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Abdou, Hussein, Agbeyo, Olubunmi, Jones, Kirsten and Sorour, Karim (2016) The impact of M&A on the Nigerian financial market: A pre-post analysis. Investment Management and Financial Innovations, 13 (1). pp. 138-150. ISSN 1810-4967
Abraham, Santhosh and Shrives, Philip (2014) Improving the relevance of risk factor disclosure in corporate annual reports. The British Accounting Review, 46 (1). pp. 91-107. ISSN 0890-8389
Abrahams, Kirsty (2015) Corporate Responsibility Reporting – The How not the What. In: 19th Annual Conference Financial Reporting and Business Communication (BAFA FARSIG), 2 - 3 July 2015, Bristol.
Adegbite, Emmanuel (2011) Corporate Governance And Governmental Intervention : Evidence From The USA, UK, Russia, Malaysia And Nigeria. In: Northumbria Research Conference, 5 May - 6 May 2011, Northumbria University, Newcastle-upon-Tyne.
Adegbite, Emmanuel (2012) Corporate governance regulation in Nigeria. Corporate Governance: The International Journal of Business in Society, 12 (2). pp. 257-276. ISSN 1472-0701
Adegbite, Emmanuel and Nakajima, Chizu (2011) Corporate governance and responsibility in Nigeria. International Journal of Disclosure and Governance, 8 (3). pp. 252-271. ISSN 1741-3591
Adegbite, Emmanuel and Nakajima, Chizu (2011) Institutional determinants of good corporate governance: the case of Nigeria. In: Firm-level internationalisation, regionalism and globalisation. Academy of International Business (UKI) . Palgrave Macmillan, Basingstoke, pp. 379-398. ISBN 978-0230289970
Ajmi, Ahdi Noomen and Apergis, Nicholas (2015) Systemic Sovereign Risk and Asset Prices: Evidence from the CDS Market, Stressed European Economies and Nonlinear Causality Tests. Czech Journal of Economics and Finance, 65 (2). pp. 127-143. ISSN 0015 1920
Akhmedjonov, Alisher and Lau, Chi Keung (2012) Do energy prices converge across Russian regions? Economic Modelling, 29 (5). pp. 1623-1631. ISSN 0264-9993
Aloui, Chaker, Hkiri, Besma, Lau, Chi Keung and Yarovaya, Larisa (2016) Investors’ sentiment and US Islamic and conventional indexes nexus: A time–frequency analysis. Finance Research Letters. ISSN 1544 6123 (In Press)
Apergis, Nicholas (2015) Competition in the banking sector: New evidence from a panel of emerging market economies and the financial crisis. Emerging Markets Review, 25. pp. 154-162. ISSN 1566-0141
Apergis, Nicholas (2015) Convergence in public expenditure across a sample of emerging countries: evidence from club convergence. Emerging Markets Finance and Trade, 51 (3). pp. 448-462. ISSN 1540-496X
Apergis, Nicholas (2015) Forecasting Credit Default Swaps (CDSs) spreads with newswire messages: Evidence from European countries under financial distress. Economics Letters, 136. pp. 92-94. ISSN 0165-1765
Apergis, Nicholas (2015) Long-run estimates of money demand: new evidence from East Asian countries and the presence of structural breaks. Applied Economics, 47 (31). pp. 3276-3291. ISSN 0003-6846
Apergis, Nicholas (2015) Policy risks, technological risks and stock returns: New evidence from the US stock market. Economic Modelling, 51. pp. 359-365. ISSN 0264-9993
Apergis, Nicholas, Artikis, Panagiotis and Kyriazis, Dimitrios (2015) Does stock market liquidity explain real economic activity? New evidence from two large European stock markets. Journal of International Financial Markets Institutions & Money, 38. pp. 42-64. ISSN 1042-4431
Apergis, Nicholas and Christou, Christina (2015) The behaviour of the bank lending channel when interest rates approach the zero lower bound: Evidence from quantile regressions. Economic Modelling, 49. pp. 296-307. ISSN 0264 9993
Apergis, Nicholas and Cooray, Arusha (2015) Asymmetric interest rate pass-through in the U.S., the U.K. and Australia: New evidence from selected individual banks. Journal of Macroeconomics, 45. pp. 155-172. ISSN 0164-0704
Apergis, Nicholas and Cooray, Arusha (2016) Old wine in a new bottle: Trade openness and FDI flows - are the emerging economies converging? Contemporary Economic Policy, 34 (2). pp. 336-351. ISSN 1074 3529
Apergis, Nicholas, Fafaliou, Irene and Polemis, Michael (2016) New evidence on assessing the level of competition in the European Union banking sector: A panel data approach. International Business Review, 25 (1). pp. 395-407. ISSN 0969-5931
Apergis, Nicholas, Lau, Chi Keung and Yarovaya, Larisa (2016) Media sentiment and CDS spread spillovers: Evidence from the GIIPS countries. International Review of Financial Analysis, 47. pp. 50-59. ISSN 1057 5219
Apergis, Nicholas and Voliotis, Dimitrios (2015) Spillover effects between lit and dark stock markets: Evidence from a panel of London Stock Exchange transactions. International Review of Financial Analysis, 41. pp. 101-106. ISSN 1057-5219
Armitage, Seth, Brzeszczynski, Janusz and Serdyuk, Anna (2014) Liquidity Measures and Cost of Trading in an Illiquid Market. Journal of Emerging Market Finance, 13 (2). pp. 155-196. ISSN 0972-6527
Armstrong, John, Paolucci, Francesco and van de Ven, Wynand (2010) Risk equalisation in voluntary health insurance markets. Health Policy, 98 (1). pp. 1-2. ISSN 0168-8510
Baranchenko, Yevhen and Yukhanaev, Andrey (2013) Barriers to Using Qualitative Methods in Business and Management Research in Ukraine. In: 12th European Conference on Research Methodology for Business and Management Studies, 4-5 July 2013, University of Minho, Guimaraes, Portugal.
Beecher, James, Myers, Jan, Smith, Russell and Scott-Cato, Molly (2014) The mutual is dead! Long live the mutual! Resurrecting the mutual financial model after the UK Co-operative Bank’s ‘fall from grace’. In: ICA-CCR International research conference, Co-operatives in Local and Regional Development, 25-28 June 2014, Pula, Croatia.
Bello, Abdullahi and Harvey, Jackie (2016) From a risk-based to an uncertainty-based approach to anti-money laundering compliance. Security Journal. pp. 1-15. ISSN 0955-1662 (In Press)
Bhattarai, Nawaraj, McMeekin, Peter, Price, Christopher and Vale, Luke (2016) Economic evaluations on centralisation of specialised healthcare services: a systematic review of methods. BMJ Open, 6 (5). e011214. ISSN 2044-6055
Bilgin, Mehmet Huseyin, Su, Yongyang and Lau, Chi Keung (2011) Do structural breaks in exchange rate volatility matter? Evidence from Asia-Pacific currencies. İktisat İşletme ve Finans, 26 (304). pp. 57-78. ISSN 1300-610X
Bilotkach, Volodymyr, Gorodnichenko, Yuriy and Talavera, Oleksandr (2012) Sensitivity of prices to demand shocks: a natural experiment in the San Francisco Bay area. Transportation Research Part A: Policy and Practice, 46 (7). pp. 1137-1151. ISSN 0965-8564
Brown, Ed, Castañeda, Francisco, Cloke, Jonathon and Taylor, Peter (2013) Towards financial geographies of the unbanked: international financial markets, ‘bancarizacion’ and access to financial services in Latin America. Geographical Journal, 179 (3). pp. 198-210. ISSN 0016-7398
Brown, Jane and Woodruffe-Burton, Helen (2015) Exploring emotions and irrationality in attitudes towards consumer indebtedness: Individual perspectives of UK payday loan consumption. Journal of Financial Services Marketing, 20 (2). pp. 107-121. ISSN 1363-0539
Brzeszczynski, Janusz (2011) Heteroscedasticity and interval effects in estimating beta: UK evidence. Applied Financial Economics, 21 (20). pp. 1525-1538. ISSN 1466-4305
Brzeszczynski, Janusz, Gajdka, Jerzy and Kutan, Ali (2015) Investor response to public news, sentiment and institutional trading in emerging markets: A review. International Review of Economics & Finance, 40. pp. 338-352. ISSN 1059-0560
Brzeszczynski, Janusz and Kutan, Ali (2012) Public Information Arrival and Investor Reaction During a Period of Institutional Change: An Episode of Early Years of a Newly Independent Central Bank. SSRN Electronic Journal. pp. 1-46. ISSN 1556-5068
Brzeszczynski, Janusz and Kutan, Ali (2015) Public information arrival and investor reaction during a period of institutional change: An episode of early years of a newly independent central bank. Journal of Comparative Economics, 43 (3). pp. 727-753. ISSN 0147-5967
Brzeszczynski, Janusz and McIntosh, Graham (2014) Performance of Portfolios Composed of British SRI Stocks. Journal of Business Ethics, 120 (3). pp. 335-362. ISSN 0167-4544
Cabras, Ignazio (2011) Mapping the spatial patterns of public procurement: A case study from a peripheral local authority in Northern England. International Journal of Public Sector Management, 24 (3). pp. 187-205. ISSN 0951-3558
Chau, Frankie, Deesomsak, Rataporn and Lau, Chi Keung (2011) Investor sentiment and feedback trading: Evidence from the exchange-traded fund markets. International Review of Financial Analysis, 20 (5). pp. 292-305. ISSN 1057-5219
Chima, Onyebuchi Raphael (2010) The democratisation of finance? : financial inclusion and subprime in the UK and US. Doctoral thesis, Northumbria University.
Coulson, Andrew (2011) Drafting consolidated financial statements. Accounting Technician. ISSN 1462-8465
Coulson, Andrew (2008) Financial decision making. Pearson Custom Publishing/Northumbria University, Harlow. ISBN 9781847764010
Coulson, Andrew (2011) Financial decision making [2nd edition]. Pearson custom publishing/Northumbria University, Harlow. ISBN 9786613264978
Coulson, Andrew (2012) IASB Conceptual Framework: Qualitative characteristics of useful information. Accounting Technician. ISSN 1462-8465
Coulson, Andrew (2010) Intangible assets: An essential guide. Accounting Technician. ISSN 1462-8465
Coulson, Andrew (2011) Statements of cash flow. Accounting Technician. ISSN 1462-8465
Coulson, Andrew (2010) An illustrative guide to financial statements. Accounting Technician. ISSN 1462-8465
Crookes, Danny, Trainor, Sean and Jiang, Richard (2016) An Environment for Rapid Derivatives Design and Experimentation. IEEE Journal of Selected Topics in Signal Processing, 10 (6). pp. 1073-1082. ISSN 1932-4553
Davidson, Gill, Greenhalgh, Paul and McGuinness, David (2011) Developing an approach for a longitudinal evaluation of a large-scale regeneration project : South Bank, Redcar and Cleveland. In: Northumbria Research Conference, 5-6 May 2011, Northumbria University, Newcastle-upon-Tyne.
Davidson, Israel (2009) Budgetary Control in Modern Organisation: the role and impact of corporate management style, culture and policies. VDM Verlag Dr. Müller, Saarbrücken. ISBN 9783639178029
Demir, Ender, Lau, Chi Keung and Bilgin, Mehmet Huseyin (2014) The impact of 2008 financial crisis on firm's productivity:Evidence from Latvia, Lithuania and Romania. Journal of Security and Sustainability Issues, 3 (4). pp. 27-35. ISSN 2029-7025
Demirbas, Dilek (2009) Market-Seeking Investment [encyclopaedia entry]. In: Encyclopedia of Business in Today's World. Sage, London. ISBN 978-1412964272
Demirbas, Dilek (2009) Resource-seeking investment [encyclopaedia entry]. In: Encyclopedia of Business in Today's World. Sage, London. ISBN 978-1412964272
Demirbas, Dilek and Yukhanaev, Andrey (2010) Strategic Importance of Independent Board of Directors in Russia: Empirical Evidence from Russian Listed Companies. In: Oxford Business and Economics Conference (OBEC), 28-30 June 2010, Oxford University.
Doig, Alan, Harvey, Jackie, Artingshall, D. and Howell, John (2011) Combating financial crime: the official learning and reference manual [1st Edition]. Chartered Institute of Securities and Investment, London, UK.
Doig, Alan and Quirke, Brendan (2013) It depends on where you stand: corruption, Turkey and EU accession. In: Human dimensions in organised crime, money laundering and corruption. Wolf Legal Publishers, Oisterwijk, The Netherlands, pp. 375-394. ISBN 9789058509833
Downie, Mary-Lou and Robson, Gill (2008) AVM research: its usage and value. In: Council of Mortgage Lenders Conference: Developments and New Issues for Valuers, 2 July 2008, London.
Downie, Mary-Lou, Wang, Lulu and Xiao, Peng (2010) Would the reputation and behaviour of the Chinese stock exchange be a disincentive to investors considering a Chinese REIT? In: 17th European Real Estate Society Conference, 23-26 June 2010, Milan, Italy.
El Montasser, Ghassen, Fry, John and Apergis, Nicholas (2016) Explosive bubbles in the US–China exchange rate? Evidence from right-tailed unit root tests. China Economic Journal. ISSN 1753-8963
Elmayar, Ashraf (2011) Assessing the Perceived Service Quality Levels in the Libyan Private and Public Banking Sectors: A Customer Perspective. Doctoral thesis, Northumbria University.
Elmayar, Ashraf, Ogba, Ike and Coates, Nigel (2012) A comparison of customer perceptions of service quality in the Libyan private and public banking sectors. In: International Conference in Marketing, 12-14 January 2012, Indian Institute of Management, Lucknow, India.
Elshandidy, Tamer and Shrives, Philip (2016) Environmental incentives for and usefulness of textual risk reporting: Evidence from Germany. The International Journal of Accounting. ISSN 0020-7063 (In Press)
Emirmahmutoglu, Furkan, Bacilar, Mehmet, Apergis, Nicholas, Simo-Kengne, Beatrice, Chang, Tsangyao and Gupta, Rangan (2015) Causal relationship between asset prices and output in the United States: Evidence from the state-level panel Granger causality test. Regional Studies. pp. 1-14. ISSN 0034-3404 (In Press)
Ergas, Henry and Paolucci, Francesco (2011) Providing and financing aged care in Australia. Risk management and healthcare policy, 4. pp. 67-80. ISSN 1179-1594
Fallon, Grahame, Yukhanaev, Andrey and Roberts, Joanne (2012) Exploring the impact of institutional and regulatory conditions on the inward investment climate and inbound FDI in Putin's Russia. In: 12th European Association for Comparative Economic Studies (EACES) Conference, 6-8 September 2012, University of the West of Scotland, Paisley.
Filatotchev, Igor, Zhang, Xiaoxiang and Piesse, Jenifer (2010) Multiple agency perspective, family control, and private information abuse in an emerging economy. Asia Pacific Journal of Management, 28 (1). pp. 69-93. ISSN 0217-4561
Fung, Ka Wai, Demir, Ender, Lau, Chi Keung and Chan, Kwok Ho (2015) Reexamining sports-sentiment hypothesis: Microeconomicevidences from Borsa Istanbul. Journal of International Financial Markets Institutions & Money, 34. pp. 337-355. ISSN 1042-4431
Fung, Ka Wai, Lau, Chi Keung and Chan, Kwok Ho (2014) The conditional equity premium, cross-sectional returns and stochastic volatility. Economic Modelling, 38. pp. 316-327. ISSN 0264-9993
Fung, Ka Wai Terence, Lau, Chi Keung and Chan, Kwok Ho (2016) An R&D-based real business cycle model. International Review of Economics. ISSN 1865-1704 (In Press)
Gardener, Edward, Molyneux, Philip and Nguyen, Linh (2011) Determinants of efficiency in South East Asian banking. The Service Industries Journal, 31 (16). pp. 2693-2719. ISSN 0264-2069
Gately, Clare and Cunningham, James (2014) Building Intellectual Capital in Incubated Technology Firms. Journal of Intellectual Capital, 15 (4). pp. 516-536. ISSN 1469-1930
Ghimire, Binam, Annussek, Kolja, Harvey, Jackie and Sharma, Satish Testing the Weak-Form Efficiency of Agriculture’s Capital Markets. Economics and Business Review. ISSN 2392-1641 (In Press)
Ghimire, Binam, Gautam, Rishi, Karki, Dipesh and Sharma, Satish (2015) Banks, non-bank companies and stock exchange: do we know the relationship? Economics and Business Review, 1(15) (4). pp. 25-45. ISSN 2392-1641
Gozgor, Giray, Lau, Chi Keung and Bilgin, Mehmet Huseyin (2016) Commodity markets volatility transmission: Roles of risk perceptions and uncertainty in financial markets. Journal of International Financial Markets, Institutions and Money. ISSN 1042 4431 (In Press)
Greenhalgh, Paul and Muldoon-Smith, Kevin (2015) Business Rate Retention. The Valuer, Dec. pp. 20-21. ISSN 1361-1305
Greenhalgh, Paul and Muldoon-Smith, Kevin (2015) Passing the buck without the bucks- some reflections on fiscal decentralisation and the business rate retention strategy in England. The Terrier, 20 (2). pp. 49-51.
Greenhalgh, Paul and Muldoon-Smith, Kevin (2015) A revolution in devolution? Estates Gazette, 1547. pp. 102-104. ISSN 0014-1240
Grundy, David (2011) Increasing active engagement in Finance through innovative continuous assessment: The use of blogging as an assessment tool to promote engagement and deep learning in Higher Education. In: BMAF Annual Conference 2011: Graduates with Impact, 10-11 May 2011, Bournemouth, UK.
Grundy, David and Ohmer, Carolina (2016) German crowd-investing platforms: Literature review and survey. Cogent Business & Management, 3 (1). p. 1138849. ISSN 2331-1975
Grundy, David and Sloan, Diane (2014) Garbage in, Garbage out? Questioning Key Variable Face Validity in Contemporary Quantitative Crowdfunding Research. In: ISBE 2014 (37th Institute for Small Business & Entrepreneurship Conference), 4th-6th November 2014, Manchester, UK.
Harvey, Jackie (2011) Anti money laundering policy: a response to the activity of criminals or agencies? In: British Society of Criminology Conference 2011: Economies and Insecurities of Crime and Justice, 3-6 July 2011, Northumbria University, Newcastle upon Tyne, UK.
Harvey, Jackie (2011) Asset Recovery : substantive or symbolic? In: Northumbria Research Conference, 5-6 May 2011, Northumbria University, Newcastle-upon-Tyne.
Harvey, Jackie (2014) Asset Recovery: Substantive or Symbolic? In: Dirty Assets: Emerging Issues in the Regulation of Criminal and Terrorist Assets. Law, Justice and Power . Ashgate, Farnham. ISBN 9781409462538
Harvey, Jackie (2008) Crime money records, recovery and their meaning. In: European Crime Markets at Cross-Roads. Wolf Legal Publishers. ISBN 978-9058503923
Harvey, Jackie (2011) Money Laundering Phantoms, Imagery and Facts. In: Usual and Unusual Organising Criminals in Europe and Beyond: Profitable crimes, from underworld to upperworld. Maklu, Antwerp. ISBN 978-9046604298
Harvey, Jackie (2008) Money laundering and the widening regulatory blanket; what does it actually achieve? In: North East Fraud Forum 2008 Annual Conference, 5 June 2008, Newcastle upon Tyne.
Harvey, Jackie (2009) Money laundering laws cost business. Finance Week.
Harvey, Jackie (2011) Money laundering phantoms, imagery and facts. In: 11th Cross-border Crime Colloquium 2011, 14-15 March 2011, Tilburg, The Netherlands.
Harvey, Jackie (2008) Money laundering scale & prevention: facts & myths. Money Laundering Bulletin, 154. pp. 1-4. ISSN 1462-141X
Harvey, Jackie (2010) Money laundering: phantoms, imagery and facts. In: British Society of Criminology Conference 2010, 12-14 July 2010, University of Leicester , UK.
Harvey, Jackie (2008) Policing criminal money flows: the role of law enforcement -paragons or pariahs. In: 10th Cross-border Crime Colloquium, 27-29 November 2008, Belgrade, Serbia.
Harvey, Jackie (2008) What is the real scale of the problem of money laundering, and are the measures being taken to prevent it actually doing any good? In: Annual conference of the Institute of Money Laundering Prevention Officers, 12-13 May 2008, Manchester, UK.
Harvey, Jackie (2009) The responsibility of management for the prevention and control of financial crime related risks: the cost benefits - is it worth it? In: Twenty-Seventh International Symposium on Economic Crime: The Enemy Within – internal threats to the stability and integrity of financial institutions, 30 August - 6 September 2009, Jesus College, University of Cambridge, UK.
Harvey, Jackie and Bosworth-Davies, Rowan (2013) Drawing the line in the sand: trust, integrity and regulatory misdemeanour. Security Journal. pp. 1-18. ISSN 0955-1662 (In Press)
Harvey, Jackie, Bosworth-Davies, Rowan and Elliott, Martin (2013) AML compliance: rituals of engagement or improvements in integrity? In: Human dimensions in organised crime, money laundering and corruption. Wolf Legal Publishers, Oisterwijk, The Netherlands, pp. 229-248. ISBN 9789058509833
Harvey, Jackie, Macht, Stephanie and Sharma, Satish (2012) SME Access to Finance: An exploration into the demand and supply contraints around SME access to finance. Project Report. Northumbria University, Newcastle upon Tyne, UK.
Hedley, Julie and Murdoch, Ian (2008) Global opportunities for securing overseas retail deposits within the UK banking industry. Northumbria Working Paper Series: Interdisciplinary Studies in the Built and Virtual Environment, 1 (2). pp. 123-134. ISSN 1756-2473
Hughes, Peter (2010) Decision-making processes in the context of ethical dilemmas: a study of accountants in training. Doctoral thesis, Northumbria University.
Ibrahim, Boulis Maher and Brzeszczynski, Janusz (2014) How beneficial is international stock market information in domestic stock market trading? The European Journal of Finance, 20 (3). pp. 201-231. ISSN 1351-847X
Ibrahim, Boulis Maher and Brzeszczynski, Janusz (2009) Inter-regional and region-specific transmission of international stock market returns: The role of foreign information. Journal of International Money and Finance, 28 (2). pp. 322-343. ISSN 0261-5606
Johnson, Lynn and Thomson, Becky (2014) Valuation. In: Real Estate Concepts: A Handbook. Routledge, Abingdon, Oxon, pp. 444-484. ISBN 9780415857420
Jones, Michael John and Slack, Richard (2008) The future of financial reporting 2008: measurement and stakeholders. Discussion Paper. The Association of Chartered Certified Accountants, Newcastle upon Tyne, UK.
Jones, Michael John and Slack, Richard (2010) The future of financial reporting 2009: a time of global financial crisis. Discussion Paper. The Association of Chartered Certified Accountants, London, UK.
Jones, Michael John and Slack, Richard (2012) The future of financial reporting 2011: global crisis and accounting at a crossroads. Discussion Paper. The Association of Chartered Certified Accountants, London, UK.
Jowsey, Ernie (2014) Economics. In: Real Estate Concepts: A Handbook. Routledge, Abingdon, Oxon, pp. 119-140. ISBN 9780415857420
Jowsey, Ernie and Furness, Hannah (2014) Finance. In: Real Estate Concepts: A Handbook. Routledge, Abingdon, Oxon, pp. 173-184. ISBN 9780415857420
Jowsey, Ernie and Furness, Hannah (2014) Investment. In: Real Estate Concepts: A Handbook. Routledge, Abingdon, Oxon, pp. 185-210. ISBN 9780415857420
Jowsey, Ernie and Williams, Rachel (2014) Taxation. In: Real Estate Concepts: A Handbook. Routledge, Abingdon, Oxon, pp. 430-443. ISBN 9780415857420
Kalapodas, Evangelos and Thomson, Mary (2005) Credit risk assessment: a challenge for financial institutions. IMA Journal of Management Mathematics, 17 (1). pp. 25-46. ISSN 1471-678X
Langley, Paul (2008) Financialization and the consumer credit boom. Competition and Change, 12 (2). pp. 33-147. ISSN 1024-5294
Langley, Paul (2004) In the eye of the 'perfect storm': the final salary pension crisis and financialisation of Anglo-American capitalism. New Political Economy, 9 (4). pp. 539-558. ISSN 1356-3467
Lau, Chi Keung (2010) New evidence about regional income divergence in China. China Economic Review, 21 (2). pp. 293-309. ISSN 1043-951X
Lau, Chi Keung (2015) The effect of international soccer games on exchange rates using evidence from Turkey. Journal of Advanced Studies in Finance, 5 (10). pp. 145-156. ISSN 2068-8393
Lau, Chi Keung and Bilgin, Mehmet Huseyin (2013) Hedging with Chinese aluminum futures: international evidence with return and volatility spillover indices under structural breaks. Emerging Markets Finance and Trade, 49 (Sup 1). pp. 37-48. ISSN 1540-496X
Lau, Chi Keung, Demir, Ender and Bilgin, Mehmet Huseyin (2013) Experience-based corporate corruption and stock market volatility: evidence from emerging markets. Emerging Markets Review, 17. pp. 1-13. ISSN 1566-0141
Lau, Chi Keung, Demir, Ender and Bilgin, Mehmet Huseyin (2016) A Nonlinear Model of Military Expenditure Convergence: Evidence From Estar Nonlinear Unit Root Test. Defence and Peace Economics, 27 (3). pp. 392-403. ISSN 1024-2694
Lau, Chi Keung, Su, Yongyang, Tan, Na and Zhang, Zhe (2014) Hedging China’s energy oil market risks. Eurasian Economic Review, 4 (1). pp. 99-112. ISSN 1309-422X
Linsley, Philip, McMurray, Robert and Shrives, Philip (2015) Consultation in the Policy Process: Douglasian Cultural Theory and the development of accounting regulation in the face of crisis. Public Administration. ISSN 0033-3298
Linsley, Philip and Shrives, Philip (2014) Douglasian cultural dialogues and the Financial Reporting Council complexity project. Critical Perspectives on Accounting, 25 (8). pp. 757-770. ISSN 1045-2354
Linsley, Philip and Slack, Richard (2013) Crisis management and an ethic of care: the case of Northern Rock bank. Journal of Business Ethics, 113 (2). pp. 285-295. ISSN 0167-4544
Liu, Hong, Molyneux, Philip and Nguyen, Linh (2012) Competition and risk in South East Asian commercial banking. Applied Economics, 44 (28). pp. 3627-3644. ISSN 0003-6846
Lokanan, Mark (2015) Challenges to the fraud triangle: Questions on its usefulness. Accounting Forum, 39 (3). pp. 201-224. ISSN 0155-9982
Lokanan, Mark (2014) How senior managers perpetuate accounting fraud? Lessons for fraud examiners from an instructional case. Journal of Financial Crime, 21 (4). pp. 411-423. ISSN 1359-0790
Lokanan, Mark (2014) The Investment Dealers Association of Canada’s enforcement record. Journal of Financial Regulation and Compliance, 22 (3). pp. 235-251. ISSN 1358-1988
Lokanan, Mark (2015) Securities Regulation: Opportunities exist for IIROC to regulate responsively. Administration & Society. ISSN 0095-3997 (In Press)
Lokanan, Mark (2015) Self-regulation in the Canadian securities industry: Funnel in, funnel out, or funnel away? International Journal of Law, Crime and Justice, 43 (4). pp. 456-480. ISSN 1756-0616
Lokanan, Mark (2014) The demographic profile of victims of investment fraud. Journal of Financial Crime, 21 (2). pp. 226-242. ISSN 1359-0790
McRae, Ian and Paolucci, Francesco (2011) The global financial crisis and Australian general practice. Australian Health Review, 35 (1). pp. 32-35. ISSN 0156-5788
Molyneux, Philip, Nguyen, Linh and Xie, Ru (2013) Foreign bank entry in South East Asia. International Review of Financial Analysis, 30. pp. 26-35. ISSN 1873-8079
Myers, Jan, Scott-Cato, Molly and Jones, Paul A. (2011) A la marge ou grand public: conséquences de la politique d’insertion financière sur le développement des coopératives d’épargne et de crédit au pays de Galles. Revue Internationale de L’Économie Sociale (320). pp. 52-68. ISSN 1626-1682
Nakpodia, Franklin, Adegbite, Emmanuel, Amaeshi, Kenneth and Owolabi, Akintola (2016) Neither Principles Nor Rules: Making Corporate Governance Work in Sub-Saharan Africa. Journal of Business Ethics. ISSN 0167-4544 (In Press)
Newton, John, Fraser, M., Robinson, John and Wainwright, David (1993) Fundholding in Northern region: The first year. British Medical Journal, 306 (6874). pp. 375-378. ISSN 0959 8146
Ofori, Daniel, Nyuur, Richard and S-Darko, Mildred (2014) Corporate social responsibility and financial performance: Fact or fiction? A look at Ghanaian banks. Acta Commercii, 14 (1). ISSN 1680-7537
Okike, Elewechi, Adegbite, Emmanuel, Nakpodia, Franklin and Adegbite, Stephen (2015) A review of internal and external influences on corporate governance and financial accountability in Nigeria. International Journal of Business Governance and Ethics, 10 (2). p. 165. ISSN 1477-9048
Omay, Tolga, Apergis, Nicholas and Özcelebi, Hulya (2015) Energy consumption and growth: New evidence from a non-linear panel and a sample of developing countries. The Singapore Economic Review, 60 (02). p. 1550018. ISSN 0217-5908
Ongaro, Edoardo, Ferré, Francesca and Fattore, Giovanni (2015) The fiscal crisis in the health sector: Patterns of cutback management across Europe. Health Policy, 119 (7). pp. 954-963. ISSN 0168 8510
Peck, Frank, Parry, Simon, Mulvey, Gail, Jackson, Keith, Cabras, Ignazio and Jackson, Jacqui (2014) The role and significance of rates relief for supporting businesses in Wales. Environment and Planning C: Government and Policy, 32. ISSN 0263-774X
Pickerill, Tracey and Pickard, Rob (2002) Real estate tax credits and other incentives for investing in historic property in the United States. RICS Foundation Research paper series, 4 (17).
Rahma, Elsiddig, Perera, Noel and Tan, Kian (2016) Impact of Oil Price Shocks on Sudan’s Government Budget. International Journal of Energy Economics and Policy, 6 (2). pp. 243-248. ISSN 2146-4553
Rahma, Elsiddig, Perera, Noel and Tan, Kian (2016) Oil price shocks and their consequences on Sudan's GDP growth and unemployment rates. In: 21st International Academic Conference, 9 -12 February 2016, Miami.
Realdon, Marco (2016) Gaussian models for Euro high grade government yields. The European Journal of Finance. ISSN 1351-847X (In Press)
Sharma, Satish (2009) Consumer credit scoring : an empirical study involving home loans within the Nepalese banking sector. Doctoral thesis, Northumbria University.
Sharma, Satish and Charity, Ian (2011) Integrating innovations into financial education. In: FAR SIG 15th Annual Conference - Financial Reporting and Business Communication, 7-8 July 2011, Bristol, UK.
Sharma, Satish and Harvey, Jackie (2008) An exploratory insight into credit scoring: data capture and model development issues. Working Paper. Northumbria University, Newcastle-upon-Tyne.
Sharma, Satish, Harvey, Jackie and Robson, Andrew (2012) Automated credit decision process - an insight into developing a credit-scoring model within the Nepalese banking sector. International Journal of Decision Sciences, Risk and Management, 4 (3/4). pp. 233-253. ISSN 1753-7177
Sharma, Satish, Lavery, John and Polyanskiy, Konstantin (2010) Challenges in maintaining the regulatory capital requirements. International Journal of Financial Services Management, 4 (4). pp. 243-259. ISSN 1460-6712
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