Köksal, Bülent (2012): An analysis of intraday patterns and liquidity on the Istanbul stock exchange. Unpublished.
Simplice A, Asongu (2012): Financial determinants of consumer price inflation. What do dynamics in money, credit, efficiency and size tell us? Unpublished.
Simplice A, Asongu (2012): African Stock Market Performance Dynamics: A Multidimensional Convergence Assessment. Unpublished.
Tsuruta, Daisuke (2012): Changing Banking Relationships and Client Firm Performance: Evidence for Japan from the 1990s. Unpublished.
Simplice A., Asongu (2011): Finance and inequality: exploring pro-poor investment channels in Africa. Unpublished.
Simplice A., Asongu (2011): Investment and inequality in Africa: which financial channels are good for the poor? Unpublished.
Simplice A., Asongu (2011): Law and Investment in Africa. Unpublished.
Hasan, Zubair (2011): Riba in La-riba contracts:where to turn in Islamic home financing? Unpublished.
Simplice A., Asongu (2011): Financial determinants of human development in developing countries. Unpublished.
He, Qichun (2011): Home-bias Politics, Financial Deregulation and Economic Growth: A Causal Relationship. Unpublished.
Simplice A., Simplice (2011): Why do French civil-law countries have higher levels of financial efficiency? Unpublished.
Sinha, Pankaj and Gupta, Akshay (2011): Analysis of WIMAX/BWA Licensing in India: A real option approach. Unpublished.
Sinha, Pankaj and Gupta, Sushant (2011): Mergers and Acquisitions: A pre-post analysis for the Indian financial services sector. Unpublished.
Reito, Francesco (2011): When Opposites Attract: Is the Assortative Matching Always Positive? Unpublished.
Veysov, Alexander and Stolbov, Mikhail (2011): Do financial systems converge? A Comprehensive panel data approach and new evidence from a dataset for 102 countries. Unpublished.
Kumbhar, Vijay (2011): Financial Inclusion Through M-Banking Services: Scope and Problems in India. Unpublished.
Sarkar, Prabirjit (2011): Does finance matter for growth? what the data show. Unpublished.
Petrushchak, Bohdan (2011): The influence of metallurgical sector on Ukrainian economy. Published in: Studenckie Prace Prawnicze, Administratywistyczne i Ekonomiczne No. 10 (2011): pp. 11-16.
Perez Hernandez, Enrique (2010): A more resilient financial system but… Basel III and the FSB. Published in: Aestimatio. The IEB International Journal of Finance No. 1 (December 2010): pp. 1-24.
Ramosaj, Berim (2010): Challenges to Solvency II Reform in Insurance Industry. Unpublished.
Charles, Steindel (2010): The Financial Crisis and the Measurement of Financial Sector Activity. Unpublished.
Mohamed, Issam A.W. (2010): The Institutional Framework and Decision Making in Sudan. Unpublished.
Dash, Debasis Kumar (2010): INDIAN Bank Base Rate:An Overview. Published in: Niveshak , IIM Shillong Finance Magazine , Vol. 3, No. 9 (30. September 2010): pp. 12-14.
Sarath Chandran, B.P. and Manju, T.K. (2010): Financial Inclusion Strategies For Inclusive Growth In India. Unpublished.
Chun, Sun Eae; Nagano, Mamoru and Lee, Min Hwan (2010): Ownership Structure and Risk-taking Behavior: Evidence from Banks in Korea and Japan. Unpublished.
Delis, Manthos D and Staikouras, Panagiotis (2010): Supervisory effectiveness and bank risk. Unpublished.
Ramosaj, Berim (2010): Global financial crisis and its impact on the financial system of Kosovo. Unpublished.
Menkhoff, Lukas (2010): Eine „dienende Rolle“ für den Finanzsektor? Nicht dienen, sondern funktionieren! Unpublished.
Bojańczyk, Mirosław (2010): The impact of institutional investors and increasingly sophisticated financial instruments on risk and leverage. Unpublished.
Perlin, Marcelo; Dufour, Alfonso and Brooks, Chris (2010): The Drivers of Cross Market Arbitrage Opportunities: Theory and Evidence for the European Bond Market. Unpublished.
Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.
Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.
Bag, Pinaki (2010): Exposure at Default Model for Contingent Credit Line. Unpublished.
Murhadi, Werner-Ria (2010): Performance Evaluation Of Mutual Funds In Indonesia. Published in: ProceedingsThe 3rd National Conference on Management Research , Vol. March, No. 3rd (09. March 2010): pp. 1-12.
Garofalo, Giuseppe and Morganti, Patrizio (2010): Il finanziamento degli investimenti in R&S. Gli effetti sulla crescita e sulla struttura finanziaria. Published in: , Vol. 10, 2, : pp. 1-38.
Piatkowski, Marcin and Zalduendo, Juan (2010): Assessing EU-10 Banking Sector's Resilience to Credit Losses. Published in: Kwartalnik Nauk o Przedsiebiorstwie , Vol. 14, No. 2010/1 (01. January 2010): pp. 62-69.
Shaikh, Salman (2010): Analysis of Stock Screening Principles in Islamic Mutual Funds Industry. Unpublished.
Kondo, Kazumine (2010): What Promotes Japanese Regional Banks to Disclose Credit Ratings Voluntarily? Unpublished.
Mohamed, Issam A.W. (2010): Economics and Hegemony; Globalization and International Trade Agreements. Unpublished.
Sokolov, Yuri (2009): Interaction between market and credit risk: Focus on the endogeneity of aggregate risk. Unpublished.
Annim, Samuel Kobina (2009): Sensitivity of loan size to lending rates: Evidence from Ghana’s microfinance sector. Unpublished.
Llussá, Fernanda (2009): Financial Development, Gender and Entrepreneurship. Published in: Massachusetts Institute of Technology Engineering Systems Division Working Paper Series No. ESD-WP-2009-18
Bunea-Bontaş, Cristina Aurora (2009): Basic Principles of Hedge Accounting. Published in: Economy. Transdisciplinarity. Cognition , Vol. 12, No. 1 (July 2009): pp. 172-181.
Corduneanu, Carmen and Milos, Laura Raisa (2009): An empirical analysis on the impact of the development of the financial system upon the economic growth. The case of Romania and of the other states members of the European Union. Published in: Proccedings of IECS 2009
Aristovnik, Aleksander and Čeč, Tanja (2009): Compositional Analysis of Foreign Currency Reserves in the 1999-2007 Period : The Euro vs. The Dollar as Leading Reserve Currency. Published in: Romanian Journal of Economic Forecasting , Vol. 13, No. 1 (2010): pp. 165-181.
Abdullai, Besim (2009): Electronic Payment Instruments use, as perceived by consumers in Macedonia. Published in: Proceedings of the Conference, Department of Management, University of Tirana, Albania
Govori, Florije (2009): Sistemi Bankar ne Kosove dhe Roli i tij ne Zhvillimin Ekonomik. Unpublished.
Dhaene, Jan; Tsanakas, Andreas; Emiliano, Valdez and Steven, Vanduffel (2009): Optimal capital allocation principles. Unpublished.
Achim, Marian and Neamtu, Ion (2009): Risk’s and uncertainty in the knowledge economy. Unpublished.
Corduneanu, Carmen and Milos, Laura Raisa (2008): Market force of institutional investors on the Romanian capital market. Published in: The Annals of Eftimie Murgu University- Fascicle Economic studies No. 1 (November 2008): pp. 215-219.
Besana, Angela (2008): The "De Medici New Generation": The Italian Foundations' Collections and Philanthropy in the Third Millennium. Unpublished.
Troaca, Victor (2008): Yearly balance sheet and the account for profit and loss made by banking societies. Unpublished.
Troaca, Victor (2008): Actual context of fight against the money laundring by means of credit institutions. Unpublished.
Adam, Anokye M. and Tweneboah, George (2008): Foreign Direct Investment (FDI) and Stock market Development: Ghana Evidence. Unpublished.
Kassim, Salina and Rahman, Md Mahfuzur (2008): Handling Default Risks in Microfinance: The Case of Bangladesh. Unpublished.
Mierzejewski, Fernando (2008): The Allocation of Economic Capital in Opaque Financial Conglomerates. Unpublished.
Pena, Alejandro and Rodríguez, Analía (2008): La metodología de rating “through the cycle”: aplicación para la estimación de ratings soberanos. Unpublished.
Suhaila, Mat Kila and Wan Mahmood, Wan Mansor (2008): Capital Structure and Firm Characteristics: Some Evidence from Malaysian Companies. Unpublished.
Matu, Jeffrey Ben (2008): Attracting Microfinance Investment Funds: Promoting Microfinance Growth through Increased Investments in Kenya. Unpublished.
Pitluck, Aaron Z. (2008): Moral Behavior in Stock Markets: Islamic finance and socially responsible investment. Forthcoming in: Economics and Morality: Anthropological Approaches , Vol. 26, No. Society for Economic Anthropology (SEA) Monographs (2008)
Schied, Alexander and Schoeneborn, Torsten (2008): Risk aversion and the dynamics of optimal liquidation strategies in illiquid markets. Unpublished.
Anolli, Mario and Del Giudice, Alfonso (2008): Italian Open End Mutual Fund Costs. Unpublished.
Siddiqi, Hammad (2008): Information Transmission in Emerging Markets: The Case of a Unique Financing Instrument. Unpublished.
Bejan, Camelia (2008): Production and financial decisions under uncertainty. Unpublished.
Krueger, Malte (2008): Money: A Market Microstructure Approach. Published in: Rome Discussion Paper Series (January 2008): pp. 1-28.
Corduneanu, Carmen and Iovu, Laura Raisa (2008): Steps in the development of the Romanian financial system and the corellation with the level of economical growth. Published in: Timisoara Journal of Economics No. 1 (January 2008): pp. 83-108.
Troaca, Victor (2008): Banking accountancy of transaction titles operations. Unpublished.
Pirtea, Marilen; Iovu, Laura Raisa and Milos, Marius Cristian (2008): Dynamics of financial markets in the context of globalization. Unpublished.
SARNO, DOMENICO (2008): FINANCIAL AND LEGAL CONSTRAINTS TO FIRM GROWTH: THA CASE OF ITALY. Unpublished.
Corduneanu, Carmen and Iovu, Laura Raisa (2008): Multiplying financing choices through capital markets. Unpublished.
Mitu, Narcis Eduard (2008): Nonverbal language – the weapon of the insurance agent. Published in: Finance - Ghallenges of the Future, ISSN 1583-3712 , Vol. No. 7, (2008): pp. 146-153.
Palombizio, Ennio A. (2007): Mutual Funds and Segregated Funds: A Comparison. Unpublished.
Vink, Dennis (2007): An Empirical Analysis of Asset-Backed Securitization. Unpublished.
Wan Mahmood, Wan Mansor and Abdul Fatah, Faizatul Syuhada (2007): Multivariate Causal Estimates of Dividend Yields, Price Earning Ratio and Expected Stock Returns: Experience from Malaysia. Unpublished.
Bednarik, Radek (2007): Loan Dollarization in V4 Countries. Published in: International Conference on Increasing Competitiveness or Regional, National and International Markets (04. September 2007)
Hasan, Zubair Hasan (2007): Comments on Masudul Alam Chuodhury: 'Islamic critique and alternative to financial engineering issues'. Published in: JKAU: Islamic Economics , Vol. 22, No. 2 (2009): pp. 75-81.
Klinedinst, Mark (2007): Cooperative comebacks: resilience in the face of the Hurricane Katrina Catastrophe (New Orleans and Southern Mississippi, May 2005–May 2006). Published in: Filene Research Institute No. 2007 (2007)
Weill, Laurent and Godlewski, Christophe (2006): Does Collateral Help Mitigate Adverse Selection ? A Cross-Country Analysis. Unpublished.
Law, Siong Hook; Azman-Saini, W.N.W. and Smith, Peter (2006): Finance and growth in a small open emerging market. Unpublished.
He, Dong; Yong, Ivy and Lim, Peter (2006): Financial sector output and employment in Hong Kong and New York City. Published in: Hong Kong Monetary Authority Quarterly Bulletin No. March 2006
Carretta, Alessandro; Farina, Vincenzo and Schwizer, Paola (2006): Coordination & cooperation in financial regulation: Do regulators comply with banking culture? Unpublished.
Allen, Franklin; Laura, Bartiloro and Oskar, Kowalewski (2005): The Financial System of the EU 25. Unpublished.
Carretta, Alessandro; Farina, Vincenzo and Schwizer, Paola (2005): Banking regulation towards advisory: the “culture compliance” of banks and supervisory authorities. Unpublished.
Amihud, Yakov; Mendelson, Haim and Pedersen, Lasse Heje (2005): Liquidity and Asset Prices. Published in: Foundations and Trends in Finance , Vol. 1, No. 4 (2005): pp. 269-364.
Maudos, Joaquin and Pérez, Francisco (2004): Convergencia, integración y competencia en los mercados financieros europeos. Published in: Papeles de Economía Española No. 101 (2004): pp. 114-136.
Munro, John H. (2002): The medieval origins of the 'Financial Revolution': usury, rentes, and negotiablity. Published in: The International History Review , Vol. 25, No. 3 (September 2003): pp. 505-562.
Banerjee, Saumya S and Ghosh, Saibal (1998): Demand following and supply leading relationships: An empirical analysis for India. Published in: Indian Journal of Economics , Vol. 1, : pp. 67-82.
Abbasoğlu, Osman Furkan; Aysan, Ahmet Faruk and Gunes, Ali (2007): Concentration, Competition, Efficiency and Profitability of the Turkish Banking Sector in the Post-Crises Period. Unpublished.
Lazen, Vicente and Eguiluz, Cristian (2006): Conflictos de Interés en Servicios Financieros: Taxonomía y Mecanismos de Control Regulatorio. Published in: Serie Documentos de Trabajo. Superintendencia de Valores y Seguros- Chile No. N°6 (December 2006)
Ji, Tingting (2004): CONSUMER CREDIT DELINQUENCY AND BANKRUPTCY FORECASTING USING ADVANCED ECONOMETRC MODELING. Unpublished.
Nuttall, John (2007): Flaw in the fund skill/luck test method of Cuthbertson et al. Unpublished.
Cotter, John and Longin, Francois (2006): Implied correlation from VaR. Unpublished.
Aysan, Ahmet Faruk and Ceyhan, Sanli Pinar (2007): Market Disciplining Role of Crisis on the Restructuring of the Turkish Banking Sector. Unpublished.
Schied, Alexander and Schöneborn, Torsten (2007): Optimal Portfolio Liquidation for CARA Investors. Unpublished.
Chopard, Bertrand and Langlais, Eric (2007): Renégociation stratégique de la dette, risque comptable et risque juridique. Unpublished.
Aysan, Ahmet Faruk (2006): The Effects of Volatility on Growth and Financial Development through Capital Market Imperfections. Unpublished.
Kamat, Manoj and Kamat, Manasvi (2007): The New Information Age & the Stock Market Growth Puzzle. Unpublished.
Cotter, John and Dowd, Kevin (2007): The tail risks of FX return distributions: a comparison of the returns associated with limit orders and market orders. Unpublished.