Number of items at this level: **44**.

## A

Adcock, C.J.
(1988)
*A bayesian approach to calculating sample sizes.*
Royal Statistical Society Series D (The Statistician), 37.
pp. 433-440.
ISSN 0039-0526

Adcock, C.J.
(1987)
*A bayesian approach to calculating sample sizes for multinomial sampling.*
Royal Statistical Society Series D (The Statistician), 36.
pp. 155-160.
ISSN 0039-0526

Adcock, C.J.
(1988)
*A service system model for sales forecasting.*
Royal Statistical Society Series D (The Statistician), 37.
pp. 205-212.
ISSN 0039-0526

Adcock, C.J.
(1993)
*An improved bayesian approach to calculating sample sizes for multinomial sampling.*
Royal Statistical Society Series D (The Statistician), 42.
pp. 91-96.
ISSN 0039-0526

Adcock, C.J.
(2010)
*Asset pricing and portfolio selection based on the multivariate extended skew-Student-t distribution.*
Annals of Operations Research, 176 (1).
pp. 221-234.
ISSN 0254-5330

Adcock, C.J.
(1995)
*Bayesian sample size determination - some comments on the paper by Joseph Wolfson and du Berger.*
Royal Statistical Society Series D (The Statistician), 44.
pp. 155-162.
ISSN 0039-0526

Adcock, C.J.
(1992)
*Bayesian sample size determination - some comments on the paper by Pham-Gia and Turkkan.*
Royal Statistical Society Series D (The Statistician), 41.
pp. 399-404.
ISSN 0039-0526

Adcock, C.J.
(2004)
*Capital asset pricing for UK stocks under the multivariate skew-normal distribution.*
In: Genton, M., (ed.)
Skew Elliptical Distributions and Their Applications: A Journey Beyond Normality.
Chapman and Hall
, Boca Raton, Florida
, pp. 191-204.
ISBN 1-58488-431-2

Adcock, C.J.
(1986)
*Choosing linear approximations to a non-linear model - a case study.*
Royal Statistical Society Series D (The Statistician), 35.
pp. 245-250.
ISSN 0039-0526

Adcock, C.J.
(2003)
*Empirical study of portfolio selection for optimally hedged portfolios.*
Multinational Finance Journal, 7.
pp. 83-106.
ISSN 1096-1879

Adcock, C.J.
(2005)
*Estimating UK factor models using the multivariate skew-normal distribution.*
In: Satchell, S.E. and Knight, J., (eds.)
Linear Factor Models in Finance.
Butterworth Heinemann
, Oxford, UK
, pp. 12-30.
ISBN 0-7506-6006-6

Adcock, C.J.
(2005)
*Exploiting skewness to build an optimal hedge fund with a currency overlay.*
The European Journal of Finance, 11 (5).
pp. 445-462.
ISSN 1351-847X

Adcock, C.J.
(2007)
*Extensions of Stein's lemma for the skew-normal distribution.*
Communications in Statistics - Theory and Methods, 36 (9-12).
pp. 1661-1671.
ISSN 0361-0926

Adcock, C.J.
(2007)
*Measuring portfolio performance using a modified measure of risk.*
Journal of Asset Management, 7 (6).
pp. 388-403.
ISSN 1470-8272

Adcock, C.J.
(2001)
*Portfolio optimisation.*
In: Taylor, J. and Shadbolt, J., (eds.)
Neural Networks and the Financial Markets.
Springer Verlag
, London, UK
, pp. 221-245.
ISBN 1-85233-531-9

Adcock, C.J.
(1989)
*Pre-sampling procedures.*
Royal Statistical Society Series D (The Statistician), 38.
pp. 107-116.
ISSN 0039-0526

Adcock, C.J.
(2003)
*Predicting portfolio returns using the distributions of efficient set portfolios.*
In: Satchell, S.E. and Scowcroft, A,, (eds.)
Advances in Portfolio Construction and Implementation.
Butterworth Heinemann
, Oxford, UK
, pp. 342-357.
ISBN 0-7506-5448-1

Adcock, C.J.
(1997)
*Sample size determination - a review.*
Royal Statistical Society Series D (The Statistician), 46.
pp. 261-284.
ISSN 0039-0526

Adcock, C.J.
(1997)
*The choice of sample size and the method of expected utility - comments on the paper by Lindley.*
Royal Statistical Society Series D (The Statistician), 46.
pp. 155-162.
ISSN 0039-0526

Adcock, C.J.
(2000)
*The dynamic control of risk in optimised portfolios.*
The IMA Journal of Mathematics Applied in Business and Industry, 11.
pp. 127-138.
ISSN 0953-0061

Adcock, C.J. and Clark, E.A.
(1999)
*Beta lives - some statistical perspectives on the capital asset pricing model.*
The European Journal of Finance, 5 (3).
pp. 213-224.
ISSN 1351-847X

Adcock, C.J. and Meade, N.
(1994)
*A simple algorithm to incorporate transactions costs in quadratic optimisation.*
European Journal of Operational Research, 79 (1).
pp. 85-94.
ISSN 0377-2217

Adcock, C.J. and Shutes, K.
(2005)
*An analysis of skewness and skewness persistence in three emerging markets.*
Emerging Markets Review, 6 (4).
pp. 396-418.
ISSN 1566-0141

Adcock, C.J. and Shutes, K.
(2000)
*Fat tails and the capital asset pricing model.*
In: Dunis, C., (ed.)
Advances in Quantitative Asset Management.
Kluwer Academic Press
, Boston, Mass.
, pp. 17-41.
ISBN 0-7923-7778-8

Adcock, C., Hua, X., Mazouz, K. and Yin, S.
(2014)
*Derivative activities and Chinese banks' exposures to exchange rate and interest rate movements.*
European Journal of Finance.
Published online: 31 Mar 2014.
ISSN 1351-847X

Adcock, C., Hua, X., Mazouz, K. and Yin, S.
(2014)
*Does the stock market reward innovation? European stock index reaction to negative news during the global financial crisis.*
Journal of International Money and Finance, 49 (Part B).
470 - 491.
ISSN 0261-5606

## B

Beleska-Spasova, E. and Glaister, K.W.
(2009)
*The geography of British exports: country-level versus firm-level evidence.*
European Management Journal, 27 (5).
pp. 295-304.
ISSN 0263-2373

Bhaumik, S.K., kumbhakar, S. and Sun, K.
(2014)
*A note on a semiparametric approach to estimating financing constraints in firms.*
European Journal of Finance.
Published online: 15 May 2014.
ISSN 1466-4364

Buhlungu, S., Brookes, M. and Wood, G.
(2008)
*Trade unions and democracy in South Africa: Union organizational challenges and solidarities in a time of transformation.*
British Journal of Industrial Relations, 46 (3).
pp. 439-468.
ISSN 0007-1080

Burns, D
(2000)
*Feminism, psychology and social policy: Constructing political boundaries at the grassroots.*
FEMINISM & PSYCHOLOGY, 10 (3).
367 - 380.
ISSN 0959-3535

## D

Dutta, A., Peng, G.C. and Choudhary, A.
(2013)
*Risks in enterprise cloud computing: the perspective of IT experts.*
Journal of Computer Information Systems, 53 (4).
pp. 39-48.

## G

Goergen, M., Manjon, M.C. and Renneboog, L.
(2008)
*Recent developments in German corporate governance.*
International Review of Law and Economics, 28 (3).
pp. 175-193.
ISSN 0144-8188

## K

Ketikidis, K.H., Koh, S.C.L., Dimitriadis, N., Gunasekaran, A. and Kehajova, M.
(2008)
*The use of information systems for logistics and supply chain management in South East Europe: Current status and future direction.*
Omega: International Journal of Management Science, 36 (4).
pp. 592-599.
ISSN 0305-0483

Koh, S.C.L., Gunasekaran, A. and Saad, S.M.
(2006)
*Parts verification for multi-level-dependent demand manufacturing systems: a recognition and classification structure.*
The International Journal of Advanced Manufacturing Technology, 31 (3-4).
pp. 305-315.
ISSN 1433-3015

## M

Macdonald, S. and Kam, J.
(2009)
*Publishing in top journals - a never-ending fad?*
Scandinavian Journal of Management, 25 (2).
pp. 221-224.
ISSN 0956-5221

Marsh, K. and Musson, G.
(2007)
*Men at work and at home: managing emotion in telework.*
Gender, Work and Organization, 15 (1).
pp. 31-48.
ISSN 1468-0432

Martin, G.P., Currie, G., Finn, R. and McDonald, R.
(2011)
*The medium-term sustainability of organisational innovations in the national health service.*
Implementation Science , 6.
Art. no. 19.
ISSN 1748-5908

Mazouz, K., Daya, W. and Yin, S.
(2014)
*Index revisions, systematic liquidity risk and the cost of equity capital.*
Journal of International Financial Markets, Institutions and Money, 33.
283 - 298.
ISSN 1042-4431

Mazouz, K., Wu, Y. and Yin, S.
(2014)
*Trading activity in options and stock around price-sensitive news announcements.*
Journal of Futures Markets.
Article first published online: 29 AUG 2014.
ISSN 0270-7314

Musson, G., Cohen, L. and Tietze, S.
(2007)
*Pedagogy and the ‘linguistic turn’: developing understanding through semiotics.*
Management Learning, 38 (1).
pp. 45-60.
ISSN 1461-7307

Musson, G. and Duberley, J.
(2007)
*Change, change or be exchanged: The discourse of participation and the manufacture of identity.*
Journal of Management Studies, 44 (1).
pp. 143-164.
ISSN 1467-6486

## R

Ravindranathan Nair, S., Demirbag, M. and Mellahi, K.
(2014)
*Reverse knowledge transfer from overseas acquisitions: a survey of Indian MNEs.*
Management International Review.
ISSN 1861-8901

## W

Williams, C.C.
(2009)
*The prevalence of envelope wages in the Baltic Sea region.*
Baltic Journal of Management, 4 (3).
pp. 288-300.
ISSN 1746-5265

Wood, G., Mazouz, K., Yin, S. and Cheah, JE-T.
(2014)
*Foreign direct investment from emerging markets to Africa: The HRM context.*
Human Resource Management, 53 (1).
179 - 201.
ISSN 0090-4848

This list was generated on **Mon Jan 26 03:27:50 2015 GMT**.