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Number of items at this level: 103.


Abdelrehim, N, Maltby, J and Toms, JS (2015) Narrative reporting and crises: British Petroleum and Shell, 1950–1958. Accounting History, 20 (2). 138 - 157. ISSN 1032-3732

Abdelrehim, N and Toms, S (2017) The obsolescing bargain model and oil: the Anglo-Iranian Oil Company 1933–1951. Business History, 59 (4). pp. 554-571. ISSN 0007-6791

Adomako, S, Danso, A, Uddin, M et al. (1 more author) (2016) Entrepreneurs’ Optimism, Cognitive Style and Persistence. International Journal of Entrepreneurial Behaviour and Research, 22 (1). pp. 84-108. ISSN 1355-2554

Al Shaer, H, Salama, A and Toms, S (2017) Audit committees and financial reporting quality: Evidence from UK environmental accounting disclosures. Journal of Applied Accounting Research, 18 (1). pp. 2-21. ISSN 0967-5426

Alam, A, Uddin, M and Yazdifar, H (2017) Financing behaviour of R&D investment in the emerging markets: the role of alliance and financial system. R&D Management. ISSN 0033-6807

Alam, A, Uddin, M and Yazdifar, H (2018) Institutional determinants of R&D investment: Evidence from emerging markets. Technological Forecasting and Social Change. ISSN 0040-1625

Alexy, M, Georgantzis, N, Kacer, M et al. (1 more author) (2016) Risk Attitude Elicitation Methods: Do They Tell Similar Stories? Ekonomicky casopis, 64 (9). pp. 847-877. ISSN 0013-3035

Alexy, M, Kacer, M and Rehák, Š (2018) Creative capacity of European countries. Hungarian Geographical Bulletin, 67 (3). pp. 201-222. ISSN 2064-5031

Alhadab, M and Clacher, I (2018) The impact of audit quality on real and accrual earnings management around IPOs. British Accounting Review, 50 (4). pp. 442-461. ISSN 0890-8389

Alhadab, M, Clacher, I and Keasey, K (2016) A Comparative Analysis of Real and Accrual Earnings Management around Initial Public Offerings under Different Regulatory Environments. Journal of Business Finance and Accounting, 43 (7/8). pp. 849-871. ISSN 0306-686X

Altanlar, A, Guo, J and Holmes, P (2018) Do culture, sentiment and cognitive dissonance explain the “above suspicion” anomalies? European Financial Management. ISSN 1354-7798

Amini, S and Toms, S (2018) Accessing capital markets: Aristocrats and new share issues in the British bicycle boom of the 1890s. Business History, 60 (2). pp. 231-256. ISSN 0007-6791

Ataullah, A, Vivian, A and Xu, B (2018) Optimistic Disclosure Tone and Conservative Debt Policy. Abacus. ISSN 0001-3072

Ataullah, A, Vivian, A and Xu, B (2018) Time-varying managerial overconfidence and corporate debt maturity structure. The European Journal of Finance, 24 (2). pp. 157-181. ISSN 1351-847X


Bamiatzi, V, Bozos, K, Cavusgil, ST et al. (1 more author) (2016) Revisiting the firm, industry, and country effects on profitability under recessionary and expansion periods: A multilevel analysis. Strategic Management Journal, 37 (7). pp. 1448-1471. ISSN 0143-2095

Bamiatzi, V, Bozos, K and Lambertides, N (2016) Mapping the trading behavior of the middle class in emerging markets: Evidence from the Istanbul Stock Exchange. International Business Review, 25 (3). pp. 679-690. ISSN 0969-5931

Bierth, C, Irresberger, F and Weiß, GNF (2015) Systemic risk of insurers around the globe. Journal of Banking & Finance, 55. pp. 232-245. ISSN 0378-4266

Bilgin, MH, Gogolin, F, Lau, MCK et al. (1 more author) (2018) Time-variation in the relationship between white precious metals and inflation: A cross-country analysis. Journal of International Financial Markets, Institutions and Money, 56. pp. 55-70. ISSN 1042-4431

Blanco-Oliver, A, Veronesi, G and Kirkpatrick, I (2018) Board Heterogeneity and Organisational Performance: The Mediating Effects of Line Managers and Staff Satisfaction. Journal of Business Ethics, 152 (2). pp. 393-407. ISSN 0167-4544

Boso, N, Danso, A, Leonidou, C et al. (3 more authors) (2017) Does financial resource slack drive sustainability expenditure in developing economy small and medium-sized enterprises? Journal of Business Research, 80. pp. 247-256. ISSN 0148-2963

Bücher, A, Irresberger, F and Weiss, GNF (2017) Testing Asymmetry in Dependence with Copula-Coskewness. North American Actuarial Journal, 21 (2). pp. 267-280. ISSN 1092-0277


Cai, CX, Faff, R and Shin, Y (2018) Noise Momentum Around the World. Abacus, 54 (1). pp. 79-104. ISSN 0001-3072

Cai, CX, Li, P and Zhang, Q (2018) Overreaction to growth opportunities: An explanation of the asset growth anomaly. European Financial Management. ISSN 1354-7798

Cai, CX, McGuinness, PB and Zhang, Q (2015) Capital account reform and short- and long-run stock price leadership. European Journal of Finance, 23 (10). pp. 916-945. ISSN 1351-847X

Cai, CX, Mobarek, A and Zhang, Q (2017) International Stock Market Leadership and its Determinants. Journal of Financial Stability, 33. pp. 150-162. ISSN 1572-3089

Chen, J, De Cesari, A, Hill, P et al. (1 more author) (2018) Initial compensation contracts for new executives and financial distress risk: An empirical investigation of UK firms. Journal of Corporate Finance, 48. pp. 292-313. ISSN 0929-1199

Chen, J, Leung, WS and Evans, KP (2016) Are employee-friendly workplaces conducive to innovation? Journal of Corporate Finance, 40. pp. 61-79. ISSN 0929-1199

Chen, J, Leung, WS and Evans, KP (2018) Female board representation, corporate innovation and firm performance. Journal of Empirical Finance, 48. pp. 236-254. ISSN 0927-5398

Chen, J, Leung, WS and Goergen, M (2017) The impact of board gender composition on dividend payouts. Journal of Corporate Finance, 43. pp. 86-105. ISSN 0929-1199

Chowdhury, A, Uddin, M and Anderson, K (2018) Liquidity and macroeconomic management in emerging markets. Emerging Markets Review, 34. pp. 1-24. ISSN 1566-0141

Clacher, I, Keating, C and McKee, D (2018) Smart Ledgers & Collective Defined Contribution Pensions. Report. Long Finance

Clacher, I, de Ricquebourg, AD and Hodgson, A (2013) The value relevance of direct cash flows under international financial reporting standards. Abacus, 49 (3). 367 - 395. ISSN 1467-6281


Danso, A, Adamoko, S, Ofori Domoah, J et al. (1 more author) (2016) Risk-taking Propensity, Managerial Network Ties and Firm Performance in an Emerging Economy. Journal of Entrepreneurship, 25 (2). pp. 155-183. ISSN 0971-3557

Danso, A, Lartey, T, Fosu, S et al. (2 more authors) (2017) Leverage and firm investment: the role of information asymmetry and growth. International Journal of Accounting and Information Management. ISSN 1834-7649 (In Press)

Dinger, V and Vallascas, F (2016) Do Banks Issue Equity When they Are Poorly Capitalized? Journal of Financial and Quantitative Analysis, 51 (5). pp. 1575-1609. ISSN 0022-1090

Draper, P, Duboisee De Ricquebourg, AJ and Clacher, I (2018) Auctions, market efficiency, and the trade in second-hand and antique silver. Economics Letters, 162. pp. 45-48. ISSN 0165-1765


Galariotis, EC, Holmes, P, Kallinterakis, V et al. (1 more author) (2014) Market states, expectations, sentiment and momentum: How naive are investors? International Review of Financial Analysis, 32. pp. 1-12. ISSN 1057-5219

Gardiner, J, Robinson, AM and Fakhfakh, F (2016) Exploring the private pension gender gap and occupation in later working life. Work, Employment and Society, 30 (4). pp. 687-707. ISSN 0950-0170

Gogolin, F, Cummins, M and Dowling, M (2018) The value of director reputation: Evidence from outside director appointments. Finance Research Letters. ISSN 1544-6123

Gogolin, F, Kearney, F, Lucey, BM et al. (2 more authors) (2018) Uncovering long term relationships between oil prices and the economy: A time-varying cointegration analysis. Energy Economics. ISSN 0140-9883


Hagendorff, J, Keasey, K and Vallascas, F (2018) When Banks Grow Too Big for Their National Economies: Tail Risks, Risk Channels, and Government Guarantees. Journal of Financial and Quantitative Analysis, 53 (5). pp. 2041-2066. ISSN 0022-1090

Hernandez Tinoco, M, Holmes, P and Wilson, N (2018) Polytomous response financial distress models: The role of accounting, market and macroeconomic variables. International Review of Financial Analysis, 59. pp. 276-289. ISSN 1057-5219

Hernandez Tinoco, M and Wilson, N (2013) Financial distress and bankruptcy prediction among listed companies using accounting, market and macroeconomic variables. International Review of Financial Analysis, 30. pp. 394-419. ISSN 1057-5219

Higgins, D, Toms, JS and Filatotchev, I (2015) Ownership, financial strategy and performance: the Lancashire cotton textile industry, 1918-1938. Business History, 57 (1). pp. 97-121. ISSN 0007-6791

Hung, C-HD, Jiang, Y, Liu, FH et al. (1 more author) (2018) Competition or manipulation? An empirical evidence of determinants of the earnings persistence of the U.S. banks. Journal of Banking and Finance, 88. pp. 442-454. ISSN 0378-4266

Hung, C-HD, Jiang, Y, Liu, FH et al. (2 more authors) (2017) Bank Political Connections and Performance in China. Journal of Financial Stability, 32. pp. 57-69. ISSN 1572-3089


Irresberger, F, Bierth, C and Weiß, GNF (2017) Size is everything: Explaining SIFI designations. Review of Financial Economics, 32. pp. 7-19. ISSN 1058-3300

Irresberger, F, König, FE and Weiss, GNF (2017) Crisis Sentiment in the U.S. Insurance Sector. Journal of Risk and Insurance, 84 (4). pp. 1295-1330. ISSN 0022-4367

Irresberger, F, Weiss, GNF, Gabrysch, J et al. (1 more author) (2018) Liquidity tail risk and credit default swap spreads. European Journal of Operational Research, 269 (3). pp. 1137-1153. ISSN 0377-2217


Jahanshahloo, H and Cai, CX (2018) Monitoring the Foreign Exchange Rate Benchmark Fix. European Journal of Finance. ISSN 1351-847X

Jahanshahloo, H and Spokeviciute, L (2018) A Modification to the WPC Model. Economics Letters, 171. pp. 76-78. ISSN 0165-1765


Kacer, M, Peel, DA, Peel, MJ et al. (1 more author) (2018) On the Persistence and Dynamics of Big 4 Real Audit Fees: Evidence from the UK. Journal of Business Finance and Accounting, 45 (5-6). pp. 714-727. ISSN 0306-686X

Keasey, K, Martinez, B and Pindado, J (2015) Young family firms: Financing decisions and the willingness to dilute control. Journal of Corporate Finance, 34. 47 - 63. ISSN 0929-1199

King, T, Bozos, K and Koutmos, D (2017) Shareholder Activism and Equity Price Reactions. Economics Letters, 160. pp. 100-104. ISSN 0165-1765

King, T, Srivastav, A and Williams, J (2016) What's in an education? Implications of CEO education for bank performance. Journal of Corporate Finance, 37. pp. 287-308. ISSN 0929-1199

Kirkpatrick, I, Altanlar, A and Veronesi, G (2017) Corporatisation and the emergence of (under-managered) managed organisations: The case of English public hospitals. Organization Studies, 38 (12). pp. 1687-1708. ISSN 0170-8406

Kirkpatrick, I, Vallascas, F and Veronesi, G (2017) Business Experts on Public Sector Boards: What Do They Contribute? Public Administration Review, 77 (5). pp. 754-765. ISSN 0033-3352

Koutmos, D, Bozos, K, Dionysiou, D et al. (1 more author) (2018) The timing of new corporate debt issues and the risk-return tradeoff. Review of Quantitative Finance and Accounting, 50 (4). pp. 943-978. ISSN 0924-865X


Leung, WS, Mazouz, K, Chen, J et al. (1 more author) (2018) Organization capital, labor market flexibility, and stock returns around the world. Journal of Banking & Finance, 89. pp. 150-168. ISSN 0378-4266

Liu, J, Wu, Y and Uddin, M (2018) Special Issue: Capital Market and Corporate Misbehaviour. China Finance Review International, 8 (2). pp. 118-121. ISSN 2044-1398

Lucey, BM, Vigne, SA, Ballester, L et al. (31 more authors) (2018) Future directions in international financial integration research - A crowdsourced perspective. International Review of Financial Analysis, 55. pp. 35-49. ISSN 1057-5219

Ly, KC, Chen, Z, Wang, S et al. (1 more author) (2017) The Basel III net stable funding ratio adjustment speed and systemic risk. Research in International Business and Finance, 39 (Pt A). pp. 169-182. ISSN 0275-5319


Malul, M, Shoham, A and Uddin, M (2016) Linguistic gender marking gap and female staffing at MNC's. International Journal of Human Resource Management, 27 (20). pp. 2531-2549. ISSN 0958-5192


Nguyen, T, Cai, CX and McColgan, P (2017) How firms manage their cash flows: an examination of diversification’s effect. Review of Quantitative Finance and Accounting, 48 (3). pp. 701-724. ISSN 0924-865X

Nguyen, T and Cai, X (2016) Value-Enhancing Learning from Industry-wide Diversification Experience. British Journal of Management, 27 (2). pp. 323-337. ISSN 1045-3172

Nikolopoulos, KI, Zied Babai, M and Bozos, K (2016) Forecasting supply chain sporadic demand with nearest neighbor approaches. International Journal of Production Economics, 177. pp. 139-148. ISSN 0925-5273


Ochotnický, P, Káčer, M and Alexy, M (2018) Sustainability of the ELV processing system in the Slovak Republic and forecasting of waste streams from the operation of passenger motor vehicles. Waste Forum (5). pp. 452-467. ISSN 1804-0195


Pelster, M, Irresberger, F and Weiß, GNF (2018) Bank stock performance and bank regulation around the globe. European Journal of Finance, 24 (2). pp. 77-113. ISSN 1351-847X

Pendleton, A and Robinson, A (2018) Lack of diversification among employee stock owners: An empirical evaluation of behavioral explanations. Human Resource Management, 57 (5). pp. 1175-1187. ISSN 0090-4848

Pendleton, A and Robinson, A (2017) The productivity effects of multiple pay incentives. Economic and Industrial Democracy, 38 (4). pp. 588-608. ISSN 0143-831X


Rahman, M, Uddin, M and Lodorfos, G (2017) Barriers to Enter into Foreign Markets: Evidence from SMEs in emerging market. International Marketing Review, 34 (1). pp. 68-86. ISSN 0265-1335

Rehák, S, Alexy, M and Káčer, M (2018) Determinants of choice of the place of university study in Slovakia (Determinanty výberu miesta vysokoškolského štúdia na Slovensku). Geografie, 123 (2). pp. 201-224. ISSN 1212-0014


Sarto, F and Veronesi, G (2016) Clinical leadership and hospital performance: Assessing the evidence base. BMC Health Services Research, 16 (2). ISSN 1472-6963

Sarto, F, Veronesi, G, Kirkpatrick, I et al. (1 more author) (2016) Exploring Regionalism in Public Management Reforms: The Case of the Italian Hospital Sector. Policy and Politics, 44 (4). pp. 525-545. ISSN 0305-5736

Srivastav, A, Armitage, S and Hagendorff, J (2014) CEO inside debt holdings and risk-shifting: Evidence from bank payout policies. Journal of Banking and Finance, 47 (1). 41 - 53. ISSN 0378-4266

Srivastav, A, Armitage, S, Hagendorff, J et al. (1 more author) (2018) Better safe than sorry? CEO inside debt and risk-taking in bank acquisitions. Journal of Financial Stability, 36. pp. 208-224. ISSN 1572-3089

Srivastav, A and Hagendorff, J (2016) Corporate Governance and Bank Risk-taking. Corporate Governance: An International Review, 24 (3). pp. 334-345. ISSN 0964-8410

Srivastav, A, Keasey, K, Mollah, S et al. (1 more author) (2017) CEO Turnover in Large Banks: Does Tail Risk Matter? Journal of Accounting and Economics, 64 (1). pp. 37-55. ISSN 0165-4101

Stafylas, D, Anderson, K and Uddin, M (2018) Hedge fund index-engineering methodologies: a comparison and demonstration. Applied Economics, 50 (6). pp. 596-612. ISSN 0003-6846

Stafylas, D, Anderson, K and Uddin, M (2018) Hedge fund performance attribution under various market conditions. International Review of Financial Analysis, 56. pp. 221-237. ISSN 1057-5219

Stafylas, D, Anderson, K and Uddin, M (2017) Recent Advances in Explaining Hedge Fund Returns: Implicit Factors and Exposures. Global Finance Journal, 33. pp. 69-87. ISSN 1044-0283

Stafylas, D, Anderson, K and Uddin, M (2016) Recent advances in hedge funds' performance attribution: Performance persistence and fundamental factors. International Review of Financial Analysis, 43. 48 - 61. ISSN 1057-5219

Symitsi, E, Symeonidis, L, Kourtis, A et al. (1 more author) (2018) Covariance forecasting in equity markets. Journal of Banking and Finance, 96. pp. 153-168. ISSN 0378-4266 (In Press)


Toms, JS (2014) Accounting-based Risk Management and the Capital Asset Pricing Model: An Empirical Comparison. Australian Accounting Review, 24 (2). 127 - 133. ISSN 1035-6908

Toms, JS (2013) Economic development, climate change and the limitations of corporate social responsibility. In: Haynes, K, Murray, A and Dillard, J, (eds.) Corporate social responsibility: a research handbook. Routledge , 28 - 40. ISBN 1136256482

Toms, JS (2015) Survival Strategies in the Textile Industry. Leeds University Business School.

Toms, JS and Fleischman, RK (2015) Accounting fundamentals and accounting change: Boulton & Watt and the Springfield Armory. Accounting, Organizations and Society, 41. pp. 1-20. ISSN 0361-3682

Toms, JS, Higgins, D and Uddin, M (2016) Vertical monopoly power, profit and risk: The British beer industry, c.1970-2004. Business History, 58 (5). pp. 667-693. ISSN 1743-7938

Toms, S (2016) Double entry and the rise of capitalism: keeping a sense of proportion? Accounting History Review, 26 (1). pp. 25-31. ISSN 2155-2851

Toms, S and Shepherd, A (2017) Accounting and social conflict: Profit and regulated working time in the British Industrial Revolution. Critical Perspectives On Accounting, 49. pp. 57-75. ISSN 1045-2354

Toms, S, Wilson, N and Wright, M (2015) The Evolution of Private Equity: Corporate Restructuring in the UK, c.1945-2010. Business History, 57 (5). pp. 736-768. ISSN 0007-6791

Toms, S and Zhang, Q (2016) Marks & Spencer and the Decline of the British Textile Industry, 1950-2000. Business History Review, 90 (1). pp. 3-30. ISSN 0007-6805


Uddin, M, Chowdhury, A, Zafar, S et al. (2 more authors) (2018) Institutional Determinants of Inward FDI: Evidence from Pakistan. International Business Review. ISSN 0969-5931


Vallascas, F, Mollah, S and Keasey, K (2017) Does the impact of board independence on large bank risks change after the global financial crisis? Journal of Corporate Finance, 44. pp. 149-166. ISSN 0929-1199

Veronesi, G, Kirkpatrick, I and Altanlar, A (2018) Are public sector managers a ‘bureaucratic burden’? The case of English public hospitals. Journal of Public Administration Research and Theory. ISSN 1053-1858 (In Press)

Veronesi, G, Kirkpatrick, I and Altanlar, A (2015) Clinical leadership and the changing governance of public hospitals: Implications for patient experience. Public Administration, 93 (4). pp. 1031-1048. ISSN 0033-3298

Vivian, A and Xu, B (2018) Time-varying managerial overconfidence and pecking order preference. Review of Quantitative Finance and Accounting, 50 (3). pp. 799-835. ISSN 0924-865X


Wilson, JF and Toms, JS (2012) Revisiting Chandler on the theory of the firm. In: Dietrich, M and Krafft, J, (eds.) Handbook on the economics and theory of the Firm. Edward Elgar , 297 - 307. ISBN 978-1848446489

Wilson, N (2015) Research on Venture Capital Firms Feeds into Government Policy. Leeds University Business School.

Wilson, N, Ochotnický, P and Káčer, M (2016) Creation and destruction in transition economies: The SME sector in Slovakia. International Small Business Journal, 34 (5). pp. 579-600. ISSN 0266-2426

Wilson, N, Wright, M and Kacer, M (2018) The Equity Gap and Knowledge-based Firms. Journal of Corporate Finance, 50. pp. 626-649. ISSN 0929-1199

Wright, M, Wilson, N, Gilligan, J et al. (2 more authors) (2016) Brexit, Private Equity and Management. British Journal of Management, 27 (4). pp. 682-686. ISSN 1045-3172


Zhang, Q, Vallascas, F, Keasey, K et al. (1 more author) (2015) Are Market-Based Measures of Global Systemic Importance of Financial Institutions Useful to Regulators and Supervisors? Journal of Money, Credit and Banking, 47 (7). 1403 - 1442. ISSN 0022-2879

This list was generated on Wed Nov 21 04:14:47 2018 GMT.