Mendes-Da-Silva, Wesley (2011): Small worlds and board interlocking in Brazil: a longitudinal study of corporate networks, 1997-2007. Unpublished.
Ahmad Zaini, Afzan; Endut, Intan Rohani and Takim, Roshana (2011): Contractors’ Strategic Approaches to Risk Assessment Techniques at Project Planning Stage. Published in: 2011 IEEE Symposium on Business Engineering & Industrial Application, Langkawi Malaysia (01. October 2011): pp. 318-323.
Menkhoff, Thomas and Evers, Hans-Dieter (2011): The governance of Singapore’s knowledge clusters: off shore marine business and waterhub. Unpublished.
Ojo, Marianne (2011): Addressing risk challenges in a changing financial environment: the need for greater accountability in financial regulation and risk management. Unpublished.
Ojo, Marianne (2011): Pluralism and deformalisation as mechanisms in the achievement of more equitable and just outcomes – the move from „Classical Formalism“ to deformalisation. Unpublished.
Ojo, Marianne (2011): Addressing the inadequacies of private law in the regulation of contracts – during and post contract formation periods. Unpublished.
Buscemi, Antonino and Yallwe, Alem Hagos (2011): Money laundry and financial development. Unpublished.
Yallwe, Hagos Alem and Buscemi, Antonino (2011): Money laundry and financial development. Published in: Antiriciclaggio and 231del2001 , Vol. 1, No. IT 15 Y 05256 04000000000953755 (August 2011): pp. 228-258.
Buscemi, Antonino and Yallwe, Alem Hagos (2011): Money laundry and financial development. Published in: Antiriciclaggio & 231 del 2001 , Vol. nr. 0 del 2011, No. ISSN 2239-0308 (July 2011): pp. 233-264.
Situngkir, Hokky (2011): Pengertian dari dan untuk ketakmengertian: Social Complexity sebagai cara pandang baru dalam memahami fenomena sosial. Published in: Seminar Nasional Statistika, Universitas Gadjah Mada Yogyakarta, 14 Mei 2011
Ojo, Marianne (2011): Integrity, respect for others, and ethics – three essential leadership qualities. Unpublished.
Ojo, Marianne (2011): Integrity, respect for others, and ethics – three essential leadership qualities. Unpublished.
Estrada, Fernando (2011): Theory of financial risk. Unpublished.
Andrey, Rudkov (2011): Economical preconditions of functioning of independent boards of directors in view of neoclassical economical theory. Unpublished.
Ojo, Marianne (2011): A tale of three countries, dispersed ownership and greater risk taking levels by management: risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc (re – visited). Unpublished.
Ahmed, Khalil (2011): Sukuk: Definition, Structure and Accounting Issues. Unpublished.
Ojo, Marianne (2010): Preparing for Basel IV : why liquidity risks still present a challenge to regulators in prudential supervision (II). Unpublished.
Ojo, Marianne (2010): Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II). Unpublished.
Ojo, Marianne (2010): Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II). Unpublished.
Lenz, Rainer (2010): Yield Curve Analysis: Choosing the optimal maturity date of investments and financing. Unpublished.
Pérez Mantecón, María and Barajas, Angel (2010): Coyuntura económica y variación en la valoración financiera de una marca. Unpublished.
Ahmad Zaini, Afzan; Adnan, Hamimah and Che Haron, Roziha (2010): Contractors’ Approaches to Risk Management at the Construction Phase in Malaysia. Published in: Proceedings of the International Conference on Construction Project Management (ICCPM) Chengdu, China, (01. December 2010): pp. 330-334.
Bell, Peter N (2010): New methodology for event studies in Bonds. Unpublished.
Skardziukas, Domantas (2010): Practical approach to estimating cost of capital. Unpublished.
Barnes, Paul (2010): Insider dealing and market abuse: the UKs record on enforcement. Unpublished.
Lenz, Rainer (2010): Analyse der Renditestrukturkurve: Zur Laufzeitenstruktur von Investitions- und Finanzierungsentscheidungen. Unpublished.
Ojo, Marianne (2010): The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis. Published in: European Law Journal , Vol. 16, No. 5 (September 2010): pp. 604-623.
Ciliberto, Federico and Schenone, Carola (2010): Are the Bankrupt Skies the Friendliest? Unpublished.
Ciliberto, Federico and Schenone, Carola (2010): Bankruptcy and Product-Market Competition: Evidence from the Airline Industry. Unpublished.
Estrada, Fernando (2010): Theory of argumentation in financial markets. Published in: Journal of Advanced Studies in Finance , Vol. Volume I Summer 2010, No. Issue I (1) (16. July 2010): pp. 18-23.
Matić, Branko and Papac, Nikola (2010): Osobine sustava korporativnog upravljanja u bankama u Bosni i Hercegovini. Published in: Ekonomski vjesnik (2010): pp. 80-93.
Joern, Block; Peter, Jaskiewicz and Danny, Miller (2010): Ownership versus Management Effects on Performance in Family and Founder Companies: A Bayesian Analysis. Unpublished.
Waśniewski, Krzysztof (2010): Corporate strategies – the institutional approach. Unpublished.
Ojo, Marianne (2010): Co-operative and competitive enforced self regulation: the role of governments, private actors and banks in corporate responsibility. Forthcoming in: Journal of Financial Regulation and Compliance , Vol. 19, No. 2 (May 2011)
Ojo, Marianne (2010): Building on the trust of management: overcoming the paradoxes of principles based regulation. Unpublished.
Ojo, Marianne (2010): Building on the trust of management: overcoming the paradoxes of principles based regulation. Published in:
Ojo, Marianne (2010): Building on the trust of management: overcoming the paradoxes of principles based regulation. Published in:
Ojo, Marianne (2010): Risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc. Unpublished.
Estrada, Fernando (2010): Economics and Rationality of organizations: an approach to the work of Herbert A. Simon. Unpublished.
Estrada, Fernando (2010): Fragments on the black swan: money, credit and finance in The Arcades Project of Walter Benjamin. Unpublished.
Ojo, Marianne (2010): International framework for liquidity risk measurement, standards and monitoring: corporate governance and internal controls. Published in: BIS Publications (Bank for International Settlements) (April 2010)
Kitov, Ivan (2010): Modeling share prices of banks and bankrupts. Unpublished.
Popa, Ionela and Codreanu, Diana (2010): Fiscal Policy and its role in ensuring economic stability. Unpublished.
Nagano, Mamoru (2010): Islamic Finance and the Theory of Capital Structure. Unpublished.
Ojo, Marianne (2010): Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives. Published in: Journal of Advanced Research in Law and Economics , Vol. 1, No. 1 (July 2010)
Talamo , Giuseppina (2010): Corporate governance and capital flows. Published in: Corporate governance. The international journal of business in society , Vol. Volume 11 number 3 2011, No. Number 3 (2011): pp. 228-243.
Ojo, Marianne (2009): Regulating non audit services: Towards a principles based approach to regulation. Unpublished.
Saboo, Sidharth and Gopi, Sunil (2009): Comparison of Post-Merger performance of Acquiring Firms (India) involved in Domestic and Cross-border acquisitions. Unpublished.
Chaney, Paul; Faccio, Mara and Parsley, David (2009): The Quality of Accounting Information in Politically Connected Firms. Unpublished.
Jones, Kevin (2009): Mergers & Acquisitions: A snapshot of a SPECIAL pre and post M&A process. Unpublished.
Ansay, Thomas (2009): Firm valuation: tax shields & discount rates. Unpublished.
Ojo, Marianne (2009): The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis. Unpublished.
Asimakopoulos, Ioannis and Athanasoglou, Panayiotis P. (2009): Revisiting the merger and acquisition performance of European banks. Published in: RePEc No. Working Paper 100 (August 2009)
Ojo, Marianne (2009): The role of external auditors in corporate governance: agency problems and the management of risk. Unpublished.
Cova, Bernard and Paranque, Bernard (2009): Maketing: le défi à relever. Unpublished.
Chisari, Omar O. and Ferro, Gustavo (2009): Gobierno Corporativo: los problemas, estado actual de la discusión y un ejercicio de medición para Argentina. Unpublished.
Bartram, Söhnke M. and Bodnar, Gordon M. (2009): No Place To Hide: The Global Crisis in Equity Markets in 2008/09. Unpublished.
Jomadar, Dinesh (2009): LITIGATIONS, DAMAGES AND SOLUTIONS IN RESIDENTIAL MORTGAGE-BACKED SECURITIES. Unpublished.
rochette, michel (2009): From risk management to ERM. Published in: Journal of Risk Management in Financial Institutions , Vol. 2, : pp. 394-408.
Aretz, Kevin and Bartram, Söhnke M. (2009): Corporate Hedging and Shareholder Value. Unpublished.
Santella, Paolo; Drago, Carlo; Polo, Andrea and Gagliardi, Enrico (2009): A Comparison among the director networks in the main listed companies in France, Germany, Italy, and the United Kingdom. Unpublished.
Popa, Catalin C. (2009): Functional overview of financial crises development and propagation. Published in: KBO Journal , Vol. 1, No. 1 (10. January 2009): pp. 112-118.
Bartram, Söhnke M.; Brown, Gregory W. and Minton, Bernadette (2009): Resolving the Exposure Puzzle: The Many Facets of Exchange Rate Exposure. Unpublished.
Gursoy, Guner (2009): A strategic shift of automobile manufacturing firms in Turkey. Published in: Int. J. Business and Emerging Markets , Vol. 1, No. 3 (2009): pp. 211-231.
Stephen, Roper and Jonathan M., Scott (2009): Perceived financial barriers and the start-up decision: An econometric analysis of gender differences using GEM data. Published in: International Small Business Journal , Vol. 2, No. 27 (2009): pp. 149-171.
Visinescu, Sorin and Micuda, Dan (2009): Some aspects regarding the financial structure theories. Published in:
Bremer, Diedrich; Lüdtke, Jan-Philipp; Richter, Ansgar and Schäfer, Utz (2009): Who disciples the CFO? An assessment of stakeholder power in corporate governance. Unpublished.
Caruntu, Genu Alexandru and Romanescu, Marcel Laurentiu (2008): Treasury cash flows in the enterprise. Unpublished.
Gómez Conde, Jacobo and Barajas, Angel (2008): Marca comercial y D.O. Ribeiro: una primera aproximación a su valoración económica. Unpublished.
Carlo Alberto, Magni (2008): Splitting Up Value: A Critical Review of Residual Income Theories. Forthcoming in: European Journal of Operational Research , Vol. 3, No. 192 (March 2009)
Magni, Carlo Alberto (2008): Splitting Up Value: A Critical Review of Residual Income Theories. Forthcoming in: European Journal of Operational Research
Carlo Alberto, Magni (2008): Splitting Up Value: A Critical Review of Residual Income Theories. Forthcoming in: European Journal of Operational Research
Kannan, Srinivasan (2008): Social Correlates of Health choices: A study in Rural Tamil Nadu. Unpublished.
Santella, Paolo; Baffi, Enrico; Drago, Carlo and Lattuca, Dino (2008): A Comparative Analysis of the Legal Obstacles to Institutional Investor Activism in Europe and in the US. Unpublished.
Solomon, Bernard-Daniel (2008): Banks as Better Monitors and Firms' Financing Choices in Dynamic General Equilibrium. Unpublished.
Bondoc, Maria-Daniela and Radu, Florea (2008): Considerations concerning the analysis of the wage costs efficiency. Published in: Analele Universităţii din Craiova, Secţiunea Ştiinţe Economice No. 36 (2008)
Muhammad, Tanko (2008): A DEA Analysis of Bank Performance in Nigeria. Unpublished.
Michael, Cayley (2008): Introducing Social Capital Value Add: Manifesto for New Social Network Structural Management of Corporate Value. Unpublished.
Michael, Cayley (2008): Introducing Social Capital Value Add: Manifesto for New Social Network Structural Management of Corporate Value. Unpublished.
Jackwerth, Jens Carsten and Hodder, James E. (2008): Managerial Responses to Incentives: Control of Firm Risk, Derivative Pricing Implications, and Outside Wealth Management. Unpublished.
Mazumdar, Surajit (2008): Crony Capitalism: Caricature or Category? Unpublished.
Otten, J.A. (2008): Theories on executive pay. A literature overview and critical assessment. Published in: RSM workinpaper (January 2008)
Oprean, Camelia (2008): An Analyses of Romanian Companies’ Financing Decisions under Macroeconomic Influences. Unpublished.
Szarowska, Irena (2008): Fiscal reform and corporate governance in the Czech Republic. Published in: Athenian Policy Forum: 9th Biennial International Conference The Global Economics of a Changing Environment (2008)
Siddiqi, Hammad (2007): Stock Price Manipulation: The Role of Intermediaries. Unpublished.
Santella, Paolo; Drago, Carlo and Polo, Andrea (2007): The Italian Chamber of Lords Sits on Listed Company Boards: An Empirical Analysis of Italian Listed Company Boards from 1998 to 2006. Unpublished.
Faccio, Mara and Parsley, Davie (2007): Sudden Deaths: Taking Stock of Geographic Ties. Forthcoming in: Journal of Financial and Quantitative Analysis
Magni, Carlo Alberto (2007): CAPM and capital budgeting: present versus future, equilibrium versus disequilibrium, decision versus valuation. Unpublished.
Bartram, Söhnke M. (2007): What Lies Beneath: Foreign Exchange Rate Exposure, Hedging and Cash Flows. Unpublished.
Bartram, Söhnke M.; Brown, Philip; How, Janice C.Y. and Verhoeven, Peter (2007): Agency Conflicts and Corporate Payout Policies: A Global Study. Unpublished.
Bartram, Söhnke M. (2007): Corporate Cash Flow and Stock Price Exposures to Foreign Exchange Rate Risk. Unpublished.
Bartram, Söhnke M.; Burns, Natasha and Helwege, Jean (2007): Foreign Currency Exposure and Hedging: Evidence from Foreign Acquisitions. Unpublished.
Chaney, Paul; Faccio, Mara and Parsley, David (2007): The Quality of Accounting Information in Politically Connected Firms. Unpublished.
Singh, Bhupal (2007): Corporate choice for overseas borrowings: The Indian evidence. Published in: Reserve Bank of India Occasional Papers , Vol. 28, No. 3 (2007): pp. 1-33.
Matić, Branko and Serdarušić, Hrvoje (2007): Modeli financiranja regionalnog razvitka Istočne Hrvatske. Published in: Financiranje razvoja i restrukturiranja gospodarstva (2007): pp. 45-71.
Marković, Branimir; Matić, Branko and Karačić, Domagoj (2007): PROMISSORY NOTE AS PAYMENT SECURITY INSTRUMENT IN THE REPUBLIC OF CROATIA. Published in: INTERDISCIPLINARY MANAGEMENT RESEARCH III (2007): pp. 167-175.
Mayur, Manas; Kumar, Manoj and Mahakud, Jitendra (2007): Relationship between the Changes in Ownership and Performance of Indian Firms around IPO: A Panel Data Analysis. Unpublished.
Bartram, Söhnke M.; Brown, Gregory W. and Conrad, Jennifer (2006): The Effects of Derivatives on Firm Risk and Value. Unpublished.
Iquiapaza, Robert; Lamounier, Wagner and Amaral, Hudson (2006): Assimetria de Informações e Pagamento de Proventos na Bovespa. Unpublished.
Ojo, Marianne (2006): Financial regulation and risk management: addressing risk challenges in a changing financial environment. Published in: Contemporary Management Research (CMR) Journal, http://chinarisknet.cn/uploads/CRMR1001016.pdf (no transfer of copyrights involved with this and all other published works of the author)
Ojo, Marianne (2006): Financial regulation and risk management: addressing risk challenges in a changing financial environment. Published in: Contemporary Management Research (CMR) Journal, http://chinarisknet.cn/uploads/CRMR1001016.pdf (no transfer of copyrights involved with this and all other published works of the author)
Che, Yeon-Koo and Spier, Kathryn (2006): Strategic Judgment Proofing. Unpublished.
Iquiapaza, Robert; Lamounier, Wagner and Amaral, Hudson (2006): Assimetria de Informações e Pagamento de Dividendos na Bovespa. Published in: Advances in Scientific and Applied Accounting , Vol. 1, No. 1 (15. June 2008): pp. 1001-1014.
Iquiapaza, Robert; Lamounier, Wagner and Amaral, Hudson (2006): Assimetria de Informações e Pagamento de Dividendos na Bovespa. Published in: Advances in Scientific and Applied Accounting , Vol. 1, No. 1 (15. June 2008): pp. 1-14.
Mayur, Manas and Kumar, Manoj (2006): An Empirical Investigation of Going Public Decision of Indian Companies. Unpublished.
Pratomo, Wahyu Ario and Ismail, Abdul Ghafar (2006): ISLAMIC BANK PERFORMANCE AND CAPITAL STRUCTURE. Unpublished.
Briozzo, Anahi and Vigier, Hernan (2006): LA ESTRUCTURA DE FINANCIAMIENTO PYME Una revisión del pasado y presente. Unpublished.
Bartram, Söhnke M. and Bodnar, Gordon (2005): The Exchange Rate Exposure Puzzle. Unpublished.
Nitzan, Jonathan and Bichler, Shimshon (2005): The scientist and the church. Unpublished.
Bartram, Söhnke M. (2004): The Use of Options in Corporate Risk Management. Unpublished.
Barakat, Mounther-Hussein and Rao, Ramesh-P (2003): The role of taxes in capital structure: evidence from taxed and non-taxed Arab economies. Unpublished.
Singh, Ajit (2003): Corporate governance, corporate finance and stock markets in emerging countries. Published in: Journal of Corporate Law Studies , Vol. 3, No. 1 (April 2003): pp. 41-72.
Kerton, Robert / R (2003): Can consumers bank on mergers? Published in: Policy Options / Options Politiques No. March (March 2003): pp. 16-18.
Singh, Ajit (2003): Corporate governance, the big business groups and the G-7 reform agenda: A critical analysis. Published in:
Magni, Carlo Alberto (2003): Opportunity cost, excess profit and counterfactual conditionals. Forthcoming in: Frontiers in Finance and Economics
Barajas, Angel (2003): Visión estratégica del negocio del fútbol. La opinión de los presidentes de los clubes de fútbol ingleses que cotizan en Bolsa. Unpublished.
Singh, Ajit; Singh, Alaka and Weisse, Bruce (2002): Corporate Governance, Competetion, The new International Financial Architecture and Large Corporations in Emerging Markets. Published in: CBR Working Paper , Vol. 250, (December 2002)
Charles, Lee and David, Ng (2002): Corruption and International Valuation: Does Virtue Pay? Unpublished.
Boyer, Tristan (2002): Gouvernement d'entreprise et décisions d'emploi. Published in:
Hirshleifer, David and Teoh, Siew Hong (2001): Herd Behavior and Cascading in Capital Markets: A Review and Synthesis. Published in: European Financial Management , Vol. 9, No. 1 (March 2003): pp. 25-66.
Singh, Ajit (1998): Corporate Governance, Evolution of Corporate Laws and Asian Economic Development into the 21st Century. Published in:
Barran, Fernando and Peeters, Marga (1998): Internal finance and corporate investment: Belgian evidence with panel data. Published in: Economic Modelling No. 15 : pp. 67-89.
Narayanan, Supreena (2004): Financial Market Regulation-Security Scams In India with historical evidence and the role of corporate governance. Unpublished.
Lai, Richard (2006): Inventory and the Stock Market. Unpublished.
Chilosi, Alberto and Damiani, Mirella (2007): Stakeholders vs. shareholders in corporate governance. Unpublished.
Harabi, Najib (2007): State of Corporate Governance in Arab Countries: An Overview. Unpublished.
Dong, Ming; Hirshleifer, David and Teoh, Siew Hong (2007): Stock market misvaluation and corporate investment. Unpublished.
Panagiotopoulos, Miltiadis (2004): The Challenge to Industrial Relations in Germany. Unpublished.
Hansen, Zeynep and Higgins, Matthew (2007): The Effect of Contractual Complexity on Technology Sourcing Agreements. Unpublished.
Panagiotopoulos, Miltiadis (2005): The Evolution of Trade Unions in Britain. Unpublished.
Panagiotopoulos, Miltiadis (2006): The Reform of Corporate Governance in France. Unpublished.
Narayanan, Supreena and Burkart, Mike (2005): The Role of Accounting Conservatism in a well-functioning Corporate Governance System. Unpublished.
Paolo, Santella; Carlo, Drago and Giulia, Paone (2007): Who cares about Director Independence? Unpublished.