Items where subject is "Finance"
- Library of Congress Subject Areas (519)
- Social Sciences (519)
- Finance (519)
- Social Sciences (519)
Article
, ed. (1991) The Scottish economy [March 1991]. Quarterly Economic Commentary, 16 (3). pp. 12-57. ISSN 0306-7866
Abouraschi, Niloufar and Clacher, Iain and Freeman, Mark C. and Hillier, David and Kemp, Malcolm and Zhang, Qi (2016) Pension plan solvency and extreme market movements : a regime switching approach. European Journal of Finance, 22 (13). pp. 1292-1319. ISSN 1351-847X
Acheampong, Alex O. and Tetteh, Godsway Korku (2024) Does financial inclusion matter to population health? Insight from a global dataset. Social Indicators Research, 172 (3). pp. 1005-1040. ISSN 1573-0921
Acheson, Graeme G and Campbell, Gareth and Turner, John D (2019) Private contracting, law and finance. The Review of Financial Studies, 32 (11). pp. 4156-4195. ISSN 1465-7368
Acheson, Graeme G. and Campbell, Gareth and Gallagher, Áine and Turner, John D. (2021) Independent women : investing in British Railways, 1870-1922. Economic History Review, 74 (2). pp. 471-495. ISSN 0013-0117
Acheson, Graeme G. and Coyle, Christopher and Jordan, David P. and Turner, John D. (2020) Share trading activity and the rise of the rentier in the UK before 1920. Business History, 62 (6). pp. 982-1001. ISSN 0007-6791
Al-Kandari, Ali A. and Gaither, T. Kenn and Alfahad, Mohamed Mubarak and Dashti, Ali A. and Alsaber, Ahmad R. (2019) An Arab perspective on social media : how banks in Kuwait use instagram for public relations. Public Relations Review, 45 (3). 101774. ISSN 0363-8111
Alexakis, Christos and Cummins, Mark and Dowling, Michael and Pappas, Vasileios (2018) A high-frequency analysis of price resolution and pricing barriers in equities on the adoption of a new currency. Applied Economics, 50 (36). pp. 3949-3965. ISSN 0003-6846
Allan, Grant (2014) Forecasts of the Scottish economy [March 2014]. Fraser of Allander Economic Commentary, 37 (3). pp. 24-35. ISSN 2046-5378
Aman, Hiroyuki and Beekes, Wendy and Berkman, Henk and Bohmann, Marc and Bradbury, Michael and Chapple, Larelle and Chang, Millicent and Clout, Victoria and Faff, Robert and Han, Jianlei and Hillier, David and Hodgson, Allan and Howieson, Bryan and Jona, Jonathan and Linnenluecke, Martina and Loncan, Tiago and McCredie, Bronwyn and Michayluk, David and Mroczkowski, Nick and Pan, Zheyao (Terry) and Patel, Vinay and Podolski, Edward and Soderstrom, Naomi and Smith, Tom and Tanewski, George and Walsh, Kathleen and Wee, Marvin and Wright, Sue (2019) Responsible science : Celebrating the 50-year legacy of Ball and Brown (1968) using a registration-based framework. Pacific Basin Finance Journal, 56. pp. 129-150. ISSN 0927-538X
Amankwah-Amoah, Joseph and Adomako, Samuel and Danquah, Joseph and Opoku, Robert Ankomah and Zahoor, Nadia (2022) Foreign market knowledge, entry mode choice and SMEs' international performance in an emerging market. Journal of International Management, 28 (4). 100955. ISSN 1075-4253
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.
Andriosopoulos, Dimitris and Andriosopoulos, Kostas and Hoque, Hafiz (2013) Information disclosure, CEO overconfidence, and share buyback completion rates. Journal of Banking and Finance, 37 (12). pp. 5486-5599. ISSN 0378-4266
Andriosopoulos, Dimitris and Barbopoulos, Leonidas G. (2016) Relative equity market valuation conditions and acquirers' gains. Review of Quantitative Finance and Accounting. pp. 1-32. ISSN 0924-865X
Andriosopoulos, Dimitris and Chronopoulos, Dimitris K. and Papadimitriou, Fotios I. (2014) Can the information content of share repurchases improve the accuracy of equity premium predictions? Journal of Empirical Finance, 26. pp. 96-111. ISSN 0927-5398
Andriosopoulos, Dimitris and De Cesari, Amedeo and Stathopoulos, Konstantinos (2021) Excess corporate payouts and financial distress risk. European Financial Management, 27 (5). pp. 865-898. ISSN 1354-7798
Andriosopoulos, Dimitris and Faff, Robert and Paudyal, Krishna (2019) Financial markets, innovation and regulation. European Journal of Finance, 25 (7). pp. 595-598. ISSN 1351-847X
Andriosopoulos, Dimitris and Gaganis, Chrysovalantis and Pasiouras, Fotios (2016) Prediction of open market share repurchases and portfolio returns : evidence from France, Germany and the UK. Review of Quantitative Finance and Accounting, 46 (2). pp. 387-416. ISSN 0924-865X
Andriosopoulos, Dimitris and Galariotis, Emilios and Spyrou, Spyros (2017) Editorial IRFA. International Review of Financial Analysis, 54. pp. 95-96. ISSN 1057-5219
Andriosopoulos, Dimitris and Hoque, Hafiz (2013) The determinants of share repurchases in Europe. International Review of Financial Analysis, 27. pp. 65-76. ISSN 1057-5219
Andriosopoulos, Dimitris and Lasfer, Meziane (2015) The market valuation of share repurchases in Europe. Journal of Banking and Finance, 55. 327–339. ISSN 0378-4266
Andriosopoulos, Dimitris and Panetsidou, Styliani (2021) A global analysis of private investments in public equity. Journal of Corporate Finance, 69. 101832. ISSN 0929-1199
Andriosopoulos, Dimitris and Yang, Shuai (2015) The impact of institutional investors on mergers and acquisitions in the United Kingdom. Journal of Banking and Finance, 50. pp. 547-561. ISSN 0378-4266
Andriosopoulos, Dimitris and Yang, Shuai and Li, Wei-an (2015) The market valuation of M&A announcements in the United Kingdom. International Review of Financial Analysis. ISSN 1057-5219
Annisette, Marcia and Cooper, Christine and Gendron, Yves (2015) Living in a contradictory world : CPAs admission to SSCI. Critical Perspectives On Accounting, 31. pp. 1-4. ISSN 1045-2354
Antoniou, A and Guney, Y and Paudyal, Krishna (2008) The determinants of capital structure : capital market-oriented versus bank-oriented institutions. Journal of Financial and Quantitative Analysis, 43 (1). pp. 59-92.
Antoniou, A and Guney, Y and Paudyal, Krishna (2008) The determinants of corporate debt ownership structure : evidence from market-based and bank-based economies. Managerial Finance, 34 (12). pp. 821-847. ISSN 0307-4358
Antoniou, Antonios and Olusi, Olasupo and Paudyal, Krishna (2010) Equity home-bias : a suboptimal choice for UK investors? European Financial Management, 16 (3). pp. 449-479. ISSN 1354-7798
Archel, Pablo and Husillos, Javier (2009) Ultimos desarrollos sobre RSE en España : ¿Un avance hacia la sostenibilidad? CIRIEC - Revista de Economia Pública, Social y Cooperativa, 65. pp. 59-84. ISSN 0213-8093
Armstrong, Jo and Ashcroft, Brian (2005) Financial management in the Scottish Executive proposals for further refinement. Quarterly Economic Commentary, 30 (1). pp. 5-11. ISSN 0306-7866
Aslam, Saba and Khalid Sohail, Muhammad (2021) The role of financial constraints in business environment : evidence from business group affiliated and non-affiliated firms in Pakistan. Jinnah Business Review, 9 (2). pp. 34-60. ISSN 2307-7921
Atkins, Philip J. and Cummins, Mark (2020) A dynamic Cholesky data imputation method for correlation structure consistency. Applied Economics Letters, 29 (4). pp. 311-315. ISSN 1350-4851
Avignone, Giuseppe and Girardone, Claudia and Pancaro, Cosimo and Pancotto, Livia and Reghezza, Alessio (2022) Cost efficiency in the euro area banking sector and the negative interest rate environment. SUERF Policy Brief (N.474).
Azemar, Celine and Desbordes, Rodolphe (2013) Has the Lucas Paradox been fully explained? Economic Letters, 121 (2). pp. 183-187. ISSN 0165-1765
Bagnarosa, Guillaume and Cummins, Mark and Dowling, Michael and Kearney, Fearghal (2022) Commodity risk in European dairy firms. European Review of Agricultural Economics, 49 (1). pp. 151-181. ISSN 1464-3618
Bajo, E. and Bigelli, M. and Hillier, D.J. and Pertacci, B. (2009) The determinants of regulatory compliance : an analysis of insider trading disclosures in Italy. Journal of Business Ethics, 90 (3). pp. 331-343. ISSN 0167-4544
Bajo, Emanuele and Barbi, Massimiliano and Bigelli, Marco and Hillier, David (2013) The role of institutional investors in public-to-private transactions. Journal of Banking and Finance, 37 (11). pp. 4327-4336. ISSN 0378-4266
Bajo, Emanuele and Barbi, Massimiliano and Hillier, David (2020) Where should I publish to get promoted? A finance journal ranking based on business school promotions. Journal of Banking and Finance, 114. 105780. ISSN 0378-4266
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
Barbopoulos, Leonidas G. and Paudyal, Krishna and Sudarsanam, Sudi (2018) Earnout deals : method of initial payment and acquirers' gain. European Financial Management, 24 (5). pp. 792-828. ISSN 1354-7798
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
Bebbington, J. and Thomson, Ian (2005) Social and environmental reporting in the UK: a pedagogic evaluation. Critical Perspectives On Accounting, 16 (5). pp. 507-533. ISSN 1045-2354
Beckmann, Joscha and Davidson, Sharada Nia and Koop, Gary and Schussler, Rainer (2023) Cross-country uncertainty spillovers : evidence from international survey data. Journal of International Money and Finance, 130. 102760. ISSN 0261-5606
Bell, D. and Jack, G. and Wright, R.E. (2004) Micro-level data sources for Scottish policy. Scottish Journal of Political Economy, 51 (1). pp. 143-147. ISSN 0036-9292
Bell, David N. F. and Hart, S. and Kirwan, Frank X. and McGilvray, James W. and Moar, L. and Morton, A. J. and Simpson, David R. F. and Wingfield, Alison A., Fraser of Allander Institute (1979) Outlook and appraisal [January 1979]. Quarterly Economic Commentary, 4 (3). pp. 23-26. ISSN 0306-7866
Bell, David N.F. and Fraser, Neil and Hamilton, Douglas and Harrigan, F. and Jowett, Anne and Kirwan, Frank X. and McNicoll, Iain and Moar, Lyle and O'Donnell, N. and Orton, Ian (1980) The development of the Scottish clearing banks. Quarterly Economic Commentary, 6 (1). pp. 28-33. ISSN 0306-7866
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
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
Boyle, Raymond and Dinan, William and Morrow, S. (2002) Doing the business? Newspaper reporting of the business of football. Journalism, 3 (2). pp. 161-181. ISSN 1464-8849
Boyle, Robin (1988) Enterprise Scotland : the American connection. Quarterly Economic Commentary, 14 (2). pp. 64-66. ISSN 2046-5378
Braunholtz-Speight, Tim and Sharmina, Maria and Manderson, Ed and McLachlan, Carly and Hannon, Matthew and Hardy, Jeff and Mander, Sarah (2020) Business models and financial characteristics of community energy in the UK. Nature Energy, 5 (2). 169–177. ISSN 2058-7546
Broby, Daniel and Paul, Greig (2017) Blockchain and its use in financial settlements and transactions. The Journal of the Chartered Institute for Securities and Investment (Review of Financial Markets). pp. 53-55. ISSN 1357-7069
Brown, Ross and McQuaid, Ronald and Raeside, Robert and Canduela, Jesus (2014) The performance of employee-owned businesses in Scotland : some preliminary empirical evidence. Fraser of Allander Economic Commentary, 37 (3). pp. 108-117. ISSN 2046-5378
Bruce, Alistair and Johnson, Johnnie and Tang, Leilei (2011) The explanatory power of trading volume and insider activity in a pari-mutuel betting market. European Journal of Finance, 17 (3). pp. 197-216. ISSN 1351-847X
Byrne, Alistair and Best, Peter (2001) Measuring the equity risk premium. Journal of Asset Management, 1 (3). pp. 245-256. ISSN 1470-8272
Byrne, Joseph P. and Cao, Shuo (2024) Decomposing uncertainty in macro-finance term structure models. The Review of Asset Pricing Studies, 14 (3). pp. 428-449. raae004. ISSN 2045-9939
Byrne, Joseph P. and Cao, Shuo and Korobilis, Dimitris (2019) Decomposing global yield curve co-movement. Journal of Banking and Finance, 106. pp. 500-513. ISSN 0378-4266
Byrne, Joseph P. and Fazio, Giorgio and Fiess, Norbert (2012) Interest rate co-movements, global factors and the long end of the term spread. Journal of Banking and Finance, 36 (1). pp. 183-192. ISSN 0378-4266
Byrne, Joseph P. and Ibrahim, Boulis Maher and Sakemoto, Ryuta (2022) The time-varying risk price of currency portfolios. Journal of International Money and Finance, 124. 102636. ISSN 0261-5606
Byrne, Joseph P. and Sakemoto, Ryuta (2021) The conditional volatility premium on currency portfolios. Journal of International Financial Markets, Institutions and Money, 74. 101415. ISSN 1042-4431
Cai, C. and Hillier, D.J. and Hudson, R, and Keasey, K. (2008) Trading frictions and market structure : an empirical analysis. Journal of Business Finance and Accounting, 35 (3-4). pp. 563-579. ISSN 0306-686X
Cai, Charlie X. and Hillier, David and Tian, Gaoliang and Wu, Qinghua (2015) Do audit committees reduce the agency costs of ownership structure? Pacific-Basin Finance Journal, 35 (Part A). pp. 225-240. ISSN 0927-538X
Cai, Charlie X. and Hillier, David and Wang, Jun (2016) The cost of multiple large shareholders. Financial Management, 45 (2). pp. 401-430. ISSN 0046-3892
Cairns, Iain and Hannon, Matthew and Braunholtz-Speight, Tim and McLachlan, Carly and Mander, Sarah and Hardy, Jeff and Sharmina, Maria and Manderson, Ed (2023) Financing grassroots innovation diffusion pathways : the case of UK community energy. Environmental Innovation and Societal Transitions, 46. 100679. ISSN 2210-4232
Cairns, J A and Harris, A H (1987) The experience of Scottish firms in the North Sea oil supply industry : a guide to the future? Quarterly Economic Commentary, 13 (1). pp. 71-76. ISSN 2046-5378
Capstaff, J. and Armitage, S. (2009) Comment on 'earnings management around UK open offers'. European Journal of Finance, 15 (1). pp. 53-60. ISSN 1351-847X
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
Capstaff, John and Paudyal, Krishna and Rees, William P. (2001) A comparative analysis of earnings forecasts in Europe. Journal of Business Finance and Accounting, 28 (5-6). pp. 531-562. ISSN 0306-686X
Carruth, Alan and Henley, Andrew (1993) The recent behaviour of aggregate consumer spending. Quarterly Economic Commentary, 18 (3). pp. 75-83. ISSN 0306-7866
Castledine, Pam and Swales, Kim (1988) The Glasgow Garden Festival : a wider perspective. Quarterly Economic Commentary, 14 (1). pp. 58-64. ISSN 2046-5378
Catchpowle, Lesley and Cooper, Christine and Wright, Andrew (2004) Capitalism, states and accounting. Critical Perspectives On Accounting, 15 (8). pp. 1037-1058.
Chau, F and Holmes, P and Paudyal, Krishna (2008) The impact of universal stock futures on feedback trading and volatility dynamics. Journal of Business Finance and Accounting, 35 (1-2). pp. 227-249. ISSN 0306-686X
Chen, Haining and Vitenu-Sackey, Prince Asare and Bathuure, Isaac Akpemah (2024) Uncertainty measures and business cycles : evidence from the US. Sage Open, 14 (2). pp. 1-20. ISSN 2158-2440
Chen, Ze and Chen, Bingzheng and Hu, Yi and Zhang, Hai (2021) Hedge inflation risk of specific purpose guarantee funds. European Financial Management, 28 (4). pp. 1104-1136. ISSN 1354-7798
Chircop, Justin and Collins, Daniel W. and Hass, Lars Helge and Nguyen, Nhat (Nate) Q. (2020) Accounting comparability and corporate innovative efficiency. The Accounting Review, 95 (4). pp. 127-151. ISSN 1558-7967
Choudhury, Tonmoy and Kinateder, Harald and Neupane, Biwesh (2022) Gold, bonds, and epidemics : a safe haven study. Finance Research Letters, 48. 102978. ISSN 1544-6123
Chowdhury, M. and Ghosh, D. and Wright, R.E. (2005) The impact of micro-credit and poverty: evidence from Bangladesh. Progress in Development Studies, 5 (4). pp. 1-12. ISSN 1464-9934
Clacher, I. and Hillier, D.J. and Lhaopadchan, S. (2009) Corporate insider trading: A literature review. Spanish Journal of Finance and Accounting, 38 (143). pp. 373-398.
Clintworth, Mark and Boulougouris, Evangelos and Lee, Byung Suk (2018) Combining multicriteria decision analysis and cost-benefit analysis in the assessment of maritime projects financed by the European Investment Bank. Maritime Economics & Logistics, 20 (1). pp. 29-47. ISSN 1479-294X
Colak, Gonul and Gounopoulos, Dimitrios and Loukopoulos, Panagiotis and Loukopoulos, Georgios (2021) Political power, local policy uncertainty and IPO pricing. Journal of Corporate Finance, 67. 101907. ISSN 0929-1199
Cole, Bart and Cooper, Christine (2006) Deskilling in the 21st Century: The case of rail privatisation. Critical Perspectives On Accounting, 17 (5). pp. 601-625. ISSN 1045-2354
Colombo, Jefferson A. and Loncan, Tiago R. and Caldeira, João F. (2019) Do foreign portfolio capital flows affect domestic investment? Evidence from Brazil. International Journal of Finance and Economics, 24 (2). pp. 855-883. ISSN 1099-1158
Conyon, Martin J. and Hass, Lars Helge and Vergauwe, Skrålan and Zhang, Zhifang (2019) Foreign experience and CEO compensation. Journal of Corporate Finance, 57. pp. 102-121. ISSN 0929-1199
Cooper, Christine (2015) Accounting for the fictitious : a Marxist contribution to understanding accounting's roles in the financial crisis. Critical Perspectives On Accounting, 30. pp. 63-82. ISSN 1045-2354
Cooper, Christine and Graham, Cameron and Hinick, Darlene (2016) Social impact bonds : the securitization of the homeless. Accounting, Organizations and Society, 55. pp. 63-82. ISSN 0361-3682
Cooper, Christine and Senkl, Daniela (2016) An(Other) truth : a feminist perspective on KPMG's true value. Sustainability Accounting, Management and Policy Journal, 7 (4). pp. 494-516. ISSN 2040-8021
Cooper, Christine and Taylor, Phil (2005) Independently verified reductionism: prison privatization in Scotland. Human Relations, 58 (4). pp. 497-522. ISSN 0018-7267
Cooper, Christine and Taylor, Phil and Smith, Newman and Catchpowle, Lesley (2005) A discussion of the political potential of social accounting. Critical Perspectives On Accounting, 16 (7). pp. 951-974. ISSN 1045-2354
Cormier, Ben (2023) Chinese or western finance? Transparency, official credit flows, and the international political economy of development. Review of International Organizations, 18 (2). pp. 297-328. ISSN 1559-744X
Cormier, Ben and Naqvi, Natalya (2023) Delegating discipline : how indexes restructured the political economy of sovereign bond markets. Journal of Politics, 85 (4). pp. 1501-1515. ISSN 0022-3816
Cornelli, Giulio and Gambacorta, Leonardo and Pancotto, Livia (2023) Buy now, pay later : a cross-country analysis. BIS Quarterly Review, December . pp. 61-75. ISSN 1683-013X
Coulson, A. and Georgakopoulos, G. and Thomson, I. and Sotiropoulos, I. and Kaldis, P. (2006) Exploring social, financial and ecological risks of the Scottish salmon industry. Accounting Forum, 29 (1). pp. 49-75. ISSN 0155-9982
Coulson, A.B. (2009) How should banks govern the environment? Challenging the construction of action versus veto. Business Strategy and the Environment, 19. pp. 149-161. ISSN 0964-4733
Coulson, Andrea and Thomson, Ian H. (2006) Accounting and sustainability, encouraging a dialogical apporoach: integrating learning activities, delivery mechanisms and assessment strategies. Accounting Education, 15 (3). pp. 261-273. ISSN 0963-9284
Coulson, Andrea B. and Rivett, Michael O. and Kalin, Robert M. and Fernández, Sergio M.P. and Truslove, Jonathan P. and Nhlema, Muthi and Maygoya, Joseph (2021) The cost of a sustainable water supply at network kiosks in peri-urban Blantyre, Malawi. Sustainability, 13 (9). 4685. ISSN 2071-1050
Cowling, Marc and Samuels, John and Sugden, Roger (1991) Small firms and Scottish clearing banks. Quarterly Economic Commentary, 17 (2). pp. 64-69. ISSN 0306-7866
Cross, Jamie L. and Hou, Chenghan and Poon, Aubrey (2020) Macroeconomic forecasting with large Bayesian VARs : global-local priors and the illusion of sparsity. International Journal of Forecasting, 36 (3). pp. 899-915. ISSN 0169-2070
Cummins, Mark (2010) Optimal statistical arbitrage : a model specification analysis on ISEQ equity data. Irish Accounting Review, 17 (2). pp. 21-40.
Cummins, Mark and Dowling, Michael and Kearney, Fearghal (2016) Oil market modelling : a comparative analysis of fundamental and latent factor approaches. International Review of Financial Analysis, 46. pp. 211-218. ISSN 1057-5219
Cummins, Mark and Kiely, Greg and Murphy, Bernard (2018) Gas storage valuation under multifactor Lévy processes. Journal of Banking and Finance, 95. pp. 167-184. ISSN 0378-4266
Cummins, Mark and Mac an Bhaird, Ciarán and Rosati, Pierangleo and Lynn, Theo (2020) Institutional investment in online business lending markets. International Review of Financial Analysis, 71. 101542. ISSN 1057-5219
Cunningham, Edward (1991) Commercialising academic research. Quarterly Economic Commentary, 17 (2). pp. 56-60. ISSN 0306-7866
Cuthbert, Jim and Cuthbert, Margaret (2011) How the civil service responded to our proposal for changing the pricing system for Scottish Water. Fraser of Allander Economic Commentary, 35 (2). pp. 71-76. ISSN 2046-5378
Cuthbert, Jim and Cuthbert, Margaret (2006) How the strategic review of charges 2002-06 casts a long shadow over future water charges in Scotland. Quarterly Economic Commentary, 30 (4). pp. 36-46. ISSN 0306-7866
Cuthbert, Jim and Cuthbert, Margaret (2005) A constructive critique of the treasury’s country and regional analysis of public expenditure. Quarterly Economic Commentary, 30 (3). pp. 47-55. ISSN 0306-7866
Cuthbert, Jim and Cuthbert, Margaret (2005) The wrong sort of rebate : the need to reform the UK budget adjustment. Quarterly Economic Commentary, 30 (2). pp. 45-52. ISSN 0306-7866
Dale, Richard S. and Johnson, Johnnie and Tang, Leilei (2005) Financial market can go mad: evidence of irrational behaviour during the South Sea Bubble. Economic History Review, 58 (2). pp. 233-271. ISSN 0013-0117
Dao, Daniel and Nguyen, Thang and Andrikopoulos, Panagiotis (2024) Herding dynamics and multidimensional uncertainty in equity crowdfunding : the impacts of information sources. Information & Management, 61 (1). 103889. ISSN 0378-7206
Darby, Julia (2014) Regional recovery in a diverse union. Fraser of Allander Economic Commentary, 37 (3). pp. 81-89. ISSN 2046-5378
Darby, Julia and Ferrett, Ben and Wooton, Ian (2014) Regional centrality and tax competition for FDI. Regional Science and Urban Economics, 49. pp. 84-92. ISSN 0166-0462
Darby, Julia and Phillips, Heather (2007) Assessing the impact of monetary tightening : a sectoral analysis of the UK and Scottish economies. Quarterly Economic Commentary, 31 (3). pp. 53-58. ISSN 0306-7866
Darby, Julia and Zhang, Hai and Zhang, Jinkai (2020) Institutional trading in volatile markets : evidence from Chinese stock markets. Pacific-Basin Finance Journal. 101484. ISSN 0927-538X
Davies, J.R. and Agyei-Ampomah, Samuel (2005) Volatility of investment trust returns. Journal of Business Finance and Accounting, 32 (5-6). pp. 1033-1062. ISSN 0306-686X
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
Davies, J.R. and Hillier, David J. and McColgan, Patrick (2005) Ownership structure, managerial behaviour and corporate value. Journal of Corporate Finance, 11 (4). pp. 645-660. ISSN 0929-1199
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
De Feo, Giuseppe and Hindriks, Jean (2014) Harmful competition in insurance markets. Journal of Economic Behaviour and Organization, 106. pp. 213-226. ISSN 0167-2681
De Feo, Giuseppe and Løland, Henriette Elisabeth Bauge (2012) Reforming the banks in the UK : an impact assessment of the draft bill and alternative capital requirements. Fraser of Allander Economic Commentary, 36 (2). pp. 83-91. ISSN 2046-5378
De Vito, Antonio and Pancotto, Livia and Perdichizzi, Salvatore and Reghezza, Alessio (2023) Don't go on holiday in August! : market reaction to an unexpected windfall tax on banks. Economics Letters, 233. 111407. ISSN 0165-1765
Dellepiane-Avellaneda, Sebastian and Hardiman, Niamh (2015) Fiscal politics in time : pathways to fiscal consolidation in Ireland, Greece, Britain, and Spain, 1980-2012. European Political Science Review, 7 (2). pp. 189-219. ISSN 1755-7739
Deng, Shounian and Fei, Chen and Fei, Weiyin and Mao, Xuerong (2023) Positivity-preserving truncated Euler–Maruyama method for generalised Ait-Sahalia-type interest model. BIT Numerical Mathematics, 63 (4). 59. ISSN 0006-3835
Desbordes, Rodolphe and Verardi, Vincenzo (2012) Refitting the Kuznets curve. Economic Letters, 116 (2). pp. 258-261. ISSN 0165-1765
Dickson, Alex and MacKenzie, Ian A. and Sekeris, Petros G. (2022) Non-linear revenue evaluation. Scottish Journal of Political Economy, 69 (5). pp. 487-505. ISSN 0036-9292
Dickson, Alex and Tonin, Simone (2021) An introduction to perfect and imperfect competition via bilateral oligopoly. Journal of Economics, 133 (2). pp. 103-128. ISSN 0931-8658
Dodd, Olga and Louca, Christodoulos and Paudyal, Krishna (2015) The determinants of foreign trading volume of stocks listed in multiple markets. Journal of Economics and Business, 79. 38–61. ISSN 0148-6195
Donbesuur, Francis and Zahoor, Nadia and Boso, Nathaniel (2022) International network formation, home market institutional support and post-entry performance of international new ventures. International Business Review, 31 (3). 101968. ISSN 0969-5931
Dorfman, J. and Koop, G.M. (2005) Current developments in productivity and efficiency measurement. Journal of Econometrics, 126 (2). pp. 233-240. ISSN 0304-4076
Dow, Sheila C. (1991) A finance policy for Scotland. Quarterly Economic Commentary, 17 (2). pp. 61-63. ISSN 0306-7866
Dowling, Michael and Cummins, Mark and Lucey, Brian M. (2016) Psychological barriers in oil futures markets. Energy Economics, 53. pp. 293-304. ISSN 0140-9883
Dozhdeva, Viktoriya (2018) Regulatory scope for culture-related support under European structural and investment funds : are we moving backwards? European Structural and Investment Funds Journal, 6 (2). pp. 156-168. ISSN 2196-8268
Draganidis, Sideris (2023) Jurisdictional arbitrage : combatting an inevitable by-product of cryptoasset regulation. Journal of Financial Regulation and Compliance, 31 (2). pp. 170-185. ISSN 1358-1988
Draper, P and Stevens, J (1984) Scottish investment trusts : prospect and retrospect. Quarterly Economic Commentary, 9 (3). pp. 73-71. ISSN 0306-7866
Draper, Paul (1984) Competition or control? The Green Paper on building societies. Quarterly Economic Commentary, 10 (1). pp. 56-59. ISSN 0306-7866
Draper, Paul (1989) Independence : the option for growth - a review. Quarterly Economic Commentary, 14 (4). pp. 66-68. ISSN 2046-5378
Draper, Paul (1990) The investment trust discount. Quarterly Economic Commentary, 15 (4). pp. 66-69. ISSN 2046-5378
Draper, Paul (1985) The new framework for investor protection : CMND 9432. Quarterly Economic Commentary, 10 (3). pp. 64-67. ISSN 0306-7866
Draper, Paul and Paudyal, Krishna (2008) Information asymmetry and bidders’ gains. Journal of Business Finance and Accounting, 35 (3-4). pp. 376-405. ISSN 0306-686X
Draper, Paul and Smith, Iain and Stewart, Bill (1985) Scottish financial institutions. Quarterly Economic Commentary, 11 (2). pp. 77-81. ISSN 0306-7866
Eden, Colin (1973) Tackling project profitability and cost estimating. Journal of the Institute of Cost and Management Accountants, 51 (10). pp. 449-452.
Eichler, Martin and Rufer, Rebekka and Wagner, Andrea (2014) Scotland’s international competitiveness within Western Europe. Fraser of Allander Economic Commentary, 37 (3). pp. 90-107. ISSN 2046-5378
Ekkayokkaya, Manapol and Holmes, Phil and Paudyal, Krishna (2009) Limited information and the sustainability of unlisted-target acquirers’ returns. Journal of Business Finance and Accounting, 36 (9-10). pp. 1201-1227. ISSN 0306-686X
Ekkayokkaya, Manapol and Paudyal, Krishna (2015) A trade-off in corporate diversification. Journal of Empirical Finance, 34. pp. 275-292. ISSN 0927-5398
Eom, Kyong Shik and Kang, Jangkoo and Kwon, Kyung Yoon (2017) PIN, adjusted PIN, and PSOS : difference of opinion in the Korean stock market. Asia-Pacific Journal of Financial Studies, 46 (3). pp. 463-490. ISSN 2041-6156
Eom, Kyong Shik and Kang, Jangkoo and Kwon, Kyung Yoon (2016) The best PIN model in the Korean stock market. Asian Review of Financial Research, 29 (3). pp. 425-436.
Esposito, Francesco P. and Cummins, Mark (2016) Multiple hypothesis testing of market risk forecasting models. Journal of Forecasting, 35 (5). pp. 381-399. ISSN 0277-6693
Ewerhart, Christian and Li, Sheng (2023) Imposing choice on the uninformed : the case of dynamic currency conversion. Journal of Banking and Finance, 154. 106917. ISSN 0378-4266
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
Farrington, John and Mackay, Tony (1987) Bus regulation in Scotland : a review of the first six months. Quarterly Economic Commentary, 13 (1). pp. 64-70. ISSN 2046-5378
Feng, Ling and Huang, Zhigang and Mao, Xuerong (2016) Mean percentage of returns for stock market linked savings accounts. Applied Mathematics and Computation, 273. pp. 1130-1147. ISSN 0096-3003
Feng, Yun and Huang, Binghua and Zhang, Hai (2019) Hedge fund seeding with fees-for-guarantee swaps. European Journal of Finance, 25 (1). pp. 16-34. ISSN 1351-847X
Fernandez, Carmen and Koop, Gary and Steel, Mark (2005) Alternative efficiency measures for multiple-output production. Journal of Econometrics, 126 (2). pp. 411-444. ISSN 0304-4076
Ferrett, Ben and Hoefele, Andreas and Wooton, Ian (2019) Does tax competition make mobile firms more footloose? Canadian Journal of Economics, 52 (1). pp. 379-402. ISSN 0008-4085
Ferrett, Ben and Wooton, Ian (2021) Targeting FDI. International Tax and Public Finance, 28 (2). pp. 366-385. ISSN 0927-5940
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
Fletcher, J. and Hillier, J. (2001) An examination of resampled portfolio efficiency. Financial Analysts Journal, 57 (5). pp. 66-74. ISSN 0015-198X
Fletcher, Jonathan (2010) Arbitrage and the evaluation of linear factor models in U.K. stock returns : the official publication of the Eastern Finance Association. Financial Review, 45 (2). pp. 449-468.
Fletcher, Jonathan (2018) Bayesian tests of global factor models. Journal of Empirical Finance, 48. pp. 279-289. ISSN 0927-5398
Fletcher, Jonathan (2007) Can asset pricing models price idiosyncratic risk in U.K. stock returns? Financial Review, 42 (4). pp. 507-535. ISSN 0732-8516
Fletcher, Jonathan (2017) Can short selling constraints explain the portfolio inefficiency of U.K. benchmark models? Advances in Investment Analysis and Portfolio Management. (In Press)
Fletcher, Jonathan (2011) Do optimal diversification strategies outperform the 1/N strategy in U.K. stock returns. International Review of Financial Analysis, 20 (5). 375–385. ISSN 1057-5219
Fletcher, Jonathan (2017) Exploring the benefits of using stock characteristics in optimal portfolio strategies. European Journal of Finance, 23 (3). pp. 192-210. ISSN 1351-847X
Fletcher, Jonathan (2021) Exploring the diversification benefits of US international equity closed-end funds. Financial Markets and Portfolio Management, 36 (3). pp. 297-320. ISSN 1555-4961
Fletcher, Jonathan (2016) Exploring the persistence of U.K. equity closed-end fund performance. Advances in Investment Analysis and Portfolio Management, 7. pp. 185-213.
Fletcher, Jonathan (2019) How many factors are important in U.K. stock returns? European Journal of Finance, 25 (13). pp. 1234-1249. ISSN 1351-847X
Fletcher, Jonathan (2019) Model comparison tests of linear factor models in U.K. stock returns. Finance Research Letters, 28. pp. 281-291. ISSN 1544-6123
Fletcher, Jonathan (2009) Risk reduction and mean-variance analysis : an empirical investigation. Journal of Business Finance and Accounting, 36 (7-8). pp. 951-971. ISSN 0306-686X
Fletcher, Jonathan (2018) An empirical examination of the diversification benefits of U.K. international equity closed-end funds. International Review of Financial Analysis, 55. pp. 23-34. ISSN 1057-5219
Fletcher, Jonathan (2017) An empirical examination of the incremental contribution of stock characteristics in U.K. stock returns. International Journal of Financial Studies, 5 (4). ISSN 2227-7072
Fletcher, Jonathan (2011) An examination of dynamic trading strategies in U.K. and U.S. stock returns. Journal of Business Finance and Accounting, 38 (9-10). pp. 1290-1310. ISSN 0306-686X
Fletcher, Jonathan (2024) An examination of linear factor models in UK stock returns in the presence of dynamic trading. Review of Quantitative Finance and Accounting, 63 (3). pp. 1121-1147. ISSN 0924-865X
Fletcher, Jonathan (2018) An examination of the benefits of factor investing in U.K. stock returns. International Journal of Economics and Finance, 10 (4). pp. 154-170. ISSN 1916-9728
Fletcher, Jonathan and Forbes, David (2002) An exploration on the persistence of UK unit trust performance. Journal of Empirical Finance, 9 (5). pp. 475-493. ISSN 0927-5398
Fletcher, Jonathan and Forbes, David N. (2004) Performance evaluation of UK unit trusts within the stochastic discount framework. Journal of Financial Research, 27 (2). pp. 289-306. ISSN 0270-2592
Fletcher, Jonathan and Kihanda, Joseph M. (2005) An examination of alternative CAPM based models in UK stock returns. Journal of Banking and Finance, 29 (12). pp. 2995-3014. ISSN 0378-4266
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
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, Jonathan and Ntozi-Obwale, Patricia (2008) Arbitrage bounds and U.K. unit trust performance. Journal of Business Finance and Accounting, 35 (3-4). pp. 580-600. ISSN 0306-686X
Fletcher, Jonathan and Ntozi-Obwale, Patricia (2009) Exploring the conditional performance of U.K. unit trusts. Journal of Financial Services Research, 36 (1). pp. 21-44. ISSN 0920-8550
Foreman-Peck, James and Smith, Julia A. (2004) Business and social mobility into the British elite 1870-1914. Journal of European Economic History, 33 (3). pp. 485-518. ISSN 0391-5115
Francois, J.F. and Wooton, I. (2001) Trade in international transport service: the role of competition. Review of International Economics, 9 (2). pp. 249-261. ISSN 0965-7576
G Kemp, Alex and Reid, Gavin (1971) The random walk hypothesis and the recent behaviour of equity prices in Britain. Economica, 38 (149). pp. 28-51. ISSN 1468-0335
Gallagher, J.D. (2014) The economic case for union. Fraser of Allander Economic Commentary, 37 (3). pp. 67-79. ISSN 2046-5378
Gambacorta, Leonardo and Pancotto, Livia and Reghezza, Alessio and Spaggiari, Martina (2023) Gender diversity in bank boardrooms helps to combat climate change. SUERF Policy Brief.
Gan, Liu and Xia, Xin and Xu, Wenyang and Zhang, Hai (2024) Convertible bond maturity and debt overhang. International Review of Financial Analysis, 95 (Pt. B). 103410. ISSN 1057-5219
Gan, Liu and Xia, Xin and Zhang, Hai (2022) Debt structure and debt overhang. Journal of Corporate Finance, 74. pp. 1-46. 102200. ISSN 0929-1199
Gehrsitz, Markus and Saffer, Henry and Grossman, Michael (2021) The effect of changes in alcohol tax differentials on alcohol consumption. Journal of Public Economics, 204. 104520. ISSN 0047-2727
Gemayel, Roland and Franus, Tatiana and Bowden, James (2023) Price discovery between Bitcoin spot markets and exchange traded products. Economics Letters, 228. 111152. ISSN 0165-1765
Georgakopoulos, Georgios and Thomson, Ian (2005) Organic salmon farming: risk perceptions, decision heuristics, and the absence of environmental accounting. Accounting Forum, 29 (1). pp. 49-75. ISSN 0155-9982
Ghosh, Dipak and Levin, Eric J. and MacMillan, Peter and Wright, Robert E. (2004) Gold as an inflation hedge? Studies in Economics and Finance, 22 (1). pp. 1-25. ISSN 1086-7376
Gogolin, Fabian and Cummins, Mark and Dowling, Michael (2018) The value of director reputation : evidence from outside director appointments. Finance Research Letters, 27. pp. 266-272. ISSN 1544-6123
Gordon, Jillian (2014) A Stage Model of Venture Philanthropy. Venture Capital. ISSN 1369-1066 (In Press)
Ha, Youngmin and Zhang, Hai (2020) Algorithmic trading for online portfolio selection under limited market liquidity. European Journal of Operational Research, 286 (3). pp. 1033-1051. ISSN 0377-2217
Ha, Yu Sung and Kang, Jangkoo and Kwon, Kyung Yoon (2024) CEO cultural heritage and R&D expenditures. International Journal of Finance and Economics. ISSN 1099-1158
Hamarat, Çağlar and Broby, Daniel (2022) Regulatory constraint and small business lending : do innovative peer-to-peer lenders have an advantage? Financial Innovation, 8 (1). 73.
Hamill, J. (2010) e-Marketing: Ten Years On. Journal of Marketing Management. ISSN 0267-257X (In Press)
Hass, Lars Helge and Tarsalewska, Monika and Zhan, Feng (2016) Equity incentives and corporate fraud in China. Journal of Business Ethics, 138 (4). pp. 723-742. ISSN 0167-4544
Hass, Lars Helge and Vergauwe, Skrålan and Zhang, Zhifang (2017) State-ownership and bank loan contracting : evidence from corporate fraud. European Journal of Finance, 25 (6). pp. 550-567. ISSN 1351-847X
Haufler, Andreas and Wooton, Ian (2021) Multinational banks in regulated markets : is financial integration desirable? Canadian Journal of Economics, 54 (4). pp. 1811-1841. ISSN 0008-4085
Hauzenberger, Niko and Huber, Florian and Klieber, Karin and Marcellino, Massimilano (2024) Bayesian neural networks for macroeconomic analysis. Journal of Econometrics. 105843. ISSN 0304-4076
Hauzenberger, Niko and Pfarrhofer, Michael and Stelzer, Anna (2021) On the effectiveness of the European Central Bank's conventional and unconventional policies under uncertainty. Journal of Economic Behaviour and Organization, 191. pp. 822-845. ISSN 0167-2681
Hill, P. and Hillier, D.J. (2009) Market feedback, investment constraints and managerial behavior. European Financial Management, 15 (3). pp. 584-605. ISSN 1354-7798
Hillier, D.J. (2010) Discussion of block buying and choice of issue method in UK seasoned equity offers. Journal of Business Finance and Accounting, 37 (3). pp. 449-455. ISSN 0306-686X
Hillier, D.J. and Hillier, J. and Khaw, K. (2007) Liquidity commonality and the intervalling effect. Accounting and Finance, 47 (3). pp. 495-512. ISSN 0810-5391
Hillier, D.J. and Hodgson, Allan and Lhaopadchan, S. and Stevenson-Clarke, P. (2008) Accounting window dressing and template regulation: A case study of the Australian credit union industry. Journal of Business Ethics, 83 (3). pp. 579-593. ISSN 0167-4544
Hillier, D.J. and McColgan, P. (2009) Firm performance and managerial succession in family managed firms. Journal of Business Finance and Accounting, 36 (3-4). pp. 461-484. ISSN 0306-686X
Hillier, David and Korczak, Adriana and Korczak, Piotr (2015) The impact of personal attributes on corporate insider trading. Journal of Corporate Finance, 30. pp. 150-167. ISSN 0929-1199
Hillier, David and Loncan, Tiago (2019) Political uncertainty and stock returns : evidence from the Brazilian political crisis. Pacific-Basin Finance Journal, 54. pp. 1-12. ISSN 0927-538X
Hillier, David and Loncan, Tiago (2019) Stock market integration, cost of equity capital and corporate investment : evidence from Brazil. European Financial Management, 25 (1). pp. 181-206. ISSN 1354-7798
Hillier, David and Martinez, Beatriz and Patel, Pankaj C. and Pindado, Julio and Requejo, Ignacio (2018) Pound of flesh? Debt contract strictness and family firms. Entrepreneurship Theory and Practice, 42 (2). pp. 259-282. ISSN 1042-2587
Hillier, David and McColgan, Patrick (2008) An analysis of majority owner-managed companies in the UK. Accounting and Finance, 48 (4). pp. 603-623. ISSN 0810-5391
Hillier, David and Pindado, Julio and de Queiroz, Valdoceu and de la Torre, Chabela (2010) The impact of country-level corporate governance on research and development. Journal of International Business Studies, 42 (1). pp. 76-98. ISSN 0047-2506
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
Hollifield, B. and Koop, G.M. and Li, K. (2003) A Bayesian analysis of a variance decomposition for stock returns. Journal of Empirical Finance, 10 (5). pp. 583-601. ISSN 0927-5398
Hood, N. and Young, S. (1981) Government policy and inward investment attraction in Scotland. Quarterly Economic Commentary, 6 (4). pp. 39-47. ISSN 0306-7866
Hopkins, Paul and Richmond, Kenny (2014) The role of sales and acquisitions in company growth in Scotland. Fraser of Allander Economic Commentary, 38 (2). pp. 96-107. ISSN 2046-5378
Hoque, Hafiz and Andriosopoulos, Dimitris and Andriosopoulos, Kostas and Douady, Raphael (2015) Bank regulation, risk and return : evidence from the credit and sovereign debt crisis. Journal of Banking and Finance, 50. pp. 455-474. ISSN 0378-4266
Howell, S. D. and Duck, P.W. and Hazel, A. and Johnson, P.V. and Pinto, Helena and Strbac, G. and Proudlove, N. and Black, Mary (2011) A partial differential equation system for modelling stochastic storage in physical systems with applications to wind power generation. IMA Journal of Management Mathematics, 22 (3). pp. 231-252.
Hsu, Yu-Lin and Reid, Gavin C. (2021) Stated preferences for the adoption of IFRS and UK GAAP : case study vignettes. Asian Journal of Economics, Business and Accounting, 21 (4). pp. 20-30. ISSN 2456-639X
Hsu, Yu-Lin and Tang, Leilei (2022) Effects of investor sentiment and country governance on unexpected conditional volatility during the COVID-19 pandemic : evidence from global stock markets. International Review of Financial Analysis, 82. 102186. ISSN 1057-5219
Hsu, Yu-Lin and Yang, Ya-Chih (2022) Corporate governance and financial reporting quality during the COVID-19 pandemic. Finance Research Letters, 47 (Part B). 102778. ISSN 1544-6123
Huq, M.M. (2004) Building technological capability in the context of globalization: opportunities and challenges facing developing countries. International Journal of Technology Management and Sustainable Development, 3 (3). pp. 155-172. ISSN 1474-2748
Huq, M.M. and Tribe, M. (2004) Economic development in a changing globalized economy. Journal of International Development, 16 (6). pp. 911-923. ISSN 0954-1748
Husillos, Javier (2007) Una aproximación desde la teoría de la legitimidad a la información medioambiental revelada por las empresas españolas cotizadas. Spanish Journal of Finance and Accounting, 133. pp. 97-122. ISSN 0210-2412
Husillos, Javier and Alvarez-Gil, Maria Jose (2008) A stakeholder theory approach to environmental disclosures by small and medium enterprises (SMEs). Spanish Accounting Review, 11 (1). pp. 125-156. ISSN 1138-4891
Huxham, Chris and Grant, Virginia (2008) Exercising Influence: A Collaborative Art. The Partner. pp. 22-25.
Ireland, John (2001) The UK economy [May 2001]. Quarterly Economic Commentary, 26 (2). pp. 12-14. ISSN 0306-7866
Ireland, John (2001) The world economy [May 2001]. Quarterly Economic Commentary, 26 (2). pp. 8-11. ISSN 0306-7866
Jeong, Giho and Kang, Jangkoo and Kwon, Kyung Yoon (2018) Liquidity skewness premium. North American Journal of Economics and Finance, 46. pp. 130-150. ISSN 1062-9408
Jeris, Saeed Sazzad (2021) Factors influencing bank profitability in a developing economy : panel evidence from Bangladesh. International Journal of Asian Business and Information Management, 12 (3). pp. 333-346. ISSN 1947-9646
Jeris, Saeed Sazzad and Frances, Shahriar and Akter, Mst Taskia and Alharthi, Majed (2023) Does economic policy uncertainty affect insurance premiums? : Fresh empirical evidence. Heliyon, 9 (5). e16122. ISSN 2405-8440
Jeris, Saeed Sazzad and Ibrahim, Omar Bari Md. and Chowdhury, Ferdous Ahmed and Begum, Humaira (2024) Transparency in central bank and credit expansion : empirical evidence from Asian countries. Journal of Central Banking Theory and Practice, 13 (3). pp. 271-289. ISSN 2336-9205
Johnson, Johnnie and Jones, Owen and Tang, Leilei (2006) Exploring decision makers use of price information in an efficient speculative market. Management Science, 52 (6). pp. 897-908. ISSN 0025-1909
Johnstone, Stewart and Wilkinson, Adrian (2018) The potential of labour-management partnership : a longitudinal case analysis. British Journal of Management, 29 (3). pp. 554-570. ISSN 1045-3172
Jung, Michael and Kwon, Kyung Yoon and Park, Hyungshin (2024) Does high-frequency trading cause stock prices to deviate from fundamental values? Accounting and Business Research, 54 (5). pp. 580-613. ISSN 0001-4788
Kang, Jangkoo and Kwon, Kyung Yoon (2021) Volatility-managed commodity futures portfolios. Journal of Futures Markets, 41 (2). pp. 159-178. ISSN 0270-7314
Kang, Jangkoo and Kwon, Kyung Yoon and Kim, Wooyeon (2020) Flow toxicity of high frequency trading and its impact on price volatility : evidence from the KOSPI 200 futures market. Journal of Futures Markets, 40 (2). pp. 164-191. ISSN 0270-7314
Kearney, Fearghal and Cummins, Mark and Murphy, Finbarr (2018) Forecasting implied volatility in foreign exchange markets : a functional time series approach. European Journal of Finance, 24 (1). pp. 1-18. ISSN 1351-847X
Kim, Kirak and Luu, Ellie and Xu, Fangming (2024) Do institutional investors process and act on information? : Evidence from M&A targets. Review of Corporate Finance Studies. ISSN 2046-9136
King, Timothy and Loncan, Tiago and Khan, Zaheer (2021) Investment, leverage and political risk : evidence from project-level FDI. Journal of Corporate Finance, 67. 101873. ISSN 0929-1199
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
Koop, Gary and Korobilis, Dimitris (2016) Model uncertainty in panel vector autoregressive models. European Economic Review, 81. pp. 115-131. ISSN 0014-2921
Koop, Gary and Korobilis, Dimitris (2014) A new index of financial conditions. European Economic Review, 71. pp. 101-116. ISSN 0014-2921
Koop, Gary and Poirier, Dale J. (2004) Bayesian variants of some classical semiparametric regression techniques. Journal of Econometrics, 123 (2). pp. 259-282. ISSN 0304-4076
Koop, Gary and Poirier, Dale J. and Tobias, Justin (2005) Semiparametric Bayesian inference in multiple equation models. Journal of Applied Econometrics, 20 (6). pp. 723-748. ISSN 0883-7252
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 McColgan, Patrick and Neupane, Biwesh (2022) Orderbook demand for corporate bonds. European Financial Management, 29 (1). pp. 247-287. ISSN 1354-7798
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
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
Kwabi, Frank O. and Thapa, Chandra and Paudyal, Krishna and Adegbite, Emmnuel (2017) Biases in international portfolio allocation and investor protection standards. International Review of Financial Analysis, 53. pp. 66-79. ISSN 1057-5219
Kwabi, Frank O. and Thapa, Chandra and Paudyal, Krishna and Neupane, Suman (2020) Suboptimal international equity portfolio diversification and stock market development. Review of Quantitative Finance and Accounting, 54. 389–412. ISSN 0924-865X
Kwon, Kyung Yoon and Molyneux, Philip and Pancotto, Livia and Reghezza, Alessio (2023) Banks and FinTech acquisitions. Journal of Financial Services Research. ISSN 0920-8550
Learmonth, David and Munro, Alison and Swales, J. Kim (2003) Multi-sectoral cluster modelling: the evaluation of Scottish enterprise cluster policy. European Planning Studies, 11 (5). pp. 567-584. ISSN 0965-4313
Lenhart, Otto (2021) The effects of paid family leave on food insecurity-evidence from California. Review of Economics of the Household. ISSN 1573-7152
Levin, E.J. and Wright, R.E. (2006) Downwards sloping demand curves for stock? Studies in Economics and Finance, 23 (1). pp. 51-74. ISSN 1086-7376
Levin, E.J. and Wright, R.E. (2002) Estimating the price elasticity of demand in the London Stock Market. European Journal of Finance, 7 (1). pp. 1-16. ISSN 1351-847X
Levin, E.J. and Wright, R.E. (2004) Estimating the profit markup component of the bid-ask spread. Quarterly Review of Economics and Finance, 44 (1). pp. 1-19. ISSN 1062-9769
Levin, E.J. and Wright, R.E. (2004) Regional taxation and retailing: the economic geography of the Internet. International Review of Retail, Distribution and Consumer Research, 14 (3). pp. 337-356. ISSN 0959-3969
Li, Qiuying and Wu, Yue and Ojiako, Udechukwu and Marshall, Alasdair and Chipulu, Maxwell (2014) Enterprise risk management and firm value within China's insurance industry. Acta Commercii, 14 (1). a198. ISSN 1684-1999
Li, Yin and Mao, Xuerong and Song, Yazhi and Tao, Jian (2022) Optimal investment and proportional reinsurance strategy under the mean-reverting Ornstein-Uhlenbeck process and net profit condition. Journal of Industrial and Management Optimization, 18 (1). pp. 75-93. ISSN 1547-5816
Liu, Bin and Shen, Lijuan and Xu, Jianyu and Zhao, Xiujie (2020) A complimentary extended warranty : profit analysis and pricing strategy. International Journal of Production Economics, 229. 107860. ISSN 0925-5273
Loncan, Tiago (2020) Foreign institutional ownership and corporate cash holdings : evidence from emerging economies. International Review of Financial Analysis, 71 (Octobe). 101295. ISSN 1057-5219
Loncan, Tiago (2021) The effects of project scale on FDI location choices : evidence from emerging economies. Management International Review, 61 (2). pp. 157-205. ISSN 0938-8249
Loncan, Tiago Rodrigues and Caldeira, João Frois (2015) Foreign portfolio capital flows and stock returns : a study of Brazilian listed firms. Estudos Economicos, 45 (4). pp. 859-895. ISSN 1980-5357
Love, James and Stevens, James (1988) RSD : a comment. Quarterly Economic Commentary, 13 (4). pp. 48-52. ISSN 2046-5378
Love, Jim and Ashcroft, Brian and Brooks, Richard and Dourmashkin, Neil and Draper, Paul and Dunlop, Stewart and Lockyer, Cliff and Magee, Lesley and Malloy, Eleanor and McNicoll, Iain and McRory, Eric and Monaghan, Claire and McGregor, Peter and Perman, Roger and Stevens, Jim and Swales, Kim (1990) The Scottish economy [June 1990]. Quarterly Economic Commentary, 15 (4). pp. 13-60. ISSN 0306-7866
Luu, Ellie and Rubio, Silvina (2024) Millennial managers. Corporate Governance: An International Review, 32 (4). pp. 732-755. ISSN 1467-8683
Ma, Jie and Wooton, Ian (2020) Market size, product differentiation and bidding for new varieties. International Tax and Public Finance, 27 (2). pp. 257-279. ISSN 0927-5940
Malloy, Eleanor (2014) Review of Scottish business surveys [March 2014]. Fraser of Allander Economic Commentary, 37 (3). pp. 36-40. ISSN 2046-5378
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 Tang, L. and Milne, Alistair (2010) Variable reduction, sample selection bias and bank retail credit scoring. Journal of Empirical Finance, 17 (3). 501–512.
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.
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
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
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
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
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
Mason, C.M. and Harrison, R.T. (2002) Barriers to investment in the informal venture capital sector. Entrepreneurship and Regional Development, 14 (3). pp. 271-287. ISSN 0898-5626
Mason, Colin and Pierrakis, Yannis (2013) Venture capital, the regions and public policy : The United Kingdom since the post-2000 technology crash. Regional Studies. ISSN 0034-3404
McCullagh, Orla and Cummins, Mark and Killian, Sheila (2022) Decoupling VaR and regulatory capital : an examination of practitioners' experience of market risk regulation. Journal of Banking Regulation. ISSN 1750-2071
McCullagh, Orla and Cummins, Mark and Killian, Sheila (2023) The fundamental review of the trading book : implications for portfolio and risk management in the banking sector. Journal of Money, Credit and Banking, 55 (7). pp. 1785-1816. ISSN 0022-2879
McGarvey, Neil and Hood, J. (2002) Managing the risks of public - private partnerships in Scottish local government. Policy Studies, 23 (1). pp. 21-35. ISSN 0144-2872
McGilvray, J. W. and Simpson, D. R. F. (1981) Memorandum to the Monopolies and Mergers Commission. Quarterly Economic Commentary, 7 (1). pp. 38-53. ISSN 0306-7866
McGregor, P.G. and Swales, J.K. and Turner, K. and Yin, Y. (2005) Incorporating sustainability indicators into a computable general equilibrium model of the Scottish economy. Economic Systems Research, 17 (2). pp. 103-140. ISSN 0953-5314
Midwinter, Arthur and Ashcroft, Brian (2005) Output measurement in the Scottish budget. Quarterly Economic Commentary, 30 (1). pp. 12-19. ISSN 0306-7866
Mitchell, Falconer and Reid, Gavin and Terry, Nicholos (1995) Post investment demand for accounting information by venture capitalists. Accounting and Business Research, 25 (99). pp. 186-196. ISSN 0001-4788
Molyneux, Philip and Pancotto, Livia and Reghezza, Alessio (2020) A new measure for gauging the riskiness of European banks' sovereign bond portfolios. Finance Research Letters. 101887. ISSN 1544-6123
Mukundhan, K. V. and Sahasranamam, Sreevas and Cordeiro, James J. (2019) Corporate investments in tax havens : evidence from India. Asian Business & Management, 18. pp. 360-388. ISSN 1476-9328
Natpraypant, Vorakanlaya and Arshed, Norin and Power, David (2022) The introduction of anti-tax evasion legislation in Thailand : an institutional theoretical perspective. Accounting Forum. pp. 1-27. ISSN 0155-9982
Neupane, Biwesh and Thapa, Chandra and Marshall, Andrew and Neupane, Suman (2021) Mimicking insider trades. Journal of Corporate Finance, 68. 101940. ISSN 0929-1199
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
Neupane, Suman and Fan, Zhebin and Yanes Sanchez, Daniel and Neupane, Biwesh (2024) Diverse investor reactions to the COVID-19 Pandemic : insights from an emerging market. Journal of International Financial Markets Institutions and Money, 93. 102000. ISSN 1042-4431
Neupane, Suman and Neupane, Biwesh and Paudyal, Krishna and Thapa, Chandra (2016) Domestic and foreign institutional investors' investment in IPOs. Pacific-Basin Finance Journal, 39. pp. 197-210. ISSN 0927-538X
Neupane, Suman and Paudyal, Krishna and Thapa, Chandra (2014) Firm quality or market sentiment : what matters more for IPO investors? Journal of Banking and Finance, 44. pp. 207-218. ISSN 0378-4266
Neupane, Suman and Thapa, Chandra (2013) Underwriter reputation and the underwriter–investor relationship in IPO markets. Journal of International Financial Markets Institutions and Money, 24. pp. 105-126. ISSN 1042-4431
Neupane, Suman and Thapa, Chandra and Vithanage, Kulunu (2023) Context-specific experience and institutional investors' performance. Journal of Banking and Finance, 149. 106786. ISSN 0378-4266
Nguyen, Thang and Cai, Charlie X. and McColgan, Patrick (2017) How firms manage their cash flows : an examination of diversification's effect. Review of Quantitative Finance and Accounting, 48. 701–724. ISSN 0924-865X
Ntozi-Obwale, Patricia and Fletcher, Jonathan and Power, David (2009) Conditional performance in different states of the economy: evidence from U.K. unit trusts. Journal of Financial Transformation, 24. pp. 155-161. ISSN 1755-361X
Obokoh, Lawrence Ogechukwu and Monday, James Unam and Ojiako, Udechukwu (2016) Microfinance banks and small and medium sized enterprises access to finance : the Nigerian experience. Banks and Bank Systems, 11 (4). pp. 111-121. ISSN 1991-7074
Oswald, Andrew J. (1976) An analysis of inflation in Scotland and the UK. Quarterly Economic Commentary, 1 (3). pp. 17-41. ISSN 0306-7866
Pacione, Michael (2011) Local money - a response to the globalisation of capitalism? Quaestiones Geographicae, 30 (4). pp. 9-19.
Pancotto, Livia and ap Gwilym, Owain and Molyneux, Philip (2023) Deal! Market reactions to the agreement on the EU Covid-19 recovery fund. Journal of Financial Stability, 67. 101157. ISSN 1572-3089
Pancotto, Livia and ap Gwilym, Owain and Williams, Jonathan (2019) The European Bank Recovery and Resolution Directive : a market assessment. Journal of Financial Stability, 44. 100689. ISSN 1572-3089
Pancotto, Livia and ap Gwilym, Owain and Williams, Jonathan (2019) Market reactions to the implementation of the Banking Union in Europe. European Journal of Finance, 26 (7-8). pp. 640-665. ISSN 1351-847X
Pancotto, Livia and ap Gwilym, Owain and Williams, Jonathan (2024) The evolution and determinants of the non-performing loan burden in Italian banking. Pacific-Basin Finance Journal, 84. 102306. ISSN 0927-538X
Parker, Rachel and Cox, Stephen and Thompson, Paul (2014) How technological change affects power relations in global markets : remote developers in the console and mobile games industry. Environment and Planning A, 46 (1). 168–185. ISSN 0308-518X
Paudyal, Krishna and Deesomsak, R and Pescetto, G (2009) Debt maturity structure and the 1997 Asian financial crisis. Journal of Multinational Financial Management, 19 (1). pp. 26-42.
Paudyal, Krishna and Thapa, Chandra and Koirala, Santosh and Aldhawyan, Sulaiman (2021) Economic policy uncertainty and cross-border mergers and acquisitions. Journal of Financial Stability, 56. 100926. ISSN 1572-3089
Phan, Anh Dang Bao and Dao, Daniel and Nguyen, Loan Thi Quynh (2024) Unleashing innovation under sanctions : the catalyst of national culture. International Journal of Finance and Economics. ISSN 1099-1158
Pierce, Aileen and Weetman, Pauline (2002) Measurement of de facto harmonisation: implications of non-disclosure for research planning and interpretation. Accounting and Business Research, 32 (4). pp. 259-273. ISSN 0001-4788
Pinto, H. and Howell, S. and Paxson, D. (2009) Modelling the number of customers as a birth and death process. European Journal of Finance, 15 (2). pp. 105-118. ISSN 1351-847X
Pinto, Helena and Paxson, Dean (2005) Rivalry under price and quantity competition. Review of Financial Economics, 14 (3-4). pp. 209-224. ISSN 1873-5924
Pornanong, B. and Lhaopadchan, S. and Hillier, D.J. (2010) Institutional shareholder activism and limited investor attention. Review of Behavioral Finance, 2 (2). pp. 106-125.
Power, Bernadette and Reid, Gavin (2013) Organisational change and performance in long-lived small firms : a real options approach. European Journal of Finance, 19 (7-8). pp. 791-809. ISSN 1351-847X
Ram, Monder and Carter, Sara (2003) Paving professional futures: ethnic minority accountants in the United Kingdom. International Small Business Journal, 21 (1). pp. 55-71. ISSN 0266-2426
Rao, Sandeep (2019) The philosophical paradigm of financial market contagion research. International Journal of Management Concepts and Philosophy, 12 (3). pp. 278-295. ISSN 1478-1484
Rao, Sandeep and Koirala, Santosh and Thapa, Chandra and Neupane, Suman (2021) When rain matters! Investments and value relevance. Journal of Corporate Finance. 101827. ISSN 0929-1199
Rapach, Seonaid and Riccardi, Annalisa and Liu, Bin and Bowden, James (2024) A taxonomy of earth observation data for sustainable finance. Journal of Climate Finance, 6. 100029. ISSN 2949-7280
Reid, G.C. and Smith, J.A. (2004) Investor and investee conduct in the risk appraisal of high technology new ventures in the UK. Problemy Teorii i Praktiki Upravleniya (Problems of Management Theory and Practice), 1. pp. 48-56. ISSN 0234-4505
Reid, Gavin (1996) Financial structure and the growing small firm : theoretical underpinning and current evidence. Small Business Economics, 8 (1). pp. 1-7. ISSN 0921-898X
Reid, Gavin (1971) Some theoretical properties of share price time series. Bulletin of Economic Research, 23 (2). pp. 106-112. ISSN 0307-3378
Reid, Gavin and Mitchell, Falconer and Terry, Nicholas (1997) Venture capital supply and accounting information system development. Entrepreneurship Theory and Practice, 21 (4). pp. 45-62. ISSN 1042-2587
Reid, Gavin and Terry, N.G. and Smith, Julia (1997) Risk management in venture capital investor-investee relations. European Journal of Finance, 3 (1). pp. 27-47. ISSN 1351-847X
Reid, Gavin and Xu, Zhibin (2012) Generalising Gibrat : using Chinese evidence founded on field-work. Small Business Economics, 39 (4). pp. 1017-1028. ISSN 0921-898X
Reid, Gavin C and Smith, Julia A and Hsu, Yu-Lin (2021) Choices of financial reporting regimes and techniques and underlying decision-making processes : a case study analysis of a port authority. National Accounting Review, 3 (2). pp. 137-151. ISSN 2689-3010
Reid, Gavin C. and Smith, Julia A. (2003) Crystal Clearance: EU price transparency. Financial Management, April. pp. 26-27. ISSN 1471-9185
Reid, Gavin C. and Smith, Julia A. (2006) Investment strategy. Financial Management, February. pp. 27-28. ISSN 1471-9185
Reid, Gavin C. and Smith, Julia A. (2003) Post-investment performance appraisal: the impact of venture capital investment on small firm performance. Journal of Private Equity, 7 (1). pp. 36-49. ISSN 1096-5572
Reid, Gavin C. and Smith, Julia A. (2003) Venture capital and risk in high-technology enterprises. International Journal of Business and Economics, 2 (3). pp. 227-244. ISSN 1607-0704
Reid, Gavin C. and Smith, Julia A. (2004) When our chip comes in ... how do venture capitalists make informed decisions when appraising investments in high-tech firms whose inventions are still in the early stages of development? Financial Management, May. pp. 30-32. ISSN 1471-9185
Reid, Gavin C. and Smith, Julia A. (2002) The bigger picture: feature on information management systems. Financial Management, January. pp. 24-26. ISSN 1471-9185
Rinaldi, Alberto and Spadavecchia, Anna (2021) The banking-industry relationship in Italy : large national banks and small local banks compared, 1913-1936. Business History, 63 (6). pp. 988-1006. ISSN 0007-6791
Rosati, Pierangelo and Cummins, Mark and Deeney, Peter and Gogolin, Fabian and van der Werff, Lisa and Lynn, Theo (2017) The effect of data breach announcements beyond the stock price : empirical evidence on market activity. International Review of Financial Analysis, 49. pp. 146-154. ISSN 1057-5219
Rosati, Pierangelo and Deeney, Peter and Cummins, Mark and van der Werff, Lisa and Lynn, Theo (2019) Social media and stock price reaction to data breach announcements : evidence from US listed companies. Research in International Business and Finance, 47. pp. 458-469. ISSN 0275-5319
Rosati, Pierangelo and Fox, Grace and Cummins, Mark and Lynn, Theo (2022) Perceived risk as a determinant of propensity to adopt account information services under the EU Payment Services Directive 2. Journal of Theoretical and Applied Electronic Commerce Research, 17 (2). pp. 493-506. ISSN 0718-1876
Rothlisberger, John D and Lodge, David M and Cooke, Roger M and Finnoff, David C (2010) Future declines of the binational Laurentian Great Lakes fisheries : the importance of environmental and cultural change. Frontiers in Ecology and the Environment, 8 (5). pp. 239-244.
Salisu, Afees A. and Akanni, Lateef O. (2020) Constructing a global fear index for the COVID-19 pandemic. Emerging Markets Finance and Trade, 56 (10). pp. 2310-2331. ISSN 1540-496X
Scott, James (1993) The role of the Scottish financial sector [Mowlem Lecture, 31 March]. Quarterly Economic Commentary, 18 (4). pp. 52-55. ISSN 0306-7866
Scouller, John (1985) Leveraged buyouts : the new game in the City. Quarterly Economic Commentary, 11 (2). pp. 74-76. ISSN 0306-7866
Shaw, Jack (1989) Scotland's expanding financial horizons. Quarterly Economic Commentary, 14 (3). pp. 54-58. ISSN 2046-5378
Shen, Shi-Wei and Nguyen, Tri-Dung and Ojiako, Udechukwu (2013) Modelling the predictive performance of credit scoring. Acta Commercii, 13 (1). a189. ISSN 1684-1999
Shenkin, Mark and Coulson, Andrea (2007) Accountability through activism: learning from Bourdieu. Accounting, Auditing and Accountability Journal, 20 (2). 297 -317. ISSN 0951-3574
Smith, Julia A. and Morris, Jonathan and Ezzamel, Mahmoud (2005) Organisational change, outsourcing and the impact of management accounting. British Accounting Review, 37 (4). pp. 415-441. ISSN 0890-8389
Spence, Crawford and Carter, Chris and Belal, Ataur and Husillos, Javier and Drambin, Claire and Archel, Pablo (2016) Tracking habitus across a transnational professional field. Work, Employment and Society, 30 (1). pp. 3-20. ISSN 0950-0170
Stevens, Jim (1989) The dual city and the Hughes plan : a review of Keating's "The City That Refused To Die" and the Scottish Enterprise White Paper. Quarterly Economic Commentary, 14 (3). pp. 79-85. ISSN 2046-5378
Stewart, Bill (1984) Full banking status for TSB? Quarterly Economic Commentary, 10 (1). pp. 63-65. ISSN 0306-7866
Stewart, Bill (1986) The TSB after incorporation. Quarterly Economic Commentary, 12 (2). pp. 80-82. ISSN 0306-7866
Stewart, W J (1985) The Trustee Savings Bank - the ownership question. Quarterly Economic Commentary, 10 (3). pp. 70-71. ISSN 0306-7866
Stewart, William J. (1979) The European Monetary System. Quarterly Economic Commentary, 4 (3). pp. 39-45. ISSN 0306-7866
Sun, Manli and Weetman, Pauline and Xiao, Jason Z. (2004) The role of political influence in the coexistence of accounting standards and a uniform accounting system: developments in China. Abacus, 40 (2). pp. 193-218. ISSN 0001-3072
Svensson, Göran and Wagner, Beverly (2015) Implementing and managing economic, social and environmental efforts of business sustainability : propositions for measurement and structural models. Management of Environmental Quality, 26 (2). pp. 195-213. ISSN 1477-7835
Swinney, John (2014) The economic case for an independent Scotland. Fraser of Allander Economic Commentary, 37 (3). pp. 52-66. ISSN 2046-5378
Sydserff, Robin and Weetman, Pauline (2002) Developments in content analysis: a transitivity index and scores. Accounting, Auditing and Accountability Journal, 15 (4). pp. 523-545. ISSN 0951-3574
Tang, Leilei and Thomas, L. and Thomas, S. and Bozzetto, J. (2007) It's the economy stupid : modelling financial product purchases. International Journal of Bank Marketing, 25 (1). pp. 22-38. ISSN 0265-2323
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
Tetteh, Godsway Korku (2023) Local digital lending development and the incidence of deprivation in Kenya. Financial Innovation, 9 (1). 102.
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
Thapa, Chandra and Paudyal, Krishna and Neupane, Suman (2013) Access to information and international portfolio allocation. Journal of Banking and Finance, 37 (7). pp. 2255-2267. ISSN 0378-4266
Thomas, L.C. and Thomas, S. and Tang, L. and Gwilym, O.A. (2005) Impact of demographic and economic variables on financial policy purchase timing decisions. Journal of the Operational Research Society, 56 (9). pp. 1051-1062. ISSN 0160-5682
Thompson, Paul (2013) Financialization and the workplace : extending and applying the disconnected capitalism thesis. Work, Employment and Society, 27 (3). pp. 472-488. ISSN 0950-0170
Thomson, Ian and Grubnic, Suzana and Georgakopoulos, Georgios (2014) Exploring accounting-sustainability hybridisation in the UK public sector. Accounting, Organizations and Society, 39 (6). pp. 453-476. ISSN 0361-3682
Todd, Andrew and Bowden, James and Moshfeghi, Yashar (2024) Text-based sentiment analysis in finance : synthesising the existing literature and exploring future directions. Intelligent Systems in Accounting, Finance and Management, 31 (1). e1549. ISSN 1055-615X
Vos, Ed and Yeh, Andy Jia-Yuh and Carter, Sara L. and Tagg, Stephen K. (2007) The happy story of small business financing. Journal of Banking and Finance, 31 (9). pp. 2648-2672. ISSN 0378-4266
Vu, Loan Thi and Vu, Lien Thi and Nguyen, Nga Thu and Do, Phuong Thi Thuy and Dao, Daniel (2019) Feature selection methods and sampling techniques to financial distress prediction for Vietnamese listed companies. Investment Management and Financial Innovations, 16 (1). pp. 276-290.
Wang, Jing and Cahill, Dermot (2023) Legitimacy and effectiveness concerns in China's private antitrust enforcement regime : a comparative analysis with the EU and US regimes. Journal of Antitrust Enforcement, 11 (3). pp. 454-490. ISSN 2050-0688
Wishlade, Fiona (2018) Financial instruments in ESIF : past, present and future conditional. European Structural and Investment Funds Journal, 6 (2). pp. 89-99. ISSN 2196-8268
Wood, Geoffrey T. and Demirbag, Mehmet (2015) Business and society on the transitional periphery : comparative perspectives. International Business Review. ISSN 0969-5931
Wood, Peter and Ashcroft, Brian (2005) Is the growth of the Scottish economy the 'first priority' for public spending in Scotland. Quarterly Economic Commentary, 30 (1). pp. 20-25. ISSN 0306-7866
Yun, Jaesun and Kang, Jangkoo and Kwon, Kyung Yoon (2021) US economic uncertainty and the Korean stock market reaction. Emerging Markets Finance and Trade, 57 (10). pp. 2946-2976. ISSN 1540-496X
Yun, Jaesun and Kwon, Kyung Yoon (2023) Biweekly performance of low-risk anomalies over the FOMC cycle. Finance Research Letters, 58 (Part C). 104498. ISSN 1544-6123
Zhang, Yi and Zhou, Long and Li, Yuxue and Liu, Fang (2023) Higher-order moment nexus between the US dollar, crude oil, gold, and Bitcoin. North American Journal of Economics and Finance, 68. 101998. ISSN 1062-9408
Zhang, Yi and Zhou, Long and Liu, Zhidong and Wu, Baoxiu (2025) Spillover of fear among the US and BRICS equity markets during the COVID-19 crisis and the Russo-Ukrainian conflict. North American Journal of Economics and Finance, 75 (Part A). 102308. ISSN 1062-9408
Zhang, Yi and Zhou, Long and Wu, Baoxiu and Liu, Fang (2024) Analysing the impacts of unscheduled news events on stock market contagion during the epidemic. International Journal of Finance and Economics. ISSN 1099-1158
Book Section
Annisette, Marcia and Cooper, Christine; Hoque, Zahirul and Parker, Lee D. and Covaleski, Mark A. and Haynes, Kathryn, eds. (2017) Researching the exercise of power. In: The Routledge Companion to Qualitative Accounting Research Methods. Routledge Companions in Business, Management and Accounting . Routledge, New York. ISBN 9781138939677
Bakir, Caner and Acur, Nuran; Brennan, Louis and Bakir, Caner, eds. (2016) Greenfield investments and acquisitions of Turkish multinationals : trends, motivations and strategies. In: Emerging Market Multinationals in Europe. Routledge, London, pp. 129-156. ISBN 9781138920187
Bradfield, Ronald; Al Ghassani, Ahmed Mohsin and Al Lawati, Anis Moosa and S., Ananda, eds. (2017) The future as "business unusual" : a call for scenario planning. In: The Banking Sector in Oman. College of Banking and Financial Studies, Muscat, Oman, pp. 139-153. ISBN 9789996915994
Broby, Daniel; (2018) The impact of academic research in finance (impact ratio). In: Global Tensions in Financial Markets. Research in Finance . Emerald Publishing Limited, Bingley, pp. 221-232. ISBN 9781787148406
Clacher, Iain and Hillier, D.J. and Mccolgan, Patrick; Baker, H Kent and Anderson, Ronald, eds. (2010) Agency theory : Incomplete contracting and ownership structure. In: Corporate governance. Robert W. Kolb Series in Finance . John Wiley & Sons Inc., Hoboken, pp. 157-175. ISBN 9780470499139
Cummins, Mark and Lynn, Theo and Mac an Bhaird, Ciaran and Rosati, Pierangelo; Lynn, Theo and Mooney, John G and Rosati, Pierangelo and Cummins, Mark, eds. (2018) Addressing information asymmetries in online peer-to-peer lending. In: Disrupting Finance. Palgrave, Cham, Switzerland, pp. 15-32. ISBN 9783030023300
Cummins, Mark and Lynn, Theo and Rosati, Pierangelo; Lynn, Theo and Rosati, Pierangelo and Kassem, Mohamad and Krinidis, Stelios and Kennedy, Jennifer, eds. (2023) Financing building renovation : financial technology as an alternative channel to mobilise private financing. In: Disrupting Buildings. Palgrave Studies in Digital Busness and Enabling Technologies . Palgrave, Cham, pp. 153-172. ISBN 9783031323096
Ekkayokkaya, Manapol and Paudyal, Krishna and Sreesing, Poonyawat; Galariotis, Emilios and Garefalakis, Alexandros and Lemonakis, Christos and Menexiadis, Marios and Zopounidis, Constantin, eds. (2023) Event study methods in corporate governance studies. In: Governance and Financial Performance. World Scientific, Singapore, pp. 229-274. ISBN 9789811260513
Ferry, M.; Drobniak, A., ed. (2009) Evaluation of lowlands and uplands Scotland European Regional Development Fund Programme 2007-13. In: Evaluation of Operational Programmes of Regional Development. Karol Adamiecki University of Economics, Katowice, Poland. ISBN 9788372464910
Hillier, D.J. and Cai, C. and Clacher, Iain and Faff, R.; Fabozzi, Frank J. and Kaiser, Dieter G. and Fuss, Roland, eds. (2008) A practical guide to gold as an investment asset. In: Handbook of Commodity Investing. John Wiley and Sons Ltd. ISBN 9780470117644
Hillier, D.J. and Cai, C. and Faff, R. and Lhaopadchan, S.; Gregoriou, Greg N., ed. (2009) Information transmission across stock and bond markets: International evidence. In: Stock Market Volatility. Chapman & Hall/CRC Finance Series . CRC Press. ISBN 9781420099546
Jones Evans, Dylan and Gkikas, Aineias and Rhisiart, Martin and MacKenzie, Niall G.; Vanhaverbeake, wim and Frattini, Federico and Roijakkers, Nadine and Usman, Mohammed, eds. (2018) Measuring open innovation in SMEs. In: Researching Open Innovation in SMEs. World Scientific, New Jersey, pp. 399-427. ISBN 978-981-3230-96-5
Laidler, D. and Sandilands, R.J.; (2003) An early Harvard memorandum on anti-depression policy: an introductory note. In: Keynes, Chicago and Friedman. Pickering & Chatto Publishers, London, pp. 251-290. ISBN 1851967672
Lassalle, Paul and Johnston, Andrew; O'Connor, Allan and Stam, Erik and Sussan, Fiona and Audretsch, David B., eds. (2018) Where are the spiders? Proximities and access to the entrepreneurial ecosystem : the case of Polish migrant entrepreneurs in Glasgow. In: Entrepreneurial Ecosystems. International Series in Entrepreneurship, 38 . Springer, Cham, Switzerland, pp. 131-152. ISBN 9783319655309
McColgan, Patrick; (2015) Equity and debt as options. In: Wiley Encyclopedia of Management. John Wiley & Sons Inc.. ISBN 9781118785317
Pharaoh, Cathy and Keidan, Charles and Gordon, Jillian; (2011) Family Foundation Giving Trends Report 2011. In: Family Foundation Giving Trends. Alliance Publishing Trust, London. ISBN 9781907376146
Radomir, Lăcrămioara and Wilson, Alan; Avkiran, Necmi K. and Ringle, Christian M., eds. (2018) Corporate reputation : the importance of service quality and relationship investment. In: Partial Least Squares Structural Equation Modelling. Springer, New York, pp. 77-123. ISBN 9783319716909
Reid, Gavin C. and Smith, Julia A.; (2006) Realities of Long-Term Post Investment Performance for Venture-Backed Enterprises. In: Venture Capital and the Changing World of Entrepreneurship. Research in entrepreneurship and management . Information Age Publishing, Greenwich, Connecticut, USA. ISBN 1593114346
Reid, J.G.C. and Smith, J.A.; (2002) Post-investment performance appraisal (PIPA): the impact of venture capital investment on small firm performance. In: Frontiers of Entrepreneurship Research. Babson College, Massachusetts, Untited States of America. ISBN 0910897239
Shaw, Eleanor and Gordon, Jillian and Maclean, Mairi and Harvey, Charles; Jung, Tobias and Phillips, Susan and Harrow, Jenny, eds. (2014) Venture and philanthrocapitalism : the impact of the big donor. In: The Routledge Companion to Philanthropy. Routledge. ISBN 9780415783255
Shneor, Rotem and Flåten, Bjørn Tore and Zhao, Liang; Shneor, Rotem and Zhao, Liang and Flåten, Bjørn-Tore, eds. (2020) The future of crowdfunding research and practice. In: Advances in Crowdfunding. Springer International Publishing AG, pp. 499-519. ISBN 9783030463090
Shneor, Rotem and Zhao, Liang and Flåten, Bjørn Tore; Shneor, Rotem and Zhao, Liang and Flåten, Bjørn-Tore, eds. (2020) Introduction : From fundamentals to advances in crowdfunding research and practice. In: Advances in Crowdfunding. Springer International Publishing AG, pp. 1-18. ISBN 9783030463090
Thomas, Dain and Chowdhury, Gobinda and Ruthven, Ian; Sserwanga, Isaac and Joho, Hideo and Ma, Jie and Hansen, Preben and Wu, Dan and Koizumi, Masanori and Gilliland, Anne J., eds. (2024) Are older people battling with digital financial services? In: Wisdom, Well-Being, Win-Win. Lecture Notes in Computer Science . Springer, CHN, pp. 139-146. ISBN 9783031578502
Williams, H.P. and Torma, Mailia; (2007) Trust and fidelity : from ‘under the mattress’ to the mobile phone. In: The Transformational Potential of M-Transactions. Vodafone Policy Papers Series, 6 . Vodafone Group Plc, pp. 10-19. ISBN 9780955257827
Zhao, Liang and Li, Yuanqing; Shneor, Rotem and Zhao, Liang and Flåten, Bjørn-Tore, eds. (2020) Crowdfunding in China : turmoil of global leadership. In: Advances in Crowdfunding. Springer International Publishing AG, pp. 273-296. ISBN 9783030463090
Zhao, Liang and Ryu, Sunghan; Shneor, Rotem and Zhao, Liang and Flåten, Bjørn-Tore, eds. (2020) Reward-based crowdfunding research and practice. In: Advances in Crowdfunding. Springer International Publishing AG, pp. 119-143. ISBN 9783030463090
Zhao, Liang and Shneor, Rotem; Shneor, Rotem and Zhao, Liang and Flåten, Bjørn-Tore, eds. (2020) Donation crowdfunding : principles and donor behaviour. In: Advances in Crowdfunding. Springer International Publishing AG, pp. 145-160. ISBN 9783030463090
Conference or Workshop Item
Bates, St John (2001) Offshore finance: how safe is the constitutional safety net? In: The Isle of Man Examiner Business News, 2001-09-18 - 2001-09-25.
Broby, Daniel and Hoepner, Andreas and Klausmann, Johannes and Adamsson, Hampus (2018) The output and productivity benefits of fintech collaboration : Scotland and Ireland. In: SIFI Fintech, 2018-06-07 - 2018-06-07, PwC Edinburgh, Atria One, 144 Morrison Street, Edinburgh, EH3 8EB.
Broby, Daniel and Karkkainen, Tatja (2016) FINTECH in Scotland : building a digital future for the financial sector. In: Future of Fintech, 2016-09-02 - 2016-09-02, Technology Innovation Centre.
Cooper, Christine and Graham, Cameron and Hinick, Darlene (2015) Social impact bonds : the securitization of the homeless. In: 11th Interdisciplinary Perspectives on Accounting Conference 2015, 2015-07-08 - 2015-07-10, Stockholm University.
Cooper, Christine and Graham, Cameron and O’Dwyer, Brendan (2013) Social impact bonds : can private finance rescue public programs? In: Accounting, Organizations and Society Conference on “Performing Business and Social Innovation through Accounting Inscriptions", 2013-09-22 - 2013-09-25.
Cormier, Ben and Naqvi, Natalya (2022) Delegating discipline : how indexes restructured the political economy of sovereign bond markets. In: American Political Science Association Annual Meeting, 2022-09-17 - 2022-09-17.
Coulson, Andrea (2016) An introduction to framing multiple capitals. In: ICAEW Rethinking Capitals: beyond the financial, 2014-12-17 - 2014-12-17, Chartered Accountants Hall, Moorgate Place, London.
Darby, Julia and Zhang, Hai and Zhang, Jinkai (2019) Institutional trading in volatile markets : evidence from Chinese stock markets. In: The 6th Young Finance Scholars' Conference, 2019-06-14 - 2019-06-14, University of Sussex.
Davidson, Sharada Nia and Hou, Chenghan and Koop, Gary (2021) Distinguishing between macroeconomic and financial uncertainty : classification search in stochastic volatility in mean VARs. In: 4th Annual Workshop on Financial Econometrics, 2021-11-15 - 2021-11-16, Orebro University (Online).
Demirbag, Mehmet and Frecknall-Hughes, Jane and Glaister, Keith and Tatoglu, Ekrem (2014) Tax planning and strategic decisions : a comparison of UK firms and Turkish firms. In: Academy of International Business Annual Meeting, 2014-06-23 - 2014-06-26.
Elmahgoub, Mohamed and Smith, Julia and Elamer, Ahmed and Abdelfattah, Tarek (2022) Extended audit reporting and goodwill impairment quality : UK evidence. In: European Accounting Association Annual Conference, 2022-05-11 - 2022-05-13, NHH Norwegian School of Economics.
Evanschitzky, H. and Backhaus, C. and Michailis, M. and Schneider, G. (2009) Trust Me - I know what I'm Doing! The Impact of Salesperson Competence and Country Competence on Initial Trust in International Service Settings. In: Academy of Marketing Science – 14th Biennial World Marketing Congress 2009, 2009-07-22 - 2009-07-25, Oslo School of Management - Campus Kristiania. (Unpublished)
Ferguson, John (2012) Legal origin, income inequality and social health. In: British Accounting Association Scottish Regional Group, University of Strathclyde, August 2012, 2012-09-01. (Unpublished)
Ferguson, John (2012) An analysis of global climate change disclosure. In: European Business Ethics Network, University of Newcastle, June, 2012, 2012-06-01.
Ferguson, John (2012) An analysis of global climate change disclosure. In: British Accounting Association Scottish Regional Group, University of Strathclyde, August 2012, 2012-09-01. (Unpublished)
Gibson, Stuart and Doherty, Anne Marie (2010) The relevance of service dominant logic in the context of private banking/wealth management. In: 18th International Colloquium on Relationship Marketing, 2010-09-01.
Ha, Youngmin and Zhang, Hai (2018) Liquidity risks, transaction costs and online portfolio selection. In: 30th Anniversary of CEA (1988-2018) 29th CEA (UK) & 10th CEA (Europe) Annual Conference, 2018-06-22 - 2018-06-23, 29 Buccleuch Place,Edinburgh, EH8 9JS, UK. (In Press)
Hannon, Matthew and Cairns, Iain and Braunholtz-Speight, Tim and Hardy, Jeff and McLachlan, Carly and Mander, Sarah and Sharmina, Maria (2021) Policies to unleash UK community energy finance. In: British Institute of Energy Economics, 2021-09-13 - 2021-09-14, Worcester College, Walton Street.
Hermannsson, Kristinn and Lisenkova, Katerina and McGregor, Peter and Swales, John (2011) The impact of higher education in Wales. In: Impact of Higher Education, 2010-03-09.
Howell, S. and Duck, P.W. and Pinto, Helena and Strback, G. and Hazel, A. and Proudlove, N. and Black, M. (2006) A PDE and option based approach to valuing and designing stochastic storage for wind-generated electricity. In: Portuguese Finance Network 4th Finance Conference, 2006-07-06 - 2006-07-08. (Unpublished)
Koritos, Christos and Gounaris, Spiros and Papastathopoulou, P. (2007) The role of innovation attributes on consumers decision to adopt Internet banking services : empirical evidence from Greece. In: 36th EMAC Annual Conference 2007, 2007-05-22 - 2007-05-25, Reykjavik University.
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.
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 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.
McColgan, Patrick and Hillier, David and Tsekeris, Athanasios (2014) Incentive compensation vs. SOX : evidence from corporate acquisition decisions. In: Financial Management Association Annual Meeting 2014, 2014-10-15 - 2014-10-18, Gaylord Opryland Resort & Convention Center.
Mwaura, Samuel and Carter, Sara (2017) No joy with banks 'round here : the geography of the usage of bank financing among UK SMEs. In: RSA Annual Conference, 2017-06-04 - 2017-06-07, Trinity College Dublin and University College Dublin.
Pinto, Helena (2010) Do ownership structures affect the risk incentive provided by managerial portfolio holdings? An empirical analysis of UK alternative investment market companies. In: EFMA 2010, 2010-01-01.
Smith, Julia and Binti Puasa, Sharinah (2016) Critical factors of accounting information systems (AIS) effectiveness : a qualitative study of the Malaysian federal government. In: British Accounting & Finance Association Annual Conference 2016, 2016-03-21 - 2016-03-23, University of Bath. (In Press)
Smith, Julia and Cordina, Renzo (2013) Reporting of intangible assets : views from venture capitalists. In: British Accounting and Finance Association Annual Conference, 2013-04-09 - 2013-04-11.
Smith, Julia and Cordina, Renzo (2013) Reporting of intangible assets : views from venture capitalists. In: 9th Interdisciplinary Workshop on Intangibles, Intellectual Property and Extra-Financial Information, 2013-09-26 - 2013-09-27.
Smith, Julia and Reid, Gavin and HSU, Yu-Lin (2016) Choices of financial reporting regimes and techniques and underlying decision-making processes : a case study analysis of a port authority. In: British Accounting & Finance Association Annual Conference 2016, 2016-03-21 - 2016-03-23, University of Bath. (Unpublished)
Book
Shneor, Rotem and Zhao, Liang and Flåten, Bjørn Tore, eds. (2020) Advances in Crowdfunding : Research and Practice. Springer International Publishing AG. ISBN 9783030463090
Lynn, Theo and Mooney, John G. and Rosati, Pierangelo and Cummins, Mark, eds. (2018) Disrupting Finance : FinTech and Strategy in the 21st Century. Palgrave, Cham, Switzerland. ISBN 9783030023300
Broby, Daniel (2007) A Guide to Equity Index Construction. Risk Books. ISBN 9781904339779
Broby, Daniel (2010) A Guide to Fund Management. Risk Books. ISBN 978-1-906348-18-2
Broby, Daniel (1997) The changing face of European fund management. FT Financial Publishing. ISBN 1853347434
Broby, Daniel and Hales, Alexandra (1997) The future of the UK mutual fund industry. Pearson Professional. ISBN 1853348007
Hillier, D.J. and Clacher, I. and Ross, S. and Westerfield, R. and Jaffe, J. and Jordan, B. (2011) Fundamentals of Corporate Finance. McGraw Hill, Maidenhead. ISBN 9780077125257
Hillier, D.J. and Grinblatt, M. and Titman, S. (2008) Financial markets and corporate strategy: European edition. McGraw Hill. ISBN 9780077119027
Hillier, D.J. and Ross, Stephen A and Westerfield, Randolph W and Jaffe, Jeffrey and Jordan, Bradford D (2010) Corporate Finance. McGraw Hill, Maidenhead. ISBN 9780077121150
Hillier, David and Clacher, Iain and Ross, Stephen and Westerfield, Randolph and Jordan, Bradford (2014) Fundamentals of Corporate Finance. McGraw Hill, Maidenhead. ISBN 9780077149772
Hillier, David and Grinblatt, Mark and Titman, Sheridan (2011) Financial Markets and Corporate Strategy. McGraw Hill. ISBN 9780077129422
Hillier, David and Ross, Stephen and Westerfield, Randolph and Jaffe, Jeffrey and Jordan, Bradford (2013) Corporate Finance. McGraw Hill. ISBN 9780077139148
Reid, Gavin C. and Smith, Julia A. (2007) Risk Appraisal and Venture Capital in High Technology New Ventures. Routledge Studies in Global Competition . Routledge, London. ISBN 978-0-415-59554-4
Zahra, S. and Brush, C. and Davidsson, P. and Fiet, J. and Greene, P. and Harrison, R.T. and Lerner, M. and Mason, C.M. and Meyer, J.D. and Sohl, J. and Zacharakis, A. (2004) Frontiers of entrepreneurship research 2004: Proceedings of the 24th annual entrepreunership research conference. Babson College, Massachusetts, Untited States of America. ISBN 0910897255
Report
Babson College, Babson Park, MA, US (Funder), London Business School, London, UK (Funder); Bosma, N. and Jones, K. and Autio, E. and Levie, J.D.. (2008) Global Entrepreneurship Monitor 2007. London: Global Entrepreneurship Research Association.
Bowden, James and Cummins, Mark and Tetteh, Godsway (2024) Open Finance and Carbon Neutral Banking : Leveraging Financial Transaction Data for Consumers Carbon Footprint Measurement. University of Strathclyde, Glasgow.
Byrne, A. and Harrison, D. and Blake, D. (2006) Annuities and accessibility: how the industry can empower consumers to make rational choices. The Pensions Institute, London, UK.
Carter, S.L. and Marlow, S. (2005) Women's Enterprise: Access to Finance and the Role of the Accountant. ACCA, London.
Carter, S.L. and Shaw, E. (2006) Women's business ownership : recent research and policy developments. DTI Small Business Service.
Collison, David and Cross, Stuart and Ferguson, John and Power, David and Stevenson, Lorna (2011) Shareholder primacy in UK corporate law : an exploration of the rationale and evidence. ACCA.
Cooke, Roger and Kousky, Carolyn (2010) Climate Dependencies and Risk Management : Microcorrelations and Tail Dependence. Resources for the Future, Washington, DC.
Jain, Kushagra and Bowden, James and Cummins, Mark (2024) Fairness and Discrimination in Lending Decisions : Multiple Protected Characteristics Analysis. University of Strathclyde, Glasgow.
Levie, J.D. (2008) The IIIP Innovation Confidence Index 2007 Report. Institute for Innovation and Information Productivity, San Francisco.
Levie, Jonathan and Hart, Mark (2013) The Global Entrepreneurship Monitor : United Kingdom 2012 Monitoring Report. University of Strathclyde, Glasgow.
Mendez, Carlos and Dozhdeva, Viktoriya and Bachtler, John (2016) The Implementation of ESIF Communication Strategies in 2014-20 : Are they Achieving Expectations? University of Strathclyde, Glasgow.
Michie, Rona and Dozhdeva, Viktoriya (2017) Halfway There? Taking Stock of the Progress of ESIF Programme Implementation. University of Strathclyde, Glasgow.
Peat, Jeremy (2016) After Payday Lending : Accessible and Affordable Credit. University of Strathclyde, Glasgow.
Peat, Jeremy and Grice, Paul and Gardner, Caroline and Johnson, Paul and Roy, Graeme and Perman, Ray (2016) Minding Scotland’s Money : Economic Governance for an Increasingly Devolved Scotland. University of Strathclyde, Glasgow.
Peat, Jeremy and Kelly, Owen (2016) BREXIT and the Scottish Financial Services Sector. University of Strathclyde, Glasgow.
Sousa, Joao P. (2024) Response to the Scottish Fiscal Commission's consultation on the approach to policy baselines. Fraser of Allander Institute, Glasgow.
Sousa, João and Spowage, Mairi and Congreve, Emma and Fox, Calum and Gillan, Brodie and Crummey, Ciara and Cooper, Benjamin and Williamson, Jack (2023) Scotland's Budget Report 2023. Fraser of Allander Institute, Glasgow.
Warhurst, Chris and Commander, Johanna and Nickson, Dennis and Symeonides, Anna and Furlong, Andy and Findlay, Jeanette and Wilson, Fiona and Hurrell, Scott (2009) Higher and Further Education Students' Income, Expenditure and Debt in Scotland 2007-08. Scottish Government, Edinburgh.
Wilson, F. and Shaw, Eleanor and Carter, Sara (2005) Securing a business loan : how important is gender. ESRC.
Wishlade, Fiona (2015) Financial Instruments Under the European Structural and Investment Funds and State Aid Compliance : Draft Report. European Investment Bank. (Unpublished)
Wishlade, Fiona (2015) Financial Instruments Under the European Structural and Investment Funds and State Aid Compliance : Inception Report. European Investment Bank. (Unpublished)
Wishlade, Fiona (2015) Financial Instruments, the European Agricultural Fund for Rural Development and State Aid Compliance : Draft Report. European Investment Bank. (Unpublished)
Wishlade, Fiona (2015) Financial Instruments, the European Agricultural Fund for Rural Development and State Aid Compliance : Inception Report. European Investment Bank. (Unpublished)
Wishlade, Fiona (2015) Financial Instruments, the European Social Fund and State Aid Compliance : Draft Report. European Investment Bank. (Unpublished)
Wishlade, Fiona (2015) Financial Instruments, the European Social Fund and State Aid Compliance : Inception Report. European Investment Bank. (Unpublished)
Wishlade, Fiona and Michie, Rona (2016) EAFRD Financial Instruments in 2014-20 Rural Development Programmes : Interim Report. European Investment Bank, London. (Unpublished)
Wishlade, Fiona and Michie, Rona and Familiari, Giovanni and Schneiderwind, Peter and Resch, Andreas (2015) Ex-Post Evaluation of Cohesion Policy Programmes 2007-13, Focusing on the European Regional Development Fund (ERDF) and Cohesion Fund (CF) : Work Package 3: Financial Instruments for Enterprise Support - Draft Final Report. European Commission, Brussels. (Unpublished)
Wishlade, Fiona and Michie, Rona and Familiari, Giovanni and Schneiderwind, Peter and Resch, Andreas (2016) Financial Instruments for Enterprises - Final Report : Ex post evaluation of Cohesion Policy programmes 2007 - 2013, focusing on the European Regional Development Fund (ERDF) and the Cohesion Fund (CF). European Commission, Brussels.
Wishlade, Fiona and Michie, Rona and Gloazzo, Claudia (2014) Guidelines for the Implementation of Financial Instruments : Building on FIN-EN - sharing methodologies on financial engineering for enterprises. Finlombarda, Milan, Italy.
Wishlade, Fiona and Michie, Rona and Robertson, Patricia and Vernon, Philip (2017) Improving the Take-Up and Effectiveness of Financial Instruments : Final Report. Publications Office of the European Union, Luxembourg.
Wishlade, Fiona and Michie, Rona and Vernon, Philip (2017) Research for REGI Committee - Financial Instruments for Energy Efficiency and Renewable Energy. European Parliament, Brussels.
Young, Alf (2016) 40 Turbulent Years : How the Fraser Economic Commentary Recorded the Evolution of the Modern Scottish Economy. University of Strathclyde, Glasgow.
van der Zwet, Arno and Bachtler, John and Miller, Stephen and Vernon, Philip and Dozhdeva, Viktoriya (2016) Research for REGI Committee - Review of the Role of the EIB Group in European Cohesion Policy. European Parliament, Brussels.
Review
Mason, C.M. (2006) The economics and management of small business: an international perspective. [Review]
Stoyanov, Stoyan and Stoyanova, Veselina (2016) The Routledge Companion to International Entrepreneurship, Stephanie A. Fernhaber, Shameen Prashantham (Eds.). Routledge (2015), 262pp. (hardcover), ISBN: 978-0-415-82919-9, USD 240.00. [Review]
Monograph
Abuo Habla, Ziyad and Broby, Daniel (2019) Equity crowdfunding : literature review. Other. University of Strathclyde, Glasgow.
Amerighi, Oscar and De Feo, Giuseppe (2013) Competition for FDI and Profit Shifting : on the Effects of Subsidies and Tax Breaks. Discussion paper. University of Strathclyde, Glasgow.
Andriosopoulos, Dimitris and Hoque, Hafiz (2014) Director Purchases Talk and Buybacks Whisper. Preprint / Working Paper. UNSPECIFIED. (Unpublished)
Andriosopoulos, Dimitris and Hoque, Hafiz (2011) Information content of aggregate and individual insider trading. Preprint / Working Paper. Social Science Research Network.
Antonakakis, Nikolaos (2010) Official Central Bank Interventions in the Foreign Exchange Markets : A DCC Approach with Exogenous Variables. Discussion paper. University of Strathclyde, Glasgow.
Avignone, Giuseppe and Girardone, Claudia and Pancaro, Cosimo and Pancotto, Livia and Reghezza, Alessio (2022) Making a virtue out of necessity : the effect of negative interest rates on bank cost efficiency. Preprint / Working Paper. European Central Bank, Frankfurt, Germany.
Broby, Daniel (2019) Strategic Fintech : Centre for Financial Regulation and Innovation : White Paper. Other. University of Strathclyde, Glasgow.
Broby, Daniel and Coulson, Andrea and Dörfler, Viktor (2021) The Use of Artificial Intelligence to Determine Contingent Legal Liabilities Provisions : Centre for Financial Regulation and Innovation : White Paper. Other. University of Strathclyde, Glasgow.
Broby, Daniel and Hopper, Huckleberry (2019) Creating a Financial Data Lake for Academic Fintech Research. Other. University of Strathclyde, Glasgow.
Cross, Rod and Kozyakin, Victor (2012) Fact and Fiction in FX Arbitrage Processes. Discussion paper. University of Strathclyde, Glasgow.
Cross, Rod and Kozyakin, Victor (2014) Fact and Fictions in FX Arbitrage Processes. Discussion paper. University of Strathclyde, Glasgow.
Darby, Julia and Desbordes, Rodolphe and Wooton, Ian (2010) Does Public Governance Always Matter? How Experience of Poor Institutional Quality Influences FDI to the South. Discussion paper. University of Strathclyde, Glasgow.
Darby, Julia and Ferrett, Ben and Wooton, Ian (2013) FDI, Trade Costs and Regional Assymetries. Discussion paper. University of Strathclyde, Glasgow.
Darby, Julia and Gao, Jun and Lucey, Siobhán and Zhu, Sheng (2019) Is Heightened Political Uncertainty Priced in Stock Returns? Evidence from the 2014 Scottish Independence Referendum. Discussion paper. University of Strathclyde, Glasgow.
Darby, Julia and Roy, Graeme (2017) Political Uncertainty and Stock Market Volatility : New Evidence From the 2014 Scottish Independence Referendum. Discussion paper. University of Strathclyde, Glasgow.
Davies, Ronald B. and Desbordes, Rodolphe and Ray, Anna (2015) Greenfield versus Merger & Acquisition FD : Same Wine, Different Bottles? Preprint / Working Paper. HAL.
Desbordes, Rodolphe and Wei, Shang-Jin (2014) Credit Conditions and Foreign Direct Investment During the Global Financial Crisis. Preprint / Working Paper. The World Bank.
Desbordes, Rodolphe and Wei, Shang-Jin (2014) The Effects of Financial Development on Foreign Direct Investment. Preprint / Working Paper. The World Bank.
Dickson, Alex and Fongoni, Marco (2016) A theory of wage setting behavior. Preprint / Working Paper. University of Strathclyde, Glasgow.
Feser, Julian Alexander and Broby, Daniel (2020) The Determinants of Credit Default Swap Premia and the Use of Machine Learning Techniques for their Estimation. Discussion paper. University of Strathclyde, Glasgow.
Gambacorta, Leonardo and Pancotto, Livia and Reghezza, Alessio and Spaggiari, Martina (2022) Gender Diversity in Bank Boardrooms and Green Lending : Evidence from Euro Area Credit Register Data. Preprint / Working Paper. European Central Bank, [Frankfurt].
Gambacorta, Leonardo and Pancotto, Livia and Reghezza, Alessio and Spaggiari, Martina (2022) Gender diversity in bank boardrooms and green lending : evidence from Euro area credit register data. Preprint / Working Paper. Bank for International Settlements, [Basel].
Gan, Liu and Xia, Xin and Zhang, Hai (2020) Dynamic investment, debt structure and debt overhang. Preprint / Working Paper. University of Strathclyde, Glasgow.
Ha, Youngmin and Zhang, Hai (2018) Algorithmic Trading for Online Portfolio Selection under Limited Market Liquidity. Preprint / Working Paper. University of Strathclyde, Glasgow.
Jiang, Chenle and Broby, Daniel (2021) Mitigating cybersecurity challenges in the financial sector with Artificial Intelligence. Other. University of Strathclyde, Glasgow.
Kousky, Carolyn and Cooke, Roger M (2009) The Unholy Trinity : Fat Tails, Tail Dependence, and Micro-correlations. Discussion paper. Resources for the Future, Washington, DC.
McIntyre, Stuart (2018) Exploring households' responsiveness to energy price changes using microdata. Preprint / Working Paper. University of Strathclyde, Glasgow.
Molyneux, Philip and Pancotto, Livia and Reghezza, Alessio and Rodriguez d’Acri, Costanza (2020) Interest Rate Risk and Monetary Policy Normalisation in the Euro Area. Preprint / Working Paper. European Central Bank, Frankfurt, Germany.
Nagayasu, Jun (2013) The Forward Premium Puzzle and the Euro. Discussion paper. University of Strathclyde, Glasgow.
Quimbayo, Catalina Velandia and Broby, Daniel (2021) The Regulation of Initial Coin Offerings, Virtual Assets and Virtual Asset Service Providers. Other. University of Strathclyde, Glasgow.
Reid, Gavin C. and Smith, Julia A. (2003) Co-evolution of information systems in fast-growing small firms. Discussion paper. Centre for Research into Industry, Enterprise, Finance and the Firm, St Andrews, Scotland.
Reid, Gavin C. and Smith, Julia A. (2005) Venture capital investor behaviour in the backing of UK high technology firms : financial reporting and the level of investment. Discussion paper. Centre for Research into Industry, Enterprise, Finance and the Firm (CRIEFF), St Andrews, UK.
Reid, J.G.C. and Smith, J.A. (2001) How do venture capitalists handle risk in high technology ventures? Discussion paper. Centre for Research into Industry, Enterprise, Finance and the Firm.
Song, Pengcheng and Zhang, Hai and Zhao, Qin (2020) Innovative Credit Guarantee Schemes with Equity-for-Guarantee Swaps. Preprint / Working Paper. University of Strathclyde, Glasgow.
Swankie, George Daniel Brown and Broby, Daniel (2019) Examining the Impact of Artificial Intelligence on the Evaluation of Banking Risk. Preprint / Working Paper. University of Strathclyde, Glasgow.
Wang, Yao and Zhang, Hai and Zhao, Zhiming (2019) SMEs investment and financing under asymmetric information. Preprint / Working Paper. University of Strathclyde, Glasgow.
Wooton, Ian and Haufler, Andreas (2016) Cross-border banking in regulated markets : is financial integration desirable? Discussion paper. CESifo, Munich.
Yang, Zhenjia and Broby, Daniel (2020) Sustainable Finance : AI Applications in Satellite Imagery and Data. Discussion paper. University of Strathclyde, Glasgow.
Other
Alamaki, Patrik and Broby, Daniel (2019) The Effectiveness of Regulatory Reporting by Banking Institutions. University of Strathclyde, Glasgow.