Items where Department is "Lancaster University Management School > Accounting & Finance" and Year is 2013
Number of items: 50.
Aretz, K and Pope, P F (2013) Common factors in default risk across countries and industries. European Financial Management, 19 (1). pp. 108-152. ISSN 1354-7798
Aretz, Kevin and Peel, David (2013) An example of an optimal forecast exhibiting decreasing bias with increasing forecast horizon. Bulletin of Economic Research, 65 (4). pp. 362-371. ISSN 0307-3378
Baik, Bok and Chae, Joon and Choi, Sunhwa and Farber, David (2013) Changes in operational efficiency and firm performance:a frontier analysis approach. Contemporary Accounting Research, 30 (3). pp. 996-1026. ISSN 0823-9150
Bassemir, Moritz and Novotny-Farkas, Zoltan and Pachta, Julian (2013) The effect of conference calls on analysts' forecasts:German evidence. European Accounting Review, 22 (1). pp. 151-183. ISSN 0963-8180
Beattie, Vivien and Fearnley, Stella and Hines, Tony (2013) Perceptions of factors affecting audit quality in the post-SOX UK regulatory environment. Accounting and Business Research, 43 (1). pp. 56-81. ISSN 0001-4788
Beattie, Vivien and Smith, Sarah-Jane (2013) Value creation and business models:refocusing the intellectual capital debate. British Accounting Review, 45 (4). pp. 243-254. ISSN 0890-8389
Bilinski, Pawel and Strong, Norman (2013) Managers’ private information, investor underreaction and long-run SEO performance. European Financial Management, 19 (5). pp. 956-990. ISSN 1354-7798
Byun, Hae-Young and Choi, Sunhwa and Hwang, Lee-Seok and Kim, Robert (2013) Business group affiliation, ownership structure, and the cost of debt. Journal of Corporate Finance, 23. pp. 311-331. ISSN 0929-1199 (In Press)
Chalamandaris, G. and Tsekrekos, Andrianos (2013) Explanatory factors and causality in the dynamics of volatility surfaces implied from OTC Asian–Pacific currency options. Computational Economics, 41 (3). pp. 327-358. ISSN 0927-7099
Chalamandaris, G. and Tsekrekos, Andrianos (2013) Predictability in implied volatility surfaces:evidence from the Euro OTC FX market. European Journal of Finance. ISSN 1351-847X
Choi, Jong-Hag and Choi, Sunhwa and Hogan, Chris and Lee, Joonil (2013) The effect of human resource investment in internal control on the disclosure of internal control weaknesses. Auditing: A Journal of Practice & Theory, 32 (4). pp. 169-199. ISSN 0278-0380
Choi, Young-Soo and Peasnell, Ken and Toniato, Joao (2013) Has the IASB been successful in making accounting earnings more useful for prediction and valuation?:UK evidence. Journal of Business Finance and Accounting, 40 (7-8). pp. 741-768. ISSN 0306-686X
Cumming, Douglas and Hass, Lars Helge and Schweizer, Denis (2013) Private Equity Benchmarks and Portfolio Optimization. Journal of Banking and Finance, 37 (9). 3515–3528. ISSN 0378-4266
Cumming, Douglas and Hass, Lars Helge and Schweizer, Denis (2013) Strategic asset allocation and the role of alternative investments. European Financial Management. ISSN 1354-7798 (In Press)
Diaz, Antonio and Groba, Jonatan and Serrano, Pedro (2013) What drives corporate default risk premia?:evidence from the CDS market. Journal of International Money and Finance, 37. pp. 529-563. ISSN 0261-5606
El Nahass, Marwa and Izzeldin, Marwan and AbdElsalam, Omneya (2013) Loan loss provisions, bank valuations and discretion:a comparative study between conventional and Islamic banks. Journal of Economic Behavior and Organization. ISSN 0167-2681
Gao, Zhan and Ohlson, James and Ostaszewski, Adam (2013) Dividend policy irrelevancy and the construct of earnings. Journal of Business Finance and Accounting, 40 (5-6). pp. 673-694. ISSN 0306-686X
Gilder, Dudley and Shackleton, Mark and Taylor, Stephen (2013) Cojumps in stock prices:empirical evidence. Journal of Banking and Finance. ISSN 0378-4266
Hass, Lars Helge and Koziol, Christian and Schweizer, Denis (2013) What drives contagion in financial markets?:liquidity versus information spill-over. European Financial Management. ISSN 1354-7798
Hass, Lars Helge and Lauterbach, Rainer and Schweizer, Denis (2013) The Impact of Fund Inflows on Staging and Investment Behaviour. International Small Business Journal. ISSN 0266-2426 (In Press)
Huang, James and Zhang, Deyuan (2013) Some new results on when extra risk strictly increases an option's value. Journal of Futures Markets, 33 (1). pp. 44-54. ISSN 0270-7314
Lambrecht, Bart and Pawlina, Grzegorz (2013) A theory of net debt and transferable human capital. Review of Finance, 17 (1). pp. 321-368.
Lubberink, Martien and Yin, Judy (2013) Auditor independence and incentives. International Research Journal of Applied Finance, IV (10). pp. 1326-1334. ISSN 22296891
Miller, Brian (2013) Free to manage?:a neo-liberal defence of academic freedom in British higher education. Journal of Higher Education Policy and Management, 35 (7). ISSN 1469-9508
Nobes, Christopher and Stadler, Christian (2013) How arbitrary are international accounting classifications?:lessons from centuries of classifying in many disciplines, and experiments with IFRS data. Accounting, Organizations and Society, 38 (8). pp. 573-595. ISSN 0361-3682
O'Hanlon, John (2013) Did loan-loss provisioning by UK banks become less timely after implementation of IAS 39? Accounting and Business Research, 43 (1). pp. 225-258. ISSN 0001-4788
Panaretou, A. and Shackleton, M. B. and Taylor, P. A. (2013) Corporate risk management and hedge accounting. Contemporary Accounting Research, 30 (1). pp. 116-139. ISSN 0823-9150
Panaretou, Argyro (2013) Corporate risk management and firm value: evidence from the UK market. European Journal of Finance. ISSN 1351-847X
Peasnell, Ken (2013) Discussion of Financial reporting for employee stock options:liabilities or equity. Review of Accounting Studies, 18 (3). pp. 683-691. ISSN 1380-6653
Pryshchepa, Oksana and Banerjee, Shantanu and Aretz, Kevin (2013) Can investors restrict managerial behavior in distressed firms? Journal of Corporate Finance, 23. pp. 222-239. ISSN 0929-1199
Schweizer, Denis and Hass, Lars Helge and Johanning, Lutz and Rudolph, Bernd (2013) Do alternative real estate investment vehicles add value to REITs?:evidence from German open-ended property funds. Journal of Real Estate Finance and Economics, 47 (1). pp. 65-82.
Shackleton, Mark and Voukelatos, Nikolaos (2013) Hedging efficiency in the Greek options market before and after the financial crisis of 2008. Journal of Multinational Financial Management, 23 (1-2). pp. 1-18. ISSN 1042-444X
Shiller, Robert J. and Wojakowski, Rafal and Ebrahim, Shahid and Shackleton, Mark (2013) Mitigating financial fragility with Continuous Workout Mortgages. Journal of Economic Behaviour and Organisation, 85. pp. 269-285. ISSN 0167-2681
Stevenson, Simon and Akimov, Alexey and Hutson, Elaine and Krystalogianni, Alexandra (2013) Concordance in global office market cycles. Regional Studies. ISSN 0034-3404
Tsekrekos, Andrianos (2013) Irreversible exit decisions under mean-reverting uncertainty. Journal of Economics, 110 (1). pp. 5-23. ISSN 09318658
Tsekrekos, Andrianos and Kanoutos, George (2013) Real options premia implied from recent transactions in the Greek real estate market. Journal of Real Estate Finance and Economics, 47 (1). pp. 152-168.
Umutlu, Mehmet and Akdeniz, Levent and Altay-Salih, Aslihan (2013) Foreign equity trading and average stock-return volatility. The World Economy, 36 (9). pp. 1209-1228. ISSN 0378-5920
Contribution in Book/Report/Proceedings
Banerjee, Shantanu and Gucbilmez, Ufuk and Pawlina, Grzegorz (2013) IPO waves and hot markets in the UK. In: Handbook of research on IPOs. Edward Elgar, Cheltenham. ISBN 9781781955369 (In Press)
Conyon, Martin and He, Lerong (2013) Chinese executive compensation:where do we stand? In: Developing China's capital market. Palgrave, Basingstoke. ISBN 9781137341563
Cumming, Douglas and Hass, Lars Helge and Schweizer, Denis (2013) The Role of Alternative Investments in Strategic Asset Allocation. In: Alternative Investments: Instruments, Performance, Benchmarks, and Strategies. Robert W. Kolb Series . John Wiley & Sons, Chichester. ISBN 9781118241127
Ford, Chris and Pfister, Jan and Otley, David (2013) Networks of accountability:a case study of The descent of The Shard. In: 9th Management Control Research Conference. UNSPECIFIED, Nyenrode, The Netherlands.
Hass, Lars Helge and Proelss, Juliane and Schweizer, Denis (2013) Alternative Investments. In: Portfolio Theory and Management. Oxford University Press, Oxford. ISBN 9780199829699
Ioannidou, Vasso (2013) A first step towards a banking union. In: Banking union for Europe. Centre for Economic Policy Research, London.
King, Daniel and Ford, Chris (2013) A critical survey of Network Functions Virtualization (NFV). In: iPOP. UNSPECIFIED, Japan.
O'Hanlon, John and Peasnell, Ken (2013) Residual Income and EVA. In: Wiley Encyclopaedia of Management. Wiley. ISBN 9781119972518 (In Press)
Wood, Stephen and Burridge, Mark and Green, William and Nolte, Sandra and Rudloff, Daniela and Ni Luanaigh, Aoife (2013) High Performance Working in the Employer Skills Surveys:Evidence Report 71. In: High Performance Working in the Employer Skills Surveys. UNSPECIFIED, pp. 1-86. ISBN 978-1-908418-50-0
Ford, Chris and Tusting, Karin (2013) At the nexus of interpretive and interventionist accounting research:the role of feedback interviews and critical discourse analysis. Working Paper. UNSPECIFIED.
Stadler, Christian and Nobes, Christopher (2013) The influence of country, industry and topic factors on IFRS policy choice. Working Paper. UNSPECIFIED. (Unpublished)
Vergauwe, Skralan and Gaeremynck, Ann and Stokes, Donald (2013) Disclosures, Audit Effort and Reliability of Measurement Choices under IFRS:Fair Value in the Real Estate Industry. Working Paper. UNSPECIFIED. (Unpublished)
Vergauwe, Skralan (2013) The usefulness and comparability of disclosure in an IFRS framework. PhD thesis, UNSPECIFIED.