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Lee, Mun Chen (2019): Audi AG’s Liquidity Risk and Corporate Governance.
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Lenz, Rainer (2010): Analyse der Renditestrukturkurve: Zur Laufzeitenstruktur von Investitions- und Finanzierungsentscheidungen.
Lenz, Rainer (2010): Yield Curve Analysis: Choosing the optimal maturity date of investments and financing.
Li, Jun and Chen, Songxi (2012): Two Sample Tests for High Dimensional Covariance Matrices. Published in:
Lim, Guan Ta (2019): Corporate Governance Index And Its Determinants In Samsung Company.
Lim, Pei Shan (2017): Study of Relationship Between Performance (ROA) And Internal And External Factors On Axiata Group Berhad.
Lim, Wen Yi (2019): Liquidity of General Motor Company due to their Internal and External factor.
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Ling, Coco Siu Yin (2019): Financial risk and its performance: A study on Apollo Food Holdings Berhad in Malaysia.
Lourdes, Joan Salome (2017): Performance and Risk of Macroeconomics Factors: Empirical evidence from Silver Ridge Holdings.
Luo, Bei and Chong, Terence Tai Leung (2016): Entrepreneurial Activities and Institutional Environment in China. Forthcoming in: Economic and Political Studies
lai, xiaoqi (2019): Corporate Governance and Liquidity Risk of ASUS Group Limited.
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Magni, Carlo Alberto (2016): Capital depreciation and the underdetermination of rate of return: A unifying perspective. Published in: Journal of Mathematical Economics , Vol. 67, (December 2016): pp. 54-79.
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Magni, Carlo Alberto (2008): Splitting Up Value: A Critical Review of Residual Income Theories. Forthcoming in: European Journal of Operational Research
Magni, Carlo Alberto and Veronese, Piero and Graziani, Rebecca (2017): Chisini means and rational decision making: Equivalence of investment criteria. Forthcoming in: Mathematics and Financial Economics
Majumdar, Raju (2013): On the alternative proxies for estimating firm growth in empirical corporate finance literature: Evidence from Indian manufacturing sector.
Majumdar, Raju (2013): A Reinterpretation of the Relation between Market-to-book ratio and Corporate Borrowing.
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Marianne, Ojo (2013): Audits, audit quality and signalling mechanisms: concentrated ownership structures. Published in: American Research Journal of Humanities and Social Sciences , Vol. 1, No. 2 (April 2015)
Marianne, Ojo (2013): Audits, audit quality and signalling mechanisms: concentrated ownership structures.
Marianne, Ojo (2013): Sarbanes Oxley, Non Audit Services (NAS) and the mandatory rotation of audit firms. Published in: Designing Optimal Models of Financial Regulation in a Changing Financial Environment No. ISBN: 978-163484-829-9 (February 2016)
Marianne, Ojo (2014): Why integrity still constitutes the driving force behind ethical standards, the Sarbanes Oxley Act and other legislation. Published in: International Conference Proceedings of PSRC (Planetary Scientific Research Centre) No. ISBN 978-93-82242-80-2 (March 2014): pp. 90-95.
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Matey, Juabin (2019): Financial Performance Analysis Of Distressed Banks: Exploration Of Financial Ratios And The Z-score. Forthcoming in: Journal of Developing Areas
Matić, Branko and Papac, Nikola (2010): Osobine sustava korporativnog upravljanja u bankama u Bosni i Hercegovini. Published in: Ekonomski vjesnik (2010): pp. 80-93.
Matić, Branko and Serdarušić, Hrvoje (2007): Modeli financiranja regionalnog razvitka Istočne Hrvatske. Published in: Financiranje razvoja i restrukturiranja gospodarstva (2007): pp. 45-71.
Mayur, Manas and Kumar, Manoj (2006): An Empirical Investigation of Going Public Decision of Indian Companies.
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Michael, Cayley (2008): Introducing Social Capital Value Add: Manifesto for New Social Network Structural Management of Corporate Value.
Michael, Cayley (2008): Introducing Social Capital Value Add: Manifesto for New Social Network Structural Management of Corporate Value.
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Mohamad, Wahidah (2017): The Role Of Corporate Governance And Its Impact On Risk And Firm Performance Of Real Estate Industry: Amanahraya Reit.
Mohamad, Wahidah (2017): The Role Of Corporate Governance And Its Impact On Risk And Firm Performance Of Real Estate Industry: Amanahraya Reit.
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Mohd Yusof, Norsafinas (2019): Corperate Governance and Performance of Delfi Group Limited. Published in: Corperate Governance and Performance of Delfi Group Limited (28 November 2019)
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Narayanan, Supreena (2004): Financial Market Regulation-Security Scams In India with historical evidence and the role of corporate governance.
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Nawaz, Ahmad and Iqbal, Sana (2015): Financial Performance And Corporate Governance In Microfinance: Who Drives Who? An Evidence From Asia.
Nayan, Norma (2017): Performance and Risk: Empirical Evidence from Petroliam Nasional Berhad (PETRONAS).
Naz, Sana (2008): Corporate Governance and New Product Offerings at Local Commercial Banks in Pakistan.
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Nedelchev, Miroslav (2012): The Modern Corporation and Private Property – 80 Years Later. Published in: Conference "Challenges to contemporary Economics" (June 2012): pp. 845-853.
Nenovski, Tome (2011): A model for removing blockades in the payment turnover. Published in: Finance and Monetary Policy After the Global Financial Crisis (November 2011): pp. 100-108.
Ng, Soon Siang (2019): An Analysis of the External and Internal Factors Affecting Subaru Corporation’s Performance.
Nguyen, Quang Khai (2024): How Does Financial Flexibility Strategy Impact on Risk Management Effectiveness? Published in: Sage Open , Vol. 2, No. 14 (1 May 2024): pp. 1-14.
Nguyen, Quang Khai (2023): The impact of COVID-19 on firm risk and performance in MENA countries: Does national governance quality matter? Published in: Plos One , Vol. 2, No. 18 (2023)
Nguyen, Quang Khai (2022): The impact of risk governance structure on bank risk management effectiveness: evidence from ASEAN countries. Published in: Heliyon , Vol. 8, No. 2022 (2022)
Nguyen Trong, Co and Vu Van, Huong and Bartolacci, Francesca (2017): Government support and firm financial performance: New evidence from a transitional economy.
Nitzan, Jonathan and Bichler, Shimshon (2005): The scientist and the church.
Nizar, Muhammad Afdi and Mansur, Alfan (2021): Can the Indonesian banking industry benefit from a risk-based deposit insurance system? Published in: Macroeconomics and Finance in Emerging Market Economies (May 2021): pp. 1-20.
Ntim, Collins G. (2011): The King Reports, Independent Non-Executive Directors and Firm Valuation on the Johannesburg Stock Exchange. Published in: Corporate Ownership and Control , Vol. 9, No. 1 (29 August 2011): pp. 428-440.
Ojo, Marianne (2011): Addressing risk challenges in a changing financial environment: the need for greater accountability in financial regulation and risk management.
Ojo, Marianne (2011): Addressing the inadequacies of private law in the regulation of contracts – during and post contract formation periods.
Ojo, Marianne (2019): Avoiding a “No Deal” Scenario: Free Trade Agreements, Citizenship and Economic Rights.
Ojo, Marianne (2021): Balancing public-private partnerships in a digital age: CBDCs, central banks and technology firms. Published in: CIISD Economic Review , Vol. 2, No. 12
Ojo, Marianne (2021): Balancing public-private partnerships in a digital age: CBDCs, central banks and technology firms. Published in: CIISD Economic Review , Vol. 2, No. 12
Ojo, Marianne (2013): The Basel capital adequacy and regulatory framework: balancing risk sensitivity, simplicity and comparability. Published in: Bank for International Settlements Publications, Journal of Social Sciences (COES&RJ-JSS) ISSN (E): 2305-9249 ISSN (P): 2305-9494 Publisher: Centre of Excellence for Scientific & Research Journalism (October 2013)
Ojo, Marianne (2017): Boeing -Bombardier trade dispute: an indication of the growing importance of regional agreements? Forthcoming in: American Journal of Economics (2018)
Ojo, Marianne (2010): Building on the trust of management: overcoming the paradoxes of principles based regulation. Published in: LAW AND PROSOCIALITY and Banking & Financial Services Policy Report Aspen Publishers/ Wolters Kluwer Law and Business, July 2011 , Vol. 30, No. 7 (July 2011)
Ojo, Marianne (2010): Building on the trust of management: overcoming the paradoxes of principles based regulation.
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): 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 (2014): Credit risk measurement, leverage ratios and Basel III: proposed Basel III leverage and supplementary leverage ratios.
Ojo, Marianne (2015): Decentralisation and The Evolution of Common Law.
Ojo, Marianne (2015): Decentralisation and the evolution of Common Law.
Ojo, Marianne (2016): E commerce as a tool for resource expansion: postal partnerships, data protection legislation and the mitigation of implementation gaps. Published in: IGI Global No. DOI: 10.4018/978-1-4666-9921-2.ch002 (March 2016): pp. 25-48.
Ojo, Marianne (2015): Enhancing the reliability of performance measures in empirical based research: leverage ratios and theoretical based research.
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 (2010)
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)
Ojo, Marianne (2019): Facilitating Artificial Intelligence and block chain systems, partnerships and technologies: emerging global actors and players in Sustainable Development.
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)
Ojo, Marianne (2015): Harmonisation du Hayek et Posner: Posner, Hayek et l'analyse économique du droit.
Ojo, Marianne (2015): Harmonising Hayek and Posner: revisiting Posner, Hayek & the economic analysis of Law.
Ojo, Marianne (2015): Harmonising Hayek and Posner: revisiting Posner, Hayek & the economic analysis of Law. Published in: Elsevier Journals (2016)
Ojo, Marianne (2016): Implementing Basel III through the Capital Requirements Directive (CRD) IV: leverage ratios and capital adequacy requirements. Published in: Journal of Business Law and Ethics , Vol. 3, No. 1 (June 2015)
Ojo, Marianne (2011): Integrity, respect for others, and ethics – three essential leadership qualities.
Ojo, Marianne (2011): Integrity, respect for others, and ethics – three essential leadership qualities.
Ojo, Marianne (2016): International framework for liquidity risk measurement, standards and monitoring: corporate governance and internal controls. Forthcoming in: (April 2010)
Ojo, Marianne (2011): Pluralism and deformalisation as mechanisms in the achievement of more equitable and just outcomes – the move from „Classical Formalism“ to deformalisation.
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).
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).
Ojo, Marianne (2010): Preparing for Basel IV : why liquidity risks still present a challenge to regulators in prudential supervision (II).
Ojo, Marianne (2017): Preserving global trade relations: impacts of recent global developments. Forthcoming in: American Journal of Economics (2018)
Ojo, Marianne (2009): Regulating non audit services: Towards a principles based approach to regulation.
Ojo, Marianne (2010): Risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc.
Ojo, Marianne (2013): „Volcker/Vickers hybrid“?: The Liikanen Report and justifications for ring fencing and separate legal entities.
Ojo, Marianne (2019): The future of UK Carbon pricing: Artificial Intelligence and the Emissions Trading System. Published in: Centre and Institute for Innovation and Sustainable Development Economic Review
Ojo, Marianne (2014): A justification for the role of audits?: adoption of International Financial Reporting Standards (IFRS) and jurisdictional analyses (Brazil, China,Japan and South Africa). Published in: Journal of Social Sciences (COES&RJ-JSS) ISSN (E): 2305-9249 ISSN (P): 2305-9494 Publisher: Centre of Excellence for Scientific & Research Journalism , Vol. 3, No. 4 (October 2014)
Ojo, Marianne (2012): The need for the adoption of International Financial Reporting Standards (IFRS): some explanations for the pace of implementation.
Ojo, Marianne (2009): The role of external auditors in corporate governance: agency problems and the management of risk.
Ojo, Marianne (2009): The role of external auditors in corporate governance: agency problems and the management of risk.
Ojo, Marianne (2009): The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis.
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.
Ojo, Marianne and Delhaye, Helene (2018): Preserving the future: engaging non governmental organisations and actors in sustainable environmental development. Forthcoming in: IGI Global
Ojo, Marianne and Dierker, Theodore (2021): Monetary policy implications of deviations in inflation targeting: the need for a global cooperative, coordinated and correlated response. Forthcoming in:
Ojo, Marianne and Dierker, Theodore (2021): Towards net zero carbon emissions: carbon pricing strategies and the role of innovative technologies. Forthcoming in:
Ojo, Marianne and Newton, Sarah (2016): Assessing the appropriateness of zero and negative interest rate regimes: recent developments and comparative analyses.
Ojo, Marianne and Van Akkeren, Jeanette (2015): Evolving roles of accountants as resources for greater accountability in financial reporting, legislative and judicial processes.
Ojo/Roedl, Marianne (2021): Sustainable finance, current and future implications for banks and monetary policy: assessing COVID impacts. Published in:
Ojo/Roedl, Marianne (2021): Decentralized finance and regulation : enhancing the role of innovative techniques through regulation. Published in: CIISD Economic Review , Vol. 5, No. 12
Ojo/Roedl, Marianne (2021): Sustainable finance, current and future implications for banks and monetary policy: assessing COVID impacts. Published in:
Okeke, Clement (2024): Effect of Information and Communication Technology (ICT) on Financial Performance of Listed Consumer Goods Firms in Nigeria. Published in: International Journal of Accounting, Finance and Information System , Vol. 4, No. 2 (14 April 2024): pp. 200-2012.
Okoli, Eucharia (2018): Assessment of the Contribution of Cooperative Societies in the Development of the Youth: A Case Study of Selected Cooperative Societies in Dunukofia Local Government Area, Anambra State, Nigeria.
Omollo, Harold and Olweny, Tobias and Oluoch, Oluoch and Wamatanda, Joshua (2021): Financial structure and growth of pension funds in Kenya. Published in: IOSR Journal of Economics and Finance , Vol. VOL12, No. http://www.iosrjournals.org/iosr-jef/pages/vol.12i4-Series-3.html (25 July 2021): pp. 1-12.
Ong, Kah Weng (2019): THE EFFECTS OF INTERNAL FACTORS AND EXTERNAL FACTORS ON YUM! BRANDS, INC PERFORMANCE.
Onour, Ibrahim (2020): Assessing the Impact of covid-19 Shock on major Asian stock markets.
Ooi, Ee Hann (2019): Corporate Governance and Liquidity Risk of ZTE Corporation.
Oprean, Camelia (2008): An Analyses of Romanian Companies’ Financing Decisions under Macroeconomic Influences.
Orkoh, Emmanuel and Claassen, Carike and Blaauw, Phillip Frederick (2017): Corruption, political stability and illicit financial outflows in Sub-Saharan Africa.
Orman, Cüneyt and Bülent, Köksal (2015): Structure of Debt Maturity across Firm Types.
Othaman, Ridhuan (2017): Performance and Size of Fraser & Neave Holdings Bhd (F&N).
Otten, J.A. (2008): Theories on executive pay. A literature overview and critical assessment. Published in: RSM workinpaper (January 2008)
Ozili, Peterson K (2020): Advances and Issues in Fraud Research: A Commentary. Forthcoming in: Journal of Financial Crime
Ozili, Peterson K (2021): Corporate governance research in Nigeria: a review. Forthcoming in: (2021)
Ozili, Peterson Kitakogelu (2018): Impact of Digital Finance on Financial Inclusion and Stability. Forthcoming in: Borsa Istanbul Review
Ozili, Peterson Kitakogelu (2018): Impact of Digital Finance on Financial Inclusion and Stability. Forthcoming in: Borsa Istanbul Review
Ozsoz, Emre and Gurarda, Sevin and Ates, Abidin (2014): Ownership Structure and Corporate Governance in the Case of Turkey.
ojeaga, paul and Ikpefan, o and Odejimi, Deborah (2013): Do high customer bank deposits incite management fraud? Examining causes of management fraud in the Nigerian banking sector.
Padmanabhan, Divya and Sinha, Ayan and Venkataraman, Arundhati and Ravi, Archi and Joshi, Apurva (2015): Comparative analysis of the stock markets of China, Russia, Brazil, South Africa and Argentina.
Panagiotopoulos, Miltiadis (2004): The Challenge to Industrial Relations in Germany.
Panagiotopoulos, Miltiadis (2005): The Evolution of Trade Unions in Britain.
Panagiotopoulos, Miltiadis (2006): The Reform of Corporate Governance in France.
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