Content
2024
- 2024-07 A Canonical Self-Referring Type Space Representation Of The ’Context’ Of A Game
by Yohan Pelosse - 2024-06 Simultaneous Versus Sequential Learning of Valuations: Theory and Evidence From House Sales
by Eberhard Feess & Arthur Grimes & Yigit Saglam & Ansgar Wohlschlegel - 2024-05 Correlated Equilibrium Strategies with Multiple Independent Randomization Devices
by Yohan Pelosse - 2024-04 Timing of Command-and-Control policy, asymmetric technology, and green trade unions
by Elias Asproudis & Eleftherios Filippiadis - 2024-03 Clarity of Central Bank Communication and the Social Value of Public Information
by Jonathan G. James & Philip Lawler - 2024-02 Sequential Contest when the Precision of Observation is Endogenous
by Yohan Pelosse - 2024-01 A Non-Cooperative Shapley Value Representation of Luce Contests Success Functions
by Yohan Pelosse - 2022-08 Bank Misconduct Hotspots: County-Level Analysis of Social, Cultural, and Regulatory Factors
by Giulia Fantini & Linh Tran & Vineet Upreti & Tim Zhou
2023
- 2023-02 A Quality Dimension? A Re-appraisal of Financial Development and Economic Growth Nexus in a Quality-Quantity Setting
by Rosen Azad Chowdhury & Dilshad Jahan & Tapas Mishra & Mamata Parhi - 2023-01 An Economic Definition of 'Fear of Missing Out' (FOMO)
by Mohammed Kaddouhah
2022
- 2022-03 Depositor Market Discipline: New Evidence from Selling Failed Banks
by Philip Molyneux & Vineet Upreti & Tim Zhou - 2022-02 Endogenous market choice, listing regulations and IPO spread: Evidence from the London Stock Exchange
by Hafiz Hoque - 2022-01 Investor Sentiment and Firm Capital Structure
by Shengfeng Li & Hafiz Hoque & Jia Liu
2020
- 2020-01 Lobbying and Enforcement: Theory and Application to Bank Regulation
by Panagiota Papadimitri & Ansgar Wohlschlegel
2019
- 2019-03 Forecasting Realized Volatility: The role of implied volatility, leverage effect, overnight returns and volatility of realized volatility
by Dimos Kambouroudis & David McMillan & Katerina Tsakou - 2019-02 The Topology of Time Series: Improving Recession Forecasting from Yield Spreads
by Pawel Dlotko & Simon Rudkin
2018
- 2018-34 Regional house price convergence: The role of monetary policy
by Rosen Azad Chowdhury & Dilshad Jahan - 2018-32 Why do firms choose negative net debt policy?
by Katsutoshi Shimizu & Kim Cuong Ly & Weihan Cui - 2018-31 Do banks adjust their liquidity to cope with environmental variation? A study of bank deregulation
by Yaoyao Fan & Showyi Yuxiang Jiang & Kim Cuong Ly - 2018-30 Social media bots and stock markets
by Rui Fan & Oleksandr Talavera & Vu Tran - 2018-29 Unsafe Sex in the City: Risk Pricing in the London Area
by Alexander Muravyev & Oleksandr Talavera - 2018-28 The Hidden Information Content: Evidence from the Tone of Independent Director Reports
by Jiao Ji & Oleksandr Talavera & Shuxing Yin - 2018-27 Volatility forecasting across tanker freight rates: the role of oil price shocks
by Konstantinos Gavriilidis & Dimos S. Kambouroudis & Katerina Tsakou & Dimitris S. Tsouknidis - 2018-26 Multiple credit ratings and market heterogeneity
by Vu Tran & Rasha Alsakka & Owain ap Gwilym - 2018-25 Role of Verification in Peer-to-Peer Lending
by Oleksandr Talavera & Haofeng Xu - 2018-24 Asymmetry, Uncertainty and International Trade
by Syed Hassan & Sarosh Shabi & Taufiq Choudhry - 2018-23 The threshold GARCH model: estimation and density forecasting for financial returns
by Yuzhi Cai & Julian Stander - 2018-22 A novel approach to modelling the distribution of financial returns
by Yuzhi Cai & Guodong Li - 2018-21 A novel statistical approach to marketing campaigns
by Yuzhi Cai - 2018-19 Does CDS trading affect risk-taking incentives in managerial compensation?
by Jie Chen & Woon Sau Leung & Wei Song & Davide Avino - 2018-18 Passing the dividend baton: The impact of dividend policy on new CEOs' initial compensation
by Jie Chen & Wei Song & Marc Goergen - 2018-17 Asset Securitization and Bank risk: Do Religiosity or Ownership Structure Matter?
by Omneya Abdelsalam & Marwa Elnahass & Sabur Mollah - 2018-16 CEO general managerial skills and corporate social responsibility
by Jie Chen & Xicheng Liu & Wei Song - 2018-15 Asset Securitization and Risk: Does Bank Type Matter?
by Omneya Abdelsalam & Marwa Elnahass & Sabur Mollah - 2018-14 Does Bank Stakeholder Orientation Enhance Financial Stability? Evidence from a Natural Experiment
by Woon Sau Leung & Wei Song & Jie Chen - 2018-13 Religiosity and Bank Asset Securitization
by Omneya Abdelsalam & Marwa Elnahass & Sabur Mollah - 2018-12 Why female board representation matters: The role of female directors in reducing male CEO overconfidence in corporate decisions
by Jie Chen & Woon Sau Leung & Wei Song & Marc Goergen - 2018-11 Political connection and bank in(efficiency)
by Omneya Abdelsalam & Sabur Mollah & Emili Tortosa-Ausina - 2018-10 What Motivates CEO and CFO Trading – Contrarian Beliefs or Superior Information?
by Abu Chowdhury & Sabur Mollah & Mir A. Zaman - 2018-09 Bank Corporate Governance and Future Earnings Predictability
by Sabur Mollah & Omar Al Farooque & Asma Mobarek & Philip Molyneux - 2018-08 Strong Boards and Risk-taking in Islamic Banks
by Sabur Mollah & Michael Skully & Eva Liljeblom - 2018-07 Does connection with @realDonaldTrump affect stock prices?
by Rui Fan & Oleksandr Talavera & Vu Tran - 2018-06 Did Basel regulations cause a significant procyclicality?
by Katsutoshi Shimizu & Kim Cuong Ly - 2018-05 US Economic Uncertainty, EU Business Cycles and the Global Financial Crisis
by Syed Hassan & Sarosh Shabi & Taufiq Choudhry - 2018-04 Shock propaganda, asset quality and lending behaviour
by Tho Pham & Oleksandr Talavera & Andriy Tsapin - 2018-03 Self-employment, financial development and well-being: Evidence from China, Russia and Ukraine
by Tho Pham & Oleksandr Talavera & Mao Zhang - 2018-02 Multimarket Competition and Profitability: Evidence from Ukrainian banking
by Tho Pham & Oleksandr Talavera & Junhong Yang - 2018-01 Social media, sentiment and public opinions: Evidence from #Brexit and #USElection
by Yuriy Gorodnichenko & Tho Pham & Oleksandr Talavera