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Items where Department is "Lancaster University Management School > Accounting & Finance" and Year is 2014

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Number of items: 56.


Banerjee, Shantanu and Chang, Simba and Fu, Kangkang and Wong, George (2014) Environmental risk and buyer-supplier relationships. Working Paper. . (Unpublished)

Banerjee, Shantanu and Gucbilmez, Ufuk and Pawlina, Grzegorz (2014) Optimal exercise of jointly held real options:a Nash bargaining approach with value diversion. European Journal of Operational Research, 239 (2). 565–578. ISSN 0377-2217

Beattie, Vivien (2014) About publishing:reviewer shortage creates crisis for journal peer review system. European Accounting Association Newsletter, 46 (2). pp. 10-12.

Beattie, Vivien (2014) Accounting narratives and the narrative turn in accounting research:issues, theory, methodology, methods and a research framework. British Accounting Review, 46 (2). pp. 111-134. ISSN 0890-8389

Beattie, Vivien and Fearnley, Stella and Hines, Tony (2014) Boundary spanning and gatekeeping roles of UK audit committees. Accounting and Business Research, 44 (3). pp. 315-343. ISSN 0001-4788

Beekes, Wendy and Brown, Philip and Zhang, Qiyu (2014) Corporate governance and the informativeness of disclosures in Australia:a re-examination. Working Paper. Lancaster University, Lancaster.

Beekes, Wendy and Otley, David and Ururuka, Valentine (2014) Factors influencing quality threatening behaviour in a big four accounting firm. Working Paper. .

Berger, Allen N. and Kick, Thomas and Schaeck, Klaus (2014) Executive board composition and bank risk taking. Journal of Corporate Finance, 28. pp. 48-65. ISSN 0929-1199


Chalamandaris, Georgios and Tsekrekos, Andrianos (2014) Predictability in implied volatility surfaces:evidence from the Euro OTC FX market. European Journal of Finance, 20 (1). pp. 33-58. ISSN 1351-847X

Chang, Xin and Dasgupta, Sudipto and Wong, George and Yao, Jiaquan (2014) Cash-flow sensitivities and the allocation of internal cash flow. Review of Financial Studies, 27 (12). pp. 3628-3657. ISSN 0893-9454

Chen, Tai-Yuan and Dasgupta, Sudipto and Yu, Yangxin (2014) Transparency and financing choices of family firms. Journal of Financial and Quantitative Analysis, 49 (2). pp. 381-408. ISSN 0022-1090

Conyon, Martin (2014) Executive compensation and board governance in US Firms. Economic Journal, 124 (574). F60-F89. ISSN 0013-0133

Conyon, Martin and He, Lerong (2014) CEO turnover in China:the role of market-based and accounting performance measures. European Journal of Finance, 20 (7-9). pp. 657-680. ISSN 1351-847X

Cumming, Douglas and Hass, Lars Helge and Schweizer, Denis (2014) Strategic asset allocation and the role of alternative investments. European Financial Management, 20 (3). pp. 521-547. ISSN 1354-7798

Cumming, Douglas and Hass, Lars Helge and Schweizer, Denis (2014) The fast track IPO:success factors for taking firms public with SPACs. Journal of Banking and Finance, 47. pp. 198-213. ISSN 0378-4266


Danisewicz, Piotr and McGowan, Danny and Onali, Enrico and Schaeck, Klaus (2014) Monitoring matters:debt seniority, market discipline and bank conduct. Working Paper. .

Danisewicz, Piotr and McGowan, Danny and Onali, Enrico and Schaeck, Klaus (2014) The real effects of regulatory enforcement actions:evidence from U.S. counties. Working Paper. .

Danisewicz, Piotr and Reinhardt, Dennis and Sowerbutts, Rhiannon (2014) On a tight leash:does bank organisational structure matter for macroprudential spillovers? Working Paper. .


El Nahass, Marwa and Izzeldin, Marwan and AbdElsalam, Omneya (2014) Loan loss provisions, bank valuations and discretion:a comparative study between conventional and Islamic banks. Journal of Economic Behavior and Organization, 103 (Supple). S160-S173. ISSN 0167-2681

El-Haj, Mahmoud and Athanasakou, Vasiliki and Rayson, Paul and Young, Steven and Walker, Martin (2014) Computer-based analysis of the strategic content of UK annual report narratives. In: 2014 American Accounting Association Annual Meeting Global Engagement and Perspectives, 2014-08-022014-08-06.

El-Haj, Mahmoud and Rayson, Paul and Young, Steven and Walker, Martin (2014) Detecting document structure in a very large corpus of UK financial reports. In: LREC'14 Ninth International Conference on Language Resources and Evaluation. Proceedings of the Ninth International Conference on Language Resources and Evaluation (LREC-2014) . European Language Resources Association (ELRA), Reykjavik, Iceland, pp. 1335-1338. ISBN 9782951740884


Gao, Zhan and Wu, Wan-Ting (2014) Predicting long-term earnings growth from multiple information sources. International Review of Financial Analysis, 32. pp. 71-84. ISSN 1057-5219

Gilder, Dudley and Shackleton, Mark and Taylor, S. J. (2014) Cojumps in stock prices:empirical evidence. Journal of Banking and Finance, 40. pp. 443-459. ISSN 0378-4266

Goncharov, Igor and Jacob, Martin (2014) Why do countries mandate accrual accounting for tax purposes? Journal of Accounting Research, 52 (5). pp. 1127-1163. ISSN 0021-8456

Goncharov, Igor and Mahlich, Jörg and Yurtoglu, B. Burcin (2014) R&D investments, profitability and regulation of the pharmaceutical industry. Working Paper. Lancaster University, Lancaster.

Goncharov, Igor and Peter, Caspar (2014) Does reporting transparency affect industry coordination?:evidence from the duration of international cartels. Working Paper. Lancaster University, Lancaster.

Goncharov, Igor and Riedl, Edward J. and Sellhorn, Thorsten (2014) Fair value and audit fees. Review of Accounting Studies, 19 (1). pp. 210-241. ISSN 1380-6653

Goncharov, Igor and Veenman, David (2014) Stale and scale effects in markets-based accounting research:evidence from the valuation of dividends. European Accounting Review, 23 (1). pp. 25-55. ISSN 0963-8180

Goncharov, Igor and van Triest, Sander (2014) Unintended consequences of changing accounting standards:the case of fair value accounting and mandatory dividends. Abacus, 50 (3). pp. 342-368. ISSN 0001-3072


Hass, Lars Helge and Koziol, Christian and Schweizer, Denis (2014) What drives contagion in financial markets?:liquidity versus information spill-over. European Financial Management, 20 (3). pp. 548-573. ISSN 1354-7798

Hass, Lars Helge and Vergauwe, Skralan and Zhang, Qiyu (2014) Corporate governance and the information environment:evidence from Chinese stock markets. International Review of Financial Analysis, 36. pp. 106-119. ISSN 1057-5219

Huang, James (2014) Convex and decreasing absolute risk aversion is proper. Economics Letters, 125 (1). pp. 123-125. ISSN 0165-1765

Huang, James and Stapleton, Richard (2014) Cautiousness, skewness preference, and demand for options. Review of Finance, 18 (6). pp. 2375-2395. ISSN 1572-3097


Ji, Susan and Martin, Spencer and Yao, Yaqiong (2014) Macroeconomic risk and seasonality in momentum profits. Working Paper. . (Unpublished)


Karanasos, Menelaos and Paraskevopoulos, Alexandros and Menla Ali, Faek and Karoglou, Michail and Yfanti, Stavroula (2014) Modelling stock volatilities during financial crises:A time varying coefficient approach. Journal of Empirical Finance, 29. pp. 113-128. ISSN 0927-5398


Lauterbach, Rainer and Hass, Lars Helge and Schweizer, Denis (2014) The impact of fund inflows on staging and investment behaviour. International Small Business Journal, 32 (6). pp. 644-666. ISSN 0266-2426


Miller, Brian (2014) Free to manage?:a neo-liberal defence of academic freedom in British higher education. Journal of Higher Education Policy and Management, 36 (2). pp. 143-154. ISSN 1360-080X

Molyneux, Philip and Schaeck, Klaus and Zhou, Tim Mi (2014) ‘Too systemically important to fail’ in banking – evidence from bank mergers and acquisitions. Journal of International Money and Finance, 49 (Part B). pp. 258-282. ISSN 0261-5606


Nolte, Ingmar and Nolte, Sandra (2014) How do individual investors trade? In: High frequency trading and limit order book dynamics. Routledge, London, pp. 189-215. ISBN 9781138829381

Nolte, Ingmar and Nolte, Sandra and Vasios, Michalis (2014) Sell-side analysts' career concerns during banking stresses. Journal of Banking and Finance, 49. pp. 424-441. ISSN 0378-4266


O'Hanlon, John and Peasnell, Ken (2014) Residual income and EVA. In: Wiley encyclopaedia of management. Wiley, New York. ISBN 9781119972518


Panaretou, Argyro (2014) Corporate risk management and firm value:evidence from the UK market. European Journal of Finance, 20 (12). pp. 1161-1186. ISSN 1351-847X


Salzedo, Catherine and Young, Steven and El-Haj, Mahmoud (2014) Does equity analyst research lack rigor and objectivity? Evidence from conference call questions and research notes. Working Paper. Lancaster University Management School.

Schaeck, Klaus and Cihák, Martin (2014) Competition, efficiency, and stability in banking. Financial Management, 43 (1). pp. 215-241. ISSN 0046-3892

Shackleton, Mark and Liu, Xiaoquan and Zhang, Yuanyuan and Pong, Shiuyan (2014) Option-implied volatilities and stock returns:evidence from industry-neutral portfolios. Journal of Portfolio Management, 41 (1). pp. 65-77. ISSN 0095-4918

Shackleton, Mark and Umutlu, Mehmet (2014) Stock-return volatility and daily equity trading by investor groups in Korea. Working Paper. Lancaster University, Lancaster.

Sonika, Rohit and Carline, Nicholas and Shackleton, Mark (2014) The option and decision to repurchase stock. Financial Management, 43 (4). pp. 833-855. ISSN 0046-3892

Srinidhi, Bin and He, Shaohua and Firth, Michael (2014) The effect of governance on specialist auditor choice and audit fees in U.S. family firms. The Accounting Review, 89 (6). pp. 2297-2329. ISSN 0001-4826

Stadler, Christian and Nobes, Christopher (2014) The influence of country, industry, and topic factors on IFRS policy choice. Abacus, 50 (4). pp. 386-421. ISSN 0001-3072

Stevenson, Simon and Akimov, Alexey and Hutson, Elaine and Krystalogianni, Alexandra (2014) Concordance in global office market cycles. Regional Studies, 48 (3). pp. 456-470. ISSN 0034-3404


Taylor, Stephen J. and Tzeng, Chi-Feng and Widdicks, Martin (2014) Bankruptcy probabilities inferred from option prices. Journal of Derivatives, 22 (2). pp. 8-31. ISSN 1074-1240


Vergauwe, Skralan and Gaeremynck, Ann (2014) Reliability effects of fair value related disclosures. Working Paper. . (Unpublished)


Young, Steven (2014) The drivers, consequences and policy implications of non-GAAP earnings reporting. Accounting and Business Research, 40 (4). pp. 444-465. ISSN 0001-4788

Young, Steven and Zeng, Yachang (2014) Accounting comparability and the accuracy of peer-based valuation models. Working Paper. Lancaster University Management School.


Zhang, Qiyu and Beekes, Wendy and Brown, Philip (2014) Financial integration and the transparency of firms in emerging capital markets. Working Paper. .

This list was generated on Fri Feb 23 02:33:20 2018 GMT.