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Abdou, Hussein (2009) An evaluation of alternative scoring models in private banking. The Journal of Risk Finance, 10 (1). pp. 38-53. ISSN 1526-5943
Abdou, Hussein, Agbeyo, Olubunmi, Jones, Kirsten and Sorour, Karim (2016) The impact of M&A on the Nigerian financial market: a pre-post analysis. Investment Management and Financial Innovations, 13 (1). pp. 138-150. ISSN 1810-4967
Abdou, Hussein, Alam, Shaair and Mulkeen, James (2014) Would credit scoring work for Islamic finance? A neural network approach. International Journal of Islamic and Middle Eastern Finance and Management, 7 (1). pp. 112-125. ISSN 1753-8394
Abdou, Hussein, English, John and Adewunmi, Paul (2014) An investigation of risk management practices in electronic banking: the case of the UK banks. Banks and Bank Systems, 9 (3). ISSN 1816-7403
Abdou, Hussein, Hadjiantoni, Elena and Derwin, Garry (2015) E-banking and risk management: evidence from the Cypriot public sector banks. Banks and Bank Systems, 10 (3). pp. 17-27. ISSN 1816-7403
Abdou, Hussein, Muslem, Omar and Ismal, Rifki (2014) Risk Management Practices in the Republic of Yemen: Are Islamic banks different? Journal of Islamic Economics, Banking and Finance, 10 (3). pp. 46-73. ISSN 2070-4666
Abdou, Hussein and Pointon, John (2011) Credit scoring, statistical techniques and evaluation criteria: a review of the literature. Intelligent Systems in Accounting, Finance and Management, 18 (2-3). pp. 59-88. ISSN 1055615X
Abdou, Hussein, Pointon, John, El-Masry, Ahmed, Olugbode, Moji and Lister, Roger J. (2012) A variable impact neural network analysis of dividend policies and share prices of transportation and related companies. Journal of International Financial Markets, Institutions and Money, 22 (4). pp. 796-813. ISSN 10424431
Abdou, Hussein, Tsafack, Marc, Ntim, Collins G. and Baker, Rose (2016) Predicting creditworthiness in retail banking with limited scoring data. Knowledge Based Systems, 103. pp. 89-103. ISSN 0950-7051
Abdou, Hussein A., Ali, Khurshid and Lister, Roger J. (2014) A comparative study of Takaful and conventional insurance:empirical evidence from the Malaysian market. Insurance Markets and Companies: Analyses and Actuarial Computations, 5 (1). pp. 22-34. ISSN 2078-2454
Abdullah, Nermeen and Tan, Aaron Yong (2017) Profitability of Commercial Banks revisited: New Evidence from oil and non-oil exporting countries in the MENA region. Investment Management and Financial Innovations, 14 (3). pp. 62-73. ISSN 1810-4967
Abed, Suzan and Al-Najjar, Basil (2016) Determinants of the Extent of Forward Looking Information: Evidence from UK before Financial Crisis. Corporate Ownership and Control, 13 (3). pp. 17-32. ISSN 1727-9232
Abed, Suzan, Al-Najjar, Basil and Roberts, Clare (2016) Measuring annual report narratives disclosure: Empirical evidence from forward-looking information in the UK prior the financial crisis. Managerial Auditing Journal, 31 (4/5). pp. 338-361. ISSN 0268-6902
Al-Bassam, Waleed M., Ntim, Collins G., Opong, Kwaku K. and Downs, Yvonne (2015) Corporate Boards and Ownership Structure as Antecedents of Corporate Governance Disclosure in Saudi Arabian Publicly Listed Corporations. Business & Society. ISSN 0007-6503
Al-Najjar, Basil (2017) Corporate governance and CEO pay: Evidence from UK Travel and Leisure listed firms. Tourism Management, 60. pp. 9-14. ISSN 0261-5177
Al-Najjar, Basil (2018) Corporate governance and audit features: SMEs evidence. Journal of Small Business and Enterprise Development, 25 (1). pp. 163-179. ISSN 1462-6004
Al-Najjar, Basil (2014) Corporate governance, tourism growth and firm performance: Evidence from publicly listed tourism firms in five Middle Eastern countries. Tourism Management, 42. pp. 342-351. ISSN 0261-5177
Al-Najjar, Basil (2011) The Determinants of Audit Committee Independence and Activity: Evidence from the UK. International Journal of Auditing, 15 (2). pp. 191-203. ISSN 10906738
Al-Najjar, Basil (2015) Does ownership matter in publicly listed tourism firms? Evidence from Jordan. Tourism Management, 49. pp. 87-96. ISSN 0261-5177
Al-Najjar, Basil (2015) The Effect of Governance Mechanisms on Small and Medium-Sized Enterprise Cash Holdings: Evidence from the United Kingdom. Journal of Small Business Management, 53 (2). pp. 303-320. ISSN 0047-2778
Al-Najjar, Basil (2011) Empirical Modelling of Capital Structure. Journal of Emerging Market Finance, 10 (1). pp. 1-19. ISSN 0972-6527
Al-Najjar, Basil (2013) The financial determinants of corporate cash holdings: Evidence from some emerging markets. International Business Review, 22 (1). pp. 77-88. ISSN 0969-5931
Al-Najjar, Basil and Abed, Suzan (2014) The association between disclosure of forward-looking information and corporate governance mechanisms: Evidence from the UK before the financial crisis period. Managerial Auditing Journal, 29 (7). pp. 578-595. ISSN 0268-6902
Al-Najjar, Basil and Al-Najjar, Dana (2014) Developing a multi stage predicting system for corporate credit rating in emerging markets : Jordanian case. Journal of Enterprise Information Management. ISSN 1741-0398
Al-Najjar, Basil and Al-Najjar, Dana (2017) The impact of external financing on firm value and a corporate governance index: SME evidence. Journal of Small Business and Enterprise Development, 24 (2). pp. 411-423. ISSN 1462-6004
Al-Najjar, Basil and Anfimiadou, Aspioni (2012) Environmental Policies and Firm Value. Business Strategy and the Environment, 21 (1). pp. 49-59. ISSN 09644733
Al-Najjar, Basil and Belghitar, Yacine (2011) Corporate cash holdings and dividend payments: evidence from simultaneous analysis. Managerial and Decision Economics, 32 (4). pp. 231-241. ISSN 01436570
Al-Najjar, Basil and Belghitar, Yacine (2014) Do corporate governance mechanisms affect cash dividends? An empirical investigation of UK firms. International Review of Applied Economics, 28 (4). pp. 524-538. ISSN 0269-2171
Al-Najjar, Basil and Belghitar, Yacine (2012) The information content of cash flows in dividend policy. Economic Issues, 17 (2). pp. 57-70. ISSN 1363-7029
Al-Najjar, Basil and Clark, Ephraim (2017) Corporate governance and cash holdings in MENA: Evidence from internal and external governance practices. Research in International Business and Finance, 39 (A). pp. 1-12. ISSN 0275-5319
Al-Najjar, Basil and Ding, Rong (2014) Product Market Competition and Corporate Governance Disclosure: Evidence from the UK. Economic Issues, 19 (1). pp. 73-93. ISSN 1363-7029
Al-Najjar, Basil, Ding, Rong and Hussainey, Khaled (2016) Determinants and value relevance of UK CEO pay slice. International Review of Applied Economics, 30 (3). pp. 403-421. ISSN 0269-2171
Al-Najjar, Basil and Elgammal, Mohammed M. (2013) Innovation and credit ratings, does it matter? UK evidence. Applied Economics Letters, 20 (5). pp. 428-431. ISSN 1350-4851
Al-Najjar, Basil and Kilincarslan, Erhan (2017) Corporate dividend decisions and dividend smoothing: New evidence from an empirical study of Turkish firms. International Journal of Managerial Finance, 13 (3). pp. 304-331. ISSN 1743-9132
Al-Najjar, Basil and Kilincarslan, Erhan (2018) Revisiting Firm-Specific Determinants of Dividend Policy: Evidence from Turkey. Economic Issues, 23 (1). ISSN 1363-7029
Al-Najjar, Basil and Kilincarslan, Erhan (2016) The effect of ownership structure on dividend policy: evidence from Turkey. Corporate Governance: The international journal of business in society, 16 (1). pp. 135-161. ISSN 1472-0701
Altunbaş, Yener, Gadanecz, Blaise and Kara, Alper (2005) Key factors affecting internationally active banks’ decisions to participate in loan syndications. Applied Economics Letters, 12 (4). pp. 249-253. ISSN 1350-4851
Altunbaş, Yener, Gadanecz, Blaise and Kara, Alper (2006) The evolution of syndicated loan markets. The Service Industries Journal, 26 (6). pp. 689-707. ISSN 0264-2069
Altunbaş, Yener and Kara, Alper (2011) Why do banks join loan syndications? The case of participant banks. The Service Industries Journal, 31 (7). pp. 1063-1074. ISSN 0264-2069
Altunbaş, Yener, Kara, Alper and Marques-Ibanez, David (2010) Large debt financing: syndicated loans versus corporate bonds. The European Journal of Finance, 16 (5). pp. 437-458. ISSN 1351-847X
Al‐Najjar, Basil (2010) Corporate governance and institutional ownership: evidence from Jordan. Corporate Governance: The international journal of business in society, 10 (2). pp. 176-190. ISSN 1472-0701
Al‐Najjar, Basil (2009) Dividend behaviour and smoothing new evidence from Jordanian panel data. Studies in Economics and Finance, 26 (3). pp. 182-197. ISSN 1086-7376
Al‐Najjar, Basil (2011) The inter‐relationship between capital structure and dividend policy: empirical evidence from Jordanian data. International Review of Applied Economics, 25 (2). pp. 209-224. ISSN 0269-2171
Al‐Najjar, Basil, El‐Masry, Ahmed and Taylor, Peter (2008) The relationship between capital structure and ownership structure: New evidence from Jordanian panel data. Managerial Finance, 34 (12). pp. 919-933. ISSN 0307-4358
Al‐Najjar, Basil and Hussainey, Khaled (2011) Revisiting the capital‐structure puzzle: UK evidence. The Journal of Risk Finance, 12 (4). pp. 329-338. ISSN 1526-5943
Al‐Najjar, Basil and Hussainey, Khaled (2009) The association between dividend payout and outside directorships. Journal of Applied Accounting Research, 10 (1). pp. 4-19. ISSN 0967-5426
Al‐Najjar, Basil and Jallow, Kumba (2012) The determinants of board meetings: evidence from categorical analysis. Journal of Applied Accounting Research, 13 (2). pp. 178-190. ISSN 0967-5426
Anand, Paul and Cowton, Christopher J. (1993) The ethical investor: exploring dimensions of investment behaviour. Journal of Economic Psychology, 14 (2). pp. 377-385. ISSN 0167-4870
Azkunaga, Juan Antonio, San-José, Leire and Urionabarrenetxea, Sara (2013) The impact of financial globalization and financialization on the economy in the current crisis through banking corporate governance. Contemporary Economics, 7 (3). pp. 79-94. ISSN 2084-0845
Barker, Kerry (2016) Will a pre-Brexit building boom now bust Britain's universities? The Conversation. ISSN 2044-5032
Bilgin, Mehmet Hüseyin, Su, Yongyang and Lau, Marco Chi Keung (2011) Do structural breaks in exchange rate volatility matter? Evidence from Asia-Pacific currencies. İktisat İşletme ve Finans, 26 (304). ISSN 1300-610X
Boateng, Agyenim, Du, Min, Wang, Yan, Wang, Chengqi and Mohammad, Ahammad (2017) Explaining the Surge in M&A as an Entry Mode: Home Country and Cultural Influences. International Marketing Review, 34 (1). pp. 87-108. ISSN 0265-1335
Bouri, Elie, Gupta, Rangan, Hosseini, Seyedmehdi and Lau, Marco Chi Keung (2017) Does global fear predict fear in BRICS stock markets? Evidence from a Bayesian Graphical Structural VAR model. Emerging Markets Review. ISSN 1566-0141
Brierley, John A., Cowton, Christopher J. and Drury, Colin (2001) How product costs are calculated and used in decision making: a pilot study. Managerial auditing journal, 16 (4). pp. 202-206. ISSN 0268-6902
Brierley, John A., Cowton, Christopher J. and Drury, Colin (2001) Research into product costing practice: a European perspective. European Accounting Review, 10 (2). pp. 215-256. ISSN 0963-8180
Chapman, Bruce, Lounkaew, Kiatanantha, Polsiri, Piruna, Sarachitti, Rangsit and Sitthipongpanich, Thitima (2010) Thailand's Student Loans Fund: Interest rate subsidies and repayment burdens. Economics of Education Review, 29 (5). pp. 685-694. ISSN 0272-7757
Chen, Catherine Huirong and Al-Najjar, Basil (2012) The determinants of board size and independence: Evidence from China. International Business Review, 21 (5). pp. 831-846. ISSN 09695931
Coldbeck, Beata and Ozkan, Aydin (2018) Comparison of adjustment speeds in target research and development and capital investment: What did the financial crisis of 2007 change? Journal of Business Research, 84. pp. 1-10. ISSN 0148-2963
Cowton, Christopher J. (1990) Bankers to Charity. International Journal of Bank Marketing, 8 (1). pp. 35-39. ISSN 0265-2323
Cowton, Christopher J. (2009) Banking on the banks. International Accountant (47). pp. 13-15. ISSN 1465-5144
Cowton, Christopher J. (1981) Company charitable giving: Practice and disclosure. Charity Statistics. pp. 54-55.
Cowton, Christopher J. (2002) Integrity, responsibility and affinity: three aspects of ethics in banking. Business Ethics: A European Review, 11 (4). pp. 393-400. ISSN 1467-8608
Cowton, Christopher J. (1993) Peace dividends: the exclusion of military contractors from investment portfolios. Journal of Peace Research, 30 (1). pp. 21-28. ISSN 0022-3433
Cowton, Christopher J. (1999) Playing by the rules: ethical criteria at an ethical investment fund. Business Ethics: A European Review, 8 (1). pp. 60-69. ISSN 0962-8770
Cowton, Christopher J. (2012) Time for an ethics stimulus package? Philosopher's magazine (59). pp. 19-20. ISSN 1354-814X
Cowton, Christopher J. and Avison, Lynn (2012) UK audit committees and the Revised Code. Corporate Governance, 12 (1). pp. 42-53. ISSN 1472-0701
Cowton, Christopher J. and Barnes, P. A. (1980) St. Piran: A Small Investor's Nightmare. Accountancy. pp. 85-86. ISSN 0001-4664
Cowton, Christopher J. and Dopson, S. E. (2002) Foucault’s prison? Management control in an automotive distributor. Management accounting research, 13 (2). pp. 191-214. ISSN 1044-5005
Cowton, Christopher J., Drake, Julie E. and Thompson, Paul (2000) Charities’ bankers: an analysis of UK market shares. International Journal of Bank Marketing, 18 (1). pp. 42-47. ISSN 0265-2323
Cowton, Christopher J., Drury, Colin and Brierley, J. (2006) Reasons for adopting different capacity levels in the denominator of overhead rates: a research note. Journal of Applied Management Accounting Research, 4 (2). pp. 53-62.
Cowton, Christopher J. and Gunn, Christine J. (2000) The affinity credit card as a fundraising tool for charities. International Journal of Nonprofit and Voluntary Sector Marketing, 5 (1). pp. 11-18. ISSN 1465-4520
Cowton, Christopher J. and Sparkes, R. (2004) The maturing of socially responsible investment: a review of the developing link with corporate social responsibility. Journal of business ethics, 52 (1). pp. 45-57. ISSN 1573-0697
Cowton, Christopher J. and Thompson, P. (2004) Bringing the environment into bank lending: implications for environmental reporting. British accounting review, 36 (2). pp. 197-218. ISSN 0890-8389
Cowton, Christopher J. and Thompson, P. (2001) Financing the social economy: a case study of Triodos Bank. International journal of nonprofit and voluntary sector marketing, 6 (2). pp. 145-155. ISSN 1465-4520
Davies, Michael C. R., Ayris, Paul, Stone, Graham, Cheshire, Jim, Jackson, Rhodri, Hacker, Andrea, Bunz, Mercedes, Ferwerda, Eelco, Newton, Hazel, Dacos, Marin, Mounier, Pierre and Neuman, Yrsa (2014) How should we fund open access monographs and what do you think is the most likely way that funding will happen? Insights, 27 (S1). pp. 45-50. ISSN 2048-7754
Day, John, Reynolds, Paul Lewis and Lancaster, Geoffrey A. (2006) Entrepreneurship and the small to medium sized enterprise: a divergent / convergent paradox in thinking patterns between advisers and SME owner managers. Management decision, 44 (5). pp. 581-597. ISSN 0025-1747
Deku, Solomon Y., Kara, Alper and Molyneux, Philip (2016) Access to consumer credit in the UK. The European Journal of Finance, 22 (10). pp. 941-964. ISSN 1351-847X
Donoso, Sebastian Baixeras, Altunbaş, Yener and Kara, Alper (2011) The Rationale Behind Informal Finance: Evidence from Roscas in Bolivia. The Journal of Developing Areas, 45 (1). pp. 191-208. ISSN 1548-2278
Drake, Julie E. (2011) Adding Value to Audit Education Through 'Living Cases'. Accounting Education: an International Journal, 20 (2). pp. 203-222. ISSN 09639284
Drury, Colin (1997) The misapplication of capital investment appraisal techniques. Management decision, 35 (2). pp. 86-93. ISSN 0025-1747
Drury, Colin and Lamminmaki, D. (2001) A comparison of New Zealand and British product costing practices. International journal of accounting, 36 (3). pp. 329-347. ISSN 0020-7063
Drury, Colin and Tayles, M. (2005) Explicating the design of overhead absorption procedures in UK organisations. British accounting review, 37 (1). pp. 47-84. ISSN 0890-8389
Drury, Colin and Tayles, M. (2001) Moving from Make/Buy to strategic sourcing: the outsource decision process. Long range planning, 34 (5). pp. 605-622. ISSN 0024-6301
Drury, Colin and Tayles, M. (2006) Profitability analysis in UK organizations: an exploratory study. British accounting review, 38 (4). pp. 405-425. ISSN 0890-8389
Drury, Colin and Tayles, Mike (2001) System breakdown: how good is your company's cost information? Financial management. pp. 36-40. ISSN 1471-9185
Duggimpudi, Rajesh R., Abdou, Hussein and Zaki, Mohamed (2010) An evaluation of equity diversified mutual funds: the case of the Indian market. Investment management and Financial Innovations, 7 (4). pp. 66-73. ISSN 18104967
Eccles, David W., Ward, Paul, Goldsmith, Elizabeth and Arsal, Guler (2013) The Relationship between Retirement Wealth and Householders' Lifetime Personal Financial and Investing Behaviors. Journal of Consumer Affairs, 47 (3). pp. 432-464. ISSN 0022-0078
Elbakry, Ashraf, Nwachukwu, Jacinta, Abdou, Hussein and Elshandidy, Tamer (2017) Comparative Evidence on the Value Relevance of IFRS-based Accounting Information in Germany and the UK. Journal of International Accounting, Auditing and Taxation, 28. pp. 10-30. ISSN 1061-9518
Elgazzar, Sara H., Tipi, Nicoleta S., Hubbard, Nick J. and Leach, David Z. (2012) Linking supply chain processes’ performance to a company’s financial strategic objectives. European Journal of Operational Research, 223 (1). pp. 276-289. ISSN 0377-2217
Elmagrhi, Mohamed H., Ntim, Collins G., Crossley, Richard M., Malagila, John, Fosu, Samuel and Vu, Tien V. (2017) Corporate Governance and Dividend Policy in UK Listed SMEs: The Effect of Board Characteristics. International Journal of Accounting and Information Management, 25 (4). pp. 459-483. ISSN 1834-7649
Elmogla, Mahmoud, Cowton, Christopher J. and Downs, Yvonne (2015) Corporate Social Reporting in Libya: A Research Note. Social Responsibility Journal, 11 (4). pp. 923-932. ISSN 1747-1117
Espenlaub, Susanne, Khurshed, Arif and Sitthipongpanich, Thitima (2012) Bank connections, corporate investment and crisis. Journal of Banking and Finance, 36 (5). pp. 1336-1353. ISSN 0378-4266
Feiman, Daniel (2011) Book Review: Brand Thinking and Other Noble Pursuits, by Debbie Millman. New York Journal of Books.
Feiman, Daniel (2011) Book Review: Built to Sell: Creating a Business That Can Thrive Without You, by John Warrillow. New York Journal of Books.
Feiman, Daniel (2011) Book Review: Empire State of Mind: How Jay-Z Went from Street Corner to Corner Office, by Zack O'Malley Greenburg. New York Journal of Books.
Feiman, Daniel (2011) Book Review: The 10 Commandments of Money: Survive and Thrive in the New Economy, by Liz Weston. New York Journal of Books.
Feiman, Daniel (2010) Book Review: The Big Short: Inside the Doomsday Machine, by Michael Lewis. New York Journal of Books.
Feiman, Daniel (2007) Book Review: Value Merchants, by James C. Anderson, Nirmalya Kumar, and James A. Narus. New York Journal of Books.
Filatotchev, Igor and Allcock, Deborah (2010) Exchange: corporate governance and executive remuneration: a contingency framework. Academy of Management Perspectives, 24 (1). pp. 20-33. ISSN 1558-9080
Floros, Christos and Tan, Aaron Yong (2013) Moon Phases, Mood and Stock Market Returns: International Evidence. Journal of Emerging Market Finance, 12 (1). pp. 107-127. ISSN 0972-6527
Floros, Christos, Zopounidis, Constantin, Tan, Aaron Yong, Lemonakis, Christos, Garefalakis, Alexandros and Tabouratzi, Efthalia (2017) Efficiency in Banking: Does the Choice of Inputs and Outputs Matter? International Journal of Computational Economics and Econometrics. ISSN 1757-1170 (In Press)
Gadanecz, Blaise, Kara, Alper and Molyneux, Philip (2012) Asymmetric information among lending syndicate members and the value of repeat lending. Journal of International Financial Markets, Institutions and Money, 22 (4). pp. 913-935. ISSN 1042-4431
Gutierrez-Goiria, Jorge, San-Jose, Leire and Retolaza, Jose Luis (2016) Social Efficiency in Microfinance Institutions: Identifying How to Improve It. Journal of International Development. ISSN 0954-1748
Hardaker, Glenn and Smith, D. (2002) e-Learning communities: virtual markets and knowledge creation. European business review, 14 (5). pp. 342-350. ISSN 0955-534X
Harness, David R. and Marr, Norman E. (2001) Product elimination: A barrier to successful financial service sector company mergers? Journal of financial services marketing, 6 (1). pp. 67-76. ISSN 1363-0539
Harness, David R. and Marr, Norman E. (2004) A comparison of product elimination success factors in the UK banking, building society and insurance sectors. International Journal of Bank Marketing, 22 (2). pp. 126-143. ISSN 0265-2323
Harness, David R., Marr, Norman E. and Goy, Tina (1998) The identification of weak products revisited. Journal of product and brand management, 7 (4). pp. 319-335. ISSN 1061-0421
Howcroft, Barry, Kara, Alper and Marques-Ibanez, David (2014) Determinants of syndicated lending in European banks and the impact of the financial crisis. Journal of International Financial Markets, Institutions and Money, 32. pp. 473-490. ISSN 1042-4431
Hussainey, Khaled and Al-Najjar, Basil (2012) Understanding the Determinants of RiskMetrics/ISS Ratings of the Quality of UK Companies' Corporate Governance Practice. Canadian Journal of Administrative Sciences / Revue Canadienne des Sciences de l'Administration, 29 (4). pp. 366-377. ISSN 08250383
Hussainey, Khaled and Al‐Najjar, Basil (2011) Future‐oriented narrative reporting: determinants and use. Journal of Applied Accounting Research, 12 (2). pp. 123-138. ISSN 0967-5426
Iturralde, T., Maseda, A. and San-Jose, Leire (2010) Empirical evidence of banking relationships for Spanish SMEs. International Small Business Journal, 28 (3). pp. 274-295. ISSN 0266-2426
Iturralde, Txomin, Maseda, Amaia and San-Jose, Leire (2004) Cash management: análisis empírico de una cultura financiera (cash management: empirical analysis of a financial culture). Revista Iberoamericana de Contabilidad de Gestion, 2 (3). ISSN 1696-294X
Iturralde, Txomin, Maseda, Amaia and San-Jose, Leire (2005) La gestión de la liquidez: necesidades y excedentes de tesorería (The management of liquidity: needs and surpluses of treasury). Boletin economico de ICE (2834). pp. 29-41. ISSN 0214-8307
Jenkins, Andrew Kevin (2002) The euro and public houses in the UK. International Journal of Contemporary Hospitality Management, 14 (6). pp. 313-319. ISSN 0959-6119
Kara, Alper (2017) How ethnic minorities face higher levels of financial exclusion. The Conversation. ISSN 2044-5032
Kara, Alper (2013) Not all emerging markets are in the same QE boat. The Conversation. ISSN 2044-5032
Kara, Alper, Deku, Solomon Y. and Marques-Ibanez, David (2019) Trustee reputation in securitization: When does it matter? Financial Markets, Institutions and Instruments, 28 (2). pp. 61-84. ISSN 0963-8008
Kara, Alper, Marques-Ibanez, David and Ongena, Steven (2018) Securitization and Credit Quality in the European Market. European Financial Management. ISSN 1468-036X
Kara, Alper, Marques-Ibanez, David and Ongena, Steven (2016) Securitization and lending standards: Evidence from the European wholesale loan market. Journal of Financial Stability, 26. pp. 107-127. ISSN 1572-3089
Kara, Alper and Molyneux, Philip (2017) Household Access to Mortgages in the UK. Journal of Financial Services Research, 52 (3). pp. 253-275. ISSN 0920-8550
Kara, Alper, Ozkan, Aydin and Altunbas, Yener (2016) Securitisation and banking risk: what do we know so far? Review of Behavioural Finance, 8 (1). pp. 2-16. ISSN 1940-5979
Kent Baker, H., Kilincarslan, Erhan and Arsal, Alper Haktan (2018) Dividend policy in Turkey: Survey evidence from Borsa Istanbul firms. Global Finance Journal, 35. pp. 43-57. ISSN 1044-0283
Kilincarslan, Erhan and Ozdemir, Ozgur (2017) Institutional investment horizon and dividend policy: An empirical study of UK firms. Finance Research Letters. ISSN 1544-6123
Kuah, A.T.H. and Day, John (2010) Measuring Clustering Benefits and Competitiveness: What Do Players Really Value? Singapore Management Review, 32 (2). pp. 1-24. ISSN 0129-5977
Lau, Chi Keung Marco and Bilgin, Mehmet Huseyin (2013) Hedging with Chinese Aluminum Futures: International Evidence with Return and Volatility Spillover Indices Under Structural Breaks. Emerging Markets Finance and Trade, 49 (Sup 1). pp. 37-48. ISSN 1540-496X
Lau, Marco Chi Keung, Demir, Ender and Bilgin, Mehmet Huseyin (2013) Experience-based corporate corruption and stock market volatility: Evidence from emerging markets. Emerging Markets Review, 17. pp. 1-13. ISSN 1566-0141
Low, Christopher (2006) A framework for the governance of social enterprise. International journal of social economics, 33 (5/6). pp. 376-385. ISSN 0306-8293
Lucey, Brian M., Vigne, Samuel A., Ballester, Laura, Barbopoulos, Leonidas, Brzeszczynski, Janusz, Carchano, Oscar, Dimic, Nebojsa, Fernandez, Viviana, Gogolin, Fabian, Gonzalez-Urteaga, Ana, Goodell, John W., Helbing, Pia, Ichev, Riste, Kearney, Fearghal, Laing, Elaine, Larkin, Charles J., Lindblad, Annika, Loncarski, Igor, Ly, Kim Cuong, Marinc, Matej, McGee, Richard J., McGroarty, Frank, Neville, Conor, O'Hagan-Luff, Martha, Piljak, Vanja, Sevic, Aleksandar, Sheng, Xin, Stafylas, Dimitrios, Urquhart, Andrew, Versteeg, Roald, Vu, Anh N., Wolfe, Simon, Yarovaya, Larisa and Zaghini, Andrea (2018) Future directions in international financial integration research - A crowdsourced perspective. International Review of Financial Analysis, 55. pp. 35-49. ISSN 1057-5219
Marr, Norman E. and Harness, David R. (2001) Strategies for eliminating a financial services product. Journal of product and brand management, 10 (7). pp. 423-438. ISSN 1061-0421
Marr, Norman E. and Harness, David R. (2002) What caused the Bank's products to die? Australasian marketing journal, 10 (2). pp. 44-54. ISSN 1441-3582
Marr, Norman E. and Prendergast, G.P. (1993) Consumer adoption of self-service technologies in retail banking: Is expert opinion supported by consumer research? International Journal of Bank Marketing, 11 (1). pp. 3-10. ISSN 0265-2323
Masoud, Najeb and Hardaker, Hardaker (2012) The impact of financial development on economic growth: Empirical analysis of emerging market countries. Studies in Economics and Finance, 29 (3). pp. 148-173. ISSN 1086-7376
Mostafa, Wael, Eldomiaty, Tarek and Abdou, Hussein (2011) The effect of bank capital structure and financial indicators on CI's financial strength ratings: the case of the Middle East. Banks and Bank Systems, 6 (3). pp. 5-15. ISSN 1816-7403
Ntim, Collins G. (2013) Corporate Governance, Affirmative Action and Firm Value in Post-apartheid South Africa: A Simultaneous Equation Approach. African Development Review, 25 (2). pp. 148-172. ISSN 10176772
Ntim, Collins G. (2013) Corporate ownership and market valuation in South Africa: uncovering the effects of shareholdings by different groups of corporate insiders and outsiders. International Journal of Business Governance and Ethics, 8 (3). pp. 242-264. ISSN 1477-9048
Ntim, Collins G. (2012) Director shareownership and corporate performance in South Africa. African Journal of Accounting, Auditing and Finance, 1 (4). pp. 359-373. ISSN 2046-8083
Ntim, Collins G. (2012) Does the South African stock market value an independent dual board leadership structure? Economics and Business Letters, 1 (1). pp. 35-45. ISSN 2254-4380
Ntim, Collins G. (2013) An Integrated Corporate Governance Framework and Financial Performance in South African-Listed Corporations. South African Journal of Economics, 81 (3). pp. 373-392. ISSN 00382280
Ntim, Collins G. (2011) The King reports, independent non-executive directors and firm valuation on the Johannesburg stock exchange. Corporate Ownership and Control, 9 (1). pp. 428-440. ISSN 1727-9232
Ntim, Collins G. (2013) Monitoring board committee structure and market valuation in large publicly listed South African corporations. International Journal of Managerial and Financial Accounting, 5 (3). pp. 310-325. ISSN 1753-6715
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Fisher, Roy (1999) The vocational curriculum in England 1974-1994 : a socio-historical study of the Business and Technology Education Council's National Diploma in Business and Finance. Doctoral thesis, University of Huddersfield.
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Masoud, Najeb M. H. (2009) Libya’s economic reform programme and the case for a stock market. Doctoral thesis, University of Huddersfield.
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Nyoni, Eneless (2020) Directors’ Duties in Relation to Creditor Protection in Developing Countries using a Comparative Study of United Kingdom (UK) and Zambia. Doctoral thesis, University of Huddersfield.
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Sadeghian, Mohammad R (2010) A Study of the Significance of Organisational Culture for the successful implementation and operation of Total Quality Management (TQM): A Comparative Study between Iran and the UK. Doctoral thesis, University of Huddersfield.
Sahdan, Mohd (2018) Organisational Intention to Use Forensic Accounting Services in Detecting and Preventing Fraud:The Case of English Local Authorities. Doctoral thesis, University of Huddersfield.
Samawi, Jamil Nazih (2011) Global Banks Marketing Communication in Jordan: Standardisation or Adaptation – Developing an Effective Integrated Marketing Communication Model to Target the Jordanian Market: A Study of Global Banks in Jordan. Doctoral thesis, The University of Huddersfield.
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Swaby, Gerald (2016) A critical examination of the disproportionate rights and duties of insurers and insured vis-à-vis good faith, fraud and the settlement of insurance claims. Doctoral thesis, University of Huddersfield.
Wali, Andy Fred (2016) A Comparative Consumer Study of Firms’ CRM Practices and Marketing Effectiveness in the Mobile Telecommunications Sectors of Nigeria and the UK. Doctoral thesis, University of Huddersfield.
Zuriekat, Majdy Issa Khalil (2005) Performance measurement systems : an examination of the influence of the contextual factors and their impact on performance with a specific emphasis on the balanced scorecard approach. Doctoral thesis, University of Huddersfield.
Cowton, Christopher J. (2011) Socially responsible investment. [Video] (Unpublished)