Letters, 2 (6). pp. 383-387. ISSN 1744-6546
Capstaff, John and Marshall, Andrew and Hutton, Julie (2007) The introduction of the Euro and derivative use in French firms. Journal of International Financial Management and Accounting, 18 (1). pp. 1-17. ISSN 0954-1314
Ho, C.N. and Marshall, A.P. (2006) Determinants of UK swap spreads. Applied Financial Economic Letters, 2 (5). pp. 305-309. ISSN 1744-6546
Davies, Richard and Ekeberg, Christian and Marshall, Andrew (2006) The determinants of Norwegian exporters' foreign exchange risk management. European Journal of Finance, 12 (3). pp. 217-240. ISSN 1351-847X
Faff, Robert W. and Marshall, Andrew P. (2005) International evidence on determinants of foreign exchange rate exposure of multinational companies. Journal of International Business Studies, 36 (5). pp. 539-558. ISSN 0047-2506
Fletcher, Jonathan and Marshall, Andrew P. (2005) The performance of UK international unit trusts. European Financial Management, 11 (3). pp. 365-386. ISSN 1354-7798
Fletcher, J. and Marshall, A.P. (2005) An empirical examination of UK International unit trust performance. Journal of Financial Services Research, 27 (2). pp. 183-206. ISSN 0920-8550
Fletcher, J.P. and Marshall, A.P. (2005) An empirical examination of the benefits of international diversification. Journal of International Financial Markets Institutions and Money, 15 (5). pp. 455-468. ISSN 1042-4431
Capstaff, J. and Marshall, A.P. (2005) International cash management and hedging: a comparison of UK and French companies. Managerial Finance, 31 (10). pp. 18-34. ISSN 0307-4358
Davies, J.R. and Fui, C.K. and Hillier, David J. and Marshall, Andrew P. (2004) Pricing interest rate swaps in Malaysia. Review of Pacific Basin Financial Markets and Policies, 7 (4). pp. 493-507. ISSN 0219-0915
Hillier, David J. and Hodgson, Allan and Marshall, Andrew and Whincop, Michael J. (2004) An economic analysis of trading on private information by external administrators: international comparisons. Journal of Corporate Law Studies, 4 (2). pp. 421-464. ISSN 1473-5970
Capstaff, John and Klaeboe, Audun and Marshall, Andrew P. (2004) Share price reaction to dividend announcements: empirical evidence on the signalling model from the Oslo Stock Exchange. Multinational Finance Journal, 8 (1-2). pp. 115-139. ISSN 1096-1879
Lai, Kelvin Wai Lung and Marshall, Andrew (2002) A study of mispricing and parity in the Hang Seng futures and options markets. Review of Pacific Basin Financial Markets and Policies, 5 (3). pp. 373-394. ISSN 0219-0915
Hillier, David J. and Marshall, Andrew P. (2002) Are trading bans effective? Exchange regulation and corporate insider transactions around earnings announcements. Journal of Corporate Finance, 8 (4). pp. 393-410. ISSN 0929-1199
Hillier, David J. and Marshall, Andrew P. (2002) The market evaluation of the information in directors' trading. Journal of Business Finance and Accounting, 29 (1/2). pp. 77-110. ISSN 0306-686X
Marshall, A.P. and Weetman, P. (2002) Information asymmetry in disclosure of foreign exchange risk management: can regulation be effective? Journal of Economics and Business, 54 (1). pp. 31-53. ISSN 0148-6195
Hillier, David and Marshall, Andrew (2002) Insider trading, tax-loss selling and the turn-of-the-year effect. International Review of Financial Analysis, 11 (1). pp. 73-84. ISSN 1057-5219
Faff, R. and Marshall, A.P.; Fetherston, T.A. and Batten, J.A., eds. (2002) The choice of foreign exchange hedging techniques: an international study. In: Financial risk and financial risk management. Elsevier Science, London, pp. 137-172. ISBN 0762308583
Fletcher, Jonathan and Forbes, David and Marshall, Andrew (2002) An investigation on the impact of derivative use on the risk and performance of UK unit trusts. Financial Services Review, 11 (2). pp. 173-187. ISSN 1057-0810
Christie, Eilidh and Marshall, Andrew (2001) The impact of the introduction of the Euro on the foreign exchange risk management in UK multinational companies. European Financial Management, 7 (3). pp. 419-434. ISSN 1354-7798
Lee, F.M. and Marshall, A.P. and Szto, Y.K. and Tang, J. (2001) The practice of financial risk management: an international comparison. Thunderbird International Business Review, 43 (3). pp. 365-375. ISSN 1096-4762