Items where Department is "Accounting & Finance" and Year is 2026
Baptista, Alexandre M. and Nolte, Ingmar (2026) Advances in portfolio selection and asset pricing in honor of Harry Markowitz. European Journal of Finance. ISSN 1351-847X
Gao, Bingyuan and Gao, Xi and He, Shaohua (2026) A Bertrand model with Brownian motion and behavioral errors. Scientific Reports, 16: 2289. ISSN 2045-2322
Li, Qiyuan and Li, Yifan and Nolte, Ingmar and Nolte, Sandra and Yu, Shifan (2026) Testing for Jumps in a Discretely Observed Price Process with Endogenous Sampling Times. Journal of Econometrics, 254 (Part A): 106132. ISSN 0304-4076
Li, Xiaoliang and Sun, Shuie and Cheng, Yuhao and Zhang, Ally Quan (2026) Green Goodwill and Carbon Emission Abatement in a Monopolistic Market : A Dynamic Game Approach. Finance Research Letters, 91: 109475. ISSN 1544-6123
Noureldeen, Emad and Mahran, Karim and A. Elamer, Ahmed (2026) Commanding Corporate Narratives : How Military-Experienced Leaders Shape Corporate Communication. The Leadership Quarterly. ISSN 1048-9843 (In Press)
Smirnow, Dasha and Cooper, David J. (2026) Expanding the analysis of accounting regulation : On the operationalization of disclosure regulation. Accounting, Organizations and Society, 116: 101627. ISSN 0361-3682
Xing, Mingqing and Zhang, Ally Quan (2026) Cross-Ownership and Endogenous R&D Risk in Cournot Triopoly. The Manchester School. (In Press)
Zhang, Shanshan and Zhang, Mingwei and Chen, Mingyu and Cheng, Xiaoke (2026) “Onto-Balance Sheet” Accounting under Principle-Based Consolidation Standards : Evidence from State-Owned Enterprises in China. Accounting Horizons. ISSN 0888-7993
de Longis, Alessio and Happersberger, David and Hixon, Scott and Lian, Han and Nolte, Ingmar (2026) Regime-Aware Risk Parity : Conditioning the Covariance Matrix on Macroeconomic and Stock Market Regimes. Journal of Portfolio Management. ISSN 0095-4918
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