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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 (2007): CAPM and capital budgeting: present versus future, equilibrium versus disequilibrium, decision versus valuation.
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.
Magni, Carlo Alberto (2003): Opportunity cost, excess profit and counterfactual conditionals. Forthcoming in: Frontiers in Finance and Economics
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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Miller, Jeffrey and Petranov, Stefan (1998): Изграждане на капиталов пазар в условията на преход: примерът на България. Published in:
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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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Narendar V., Rao and K.S., Reddy (2017): Guest Editorial: Institutional role, the Market for corporate control and Firm performance. Published in: International Journal of Business and Globalisation , Vol. 19, No. 1 (July 2017): pp. 1-5.
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.
Ndebugri, Haruna and Tweneboah Senzu, Emmanuel (2017): Analyzing the critical effects of creative accounting practices in the corporate sector of Ghana.
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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): Board Specific Attributes and Financial Reporting Quality of Listed Consumer Goods Firms in Nigeria. Published in: International Journal of Accounting, Finance and Information System , Vol. 5, No. 2 (10 August 2024): pp. 206-2018.
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.
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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.
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