Items where Department is "Accounting & Finance" and Year is 2026
Journal Article
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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