Items where Department is "Accounting & Finance" and Year is 2021

Group by: Creators | Item Type | No Grouping
Number of items: 30.

Journal Article

Ahn, J.H. (2021) Decomposition of Managerial Shareholding:Role of Monetary Incentives and Control Rights in Financial Misreporting. Korean Accounting Review, 46 (5). pp. 165-197.

Aman, Hiroyuki and Beekes, Wendy and Brown, Philip (2021) Corporate governance and transparency in Japan. The International Journal of Accounting, 56 (1): 2150003. ISSN 0020-7063

Andersen, Torben and Archakov, Ilya and Grund, Leon and Hautsch, Nikolaus and Li, Yifan and Nasekin, Sergey and Nolte, Ingmar and Pham, Manh and Taylor, Stephen and Todorov, Viktor (2021) A descriptive study of high-frequency trade and quote option data. Journal of Financial Econometrics, 19 (1). pp. 128-177. ISSN 1479-8409

Andreou, Panayiotis C. and Kagkadis, Anastasios and Maio, Paulo and Philip, Dennis (2021) Dispersion in options investors' versus analysts' expectations : Predictive inference for stock returns. Critical Finance Review, 10 (1). pp. 65-81. ISSN 2164-5760

Bartram, Söhnke M. and Lohre, Harald and Pope, Peter F. and Ranganathan, Ananthalakshmi (2021) Navigating the factor zoo around the world:an institutional investor perspective. Journal of Business Economics, 91 (5). pp. 655-703. ISSN 0044-2372

Carletti, Elena and De Marco, Filippo and Ioannidou, Vasso and Sette, Enrico (2021) Banks as Patient Lenders : Evidence from a Tax Reform. Journal of Financial Economics, 141 (1). pp. 6-26. ISSN 0304-405X

Ghaly, Mohamed and Kostakis, Alexandros and Stathopoulos, Konstantinos (2021) The (non-) effect of labor unionization on firm risk : Evidence from the options market. Journal of Corporate Finance, 66: 101816. ISSN 0929-1199

Goncharov, Igor and Ioannidou, Vasso and Schmalz, Martin C. (2021) (Why) do central banks care about their profits? Journal of Finance. ISSN 0022-1082 (In Press)

Hammer, Benjamin and Janssen, Nils and Schwetzler, Bernhard (2021) Cross-border buyout pricing. Journal of Business Economics, 91 (5). pp. 705-731.

Homroy, Swarnodeep and Mukherjee, Shibashish (2021) The role of employer learning and regulatory interventions in mitigating executive gender pay gap. Journal of Corporate Finance, 71. ISSN 0929-1199

Kothe, Joshua and Lohre, Harald and Rother, Carsten (2021) Rates factors and global asset allocation. Journal of Fixed Income, 30 (3). pp. 6-25. ISSN 1059-8596

Kwon, Sewon and Ahn, Jae Hwan and Kim, Gi H. (2021) The impact of shareholder intervention on overinvestment of free cash flow by overconfident CEOs. International Review of Financial Analysis, 75. ISSN 1057-5219

Leung, Edward and Lohre, Harald and Mischlich, David and Shea, Yifei and Stroh, Maximilian (2021) The Promises and Pitfalls of Machine Learning for Predicting Stock Returns. Journal of Financial Data Science, 3 (2). pp. 21-50. ISSN 2640-3943

Li, Y. and Nolte, I. and Nolte, S. (2021) High-frequency volatility modeling : A Markov-Switching Autoregressive Conditional Intensity model. Journal of Economic Dynamics and Control, 124: 104077. ISSN 0165-1889

Li, Yifan and Nolte, Ingmar and Nolte, Sandra (2021) High-frequency volatility modelling : a Markov-switching autoregressive conditional intensity model. Journal of Economic Dynamics and Control, 124: 104077. ISSN 0165-1889

Lin, Ming Tsung and Kolokolova, Olga and Poon, Ser Huang (2021) Slow- and fast-moving information content of CDS spreads:new endogenous systematic factors. European Journal of Finance, 27 (1-2). pp. 136-157. ISSN 1351-847X

Nyborg, Kjell and Wang, Jesse (2021) The Effect of Stock Liquidity on Cash Holdings: The Repurchase Motive. Journal of Financial Economics, 142 (2). pp. 905-927. ISSN 0304-405X

Pryshchepa, Oksana (2021) Disciplining entrenched managers through corporate governance reform:Implications for risk‐taking behavior. Corporate Governance: An International Review, 29 (4). pp. 328-351. ISSN 0964-8410

Swade, Alexander and Köchling, Gerrit and Posch, Peter (2021) Managerial behavior in fund tournaments—the impact of TrueSkill. Journal of Asset Management, 22 (1). pp. 62-75. ISSN 1470-8272

Contribution in Book/Report/Proceedings

Hashim, Noor and Li, Weijia and O'Hanlon, John (2021) Reflections on the development of the FASB's and IASB's expected-loss methods of accounting for credit losses. In: Accounting and Debt Markets. Routledge, London. ISBN 9780367688899

Monograph

Amato, Livia and Lohre, Harald (2021) Diversifying Macroeconomic Factors — For Better or for Worse. Working Paper. UNSPECIFIED.

Xu, Hui and Pennacchi, George (2021) Benchmarking the Effects of the Fed’s Secondary Market Corporate Credit Facility Using Yankee Bonds. Working Paper. Lancaster University, Department of Accounting and Finance, Lancaster.

Thesis

Lin, Wen and Pawlina, Grzegorz and Panaretou, Argyro (2021) Studies in debt valuation adjustments. PhD thesis, Lancaster University.

Marangoni, Claudia and Goncharov, Igor (2021) The Spread of Corporate Misconduct : Determinants, Consequences and Regulatory Responses. PhD thesis, Lancaster University.

O'Hanlon, John and Young, Steven (2021) Accounting and Business Valuation. PhD thesis, Lancaster University.

Shi, Rui and Banerjee, Shantanu (2021) The ripple effects of financial misconduct. PhD thesis, Lancaster University.

Report

Ford, Chris J. (2021) Business Ecosystems - A Guide : ICAEW Know-How from the Business & Management Faculty. [Report]

Ford, Chris J. (2021) Open Innovation - A Guide : ICAEW Know-How from the Business & Management Faculty. [Report]

Ford, Chris J. (2021) Platform Businesses - A Guide : ICAEW Know-How from the Business & Management Faculty. [Report]

Ford, Chris J. and Hart, Cathy and Hallam, Simon and Convery, Ian (2021) Enhancing the Value of Rural Towns through Ecosystem Interventions : A report for the Local Enterprise Partnerships of Lancashire and Cumbria, to inform ecosystem approaches to place-based policy. [Report]

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