College | Westminster Business School |
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Head | Dr Emma Elkington |
Lodhia, S.K., Allam, A. and Lymer, A. 2004. Corporate Reporting on the Internet in Australia: An Exploratory Study. Australian Accounting Review. 14 (34), pp. 64-71. https://doi.org/10.1111/j.1835-2561.2004.tb00242.x
Ayton, Julie, Krasnikova, N. and Malki, I. 2022. Corporate social performance and financial risk: Further empirical evidence using higher frequency data. International Review of Financial Analysis. 80 (March) 102030. https://doi.org/10.1016/j.irfa.2022.102030
Li, Jing 2021. Corporate Social Responsibility in China: The Influence of Dynamic Capability and the Implications on Financial Performance and Investment. PhD thesis University of Westminster School of Finance and Accounting https://doi.org/10.34737/vqx47
Singh, C. 2023. Correcting mistakes in the magistrates’ courts: To what extent has the Court of Appeal, in R (Williamson) v City of Westminster Magistrates Court [2012] Cr App R 24, clarified the application of the ‘power of the magistrates’ court to re-open cases to rectify mistakes etc’ under s.142 of the Magistrates Court Act 1980? New Law Journal. 8014, pp. 15-16.
Ze-To, S. 2015. Correlated implied volatility with jump and cross section of stock returns. Accounting & Finance. 60 (3), pp. 2007-2037. https://doi.org/10.1111/acfi.12429
Li, Z., Ding, L., Huang, L., Ringsberg, J., Gong, H., Fournier, N. and Chuang, Z. 2023. Cost–Benefit Analysis of a Trans-Arctic Alternative Route to the Suez Canal: A Method Based on High-Fidelity Ship Performance, Weather, and Ice Forecast Models. Journal of Marine Science and Engineering. 11 (4), pp. 1-21. https://doi.org/10.3390/jmse11040711
Dang, M., Hoang, Viet Anh, Jones, Edward, Henry, Darren, Le, Phuong Uyen and Puwanenthiren, Premkanth 2022. Country uncertainty, power distance, and payment methods in acquisitions. The European Journal of Finance. 28 (16), pp. 1541-1570. https://doi.org/10.1080/1351847x.2021.1971731
Singh, C. 2018. Criminal Evidence: Evidencing Defences to Murder. R v Goodwin (Anthony Gerard) [2018] EWCA Crim 2287. International Commentary on Evidence . 15 (1) 20180005. https://doi.org/10.1515/ice-2018-0005
Ze-To, S. 2012. Crisis, Value at Risk and Conditional Extreme Value Theory via the NIG + Jump Model. Journal of Mathematical Finance. 2 (3), pp. 225-237. https://doi.org/10.4236/jmf.2012.23025
Ze-To, S. 2010. Crisis, Value at Risk, and Conditional Extreme Value Theory via Garch-Jump Model. Review of Futures Markets. 18 (4), pp. 319-345.
Gleadle, P., Haslam, C. and Yin, Y.P. 2014. Critical accounts and perspectives on financialization. Critical Perspectives on Accounting. 25 (1), pp. 1-4. https://doi.org/10.1016/j.cpa.2012.11.010
Salaber, Julie and Rao-Nicholson, Rekha 2018. Cross-border arbitrage and acquirers’ returns in the Eurozone crisis. Journal of Economics and Business. 95, pp. 87-102. https://doi.org/10.1016/j.jeconbus.2017.05.001
Ze-To, S. 2015. Cross-Section Stock Return and Implied Covariance between Jump and Diffusive Volatility. Journal of Forecasting. 34 (5), pp. 379-390. https://doi.org/10.1002/for.2348
Bouri, E., Awartani, B. and Maghyereh, A. 2016. Crude oil prices and sectoral stock returns in Jordan around the Arab uprisings of 2010. Energy Economics. 56, pp. 205-214. https://doi.org/10.1016/j.eneco.2016.03.021
Phiri, O. and Mantzari, E. 2018. CSR Disclosure Practices in the Zambia Mining Industry. in: Graham, G., Orhan, A. and William, W. (ed.) Sustainability and Social Responsibility: Regulation and Reporting Singapore Springer. pp. 471-504
Wang, Y. 2007. Cultural and psychological perspectives: Chinese perceptions of service quality in UK higher education. in: Tyler, K., Martin, C.L., Harris, L.C., Tan, J. and Benamraoui, A. (ed.) 21st Service Workshop Proceedings, 15-17 November, Westminster Service Research Centre, University of Westminster, London, UK University of Westminster.
Gleadle, P. and Bowman, C. 2009. Culture as a dynamic capability: the case of 3M in the United Kingdom. in: Jemielniak, D. and Kociatkiewicz, J. (ed.) Handbook of research on knowledge-intensive organizations USA Idea Group. pp. 330–347
Lymer, A. and Allam, A. 2002. Decent Exposure: Review of the first year of Regulation Fair Disclosure in the USA. Financial Management. June, pp. 34-35.
Coker, D. 2020. Deep Learning and Financial Regulation. in: Chishti, S., Bartoletti, I., Leslie, A. and Millie, S.M. (ed.) Wiley. pp. 251-253
Ukpong, I., Tan, H. and Yarovaya, L. 2021. Determinants of industry herding in the US stock market. Finance Research Letters. 43 101953. https://doi.org/10.1016/j.frl.2021.101953
Benamraoui, A. 2002. Developing countries and the challenge of globalisation of financial services. in: Review of the International Institute of Labour and Social Sciences Minsk, Belarus UNKNOWN. pp. 458-472
Awartani, B., Maghyereh, A.I. and Shiab, M.A. 2013. Directional spillovers from the U.S. and the Saudi market to equities in the Gulf Cooperation Council countries. Journal of International Financial Markets, Institutions and Money. 27, pp. 224-242. https://doi.org/10.1016/j.intfin.2013.08.002
Singh, C. 2018. Disability Discrimination: Obesity and the Court of Justice of the European Union’s decision in Karsten Kaltoft v Billund Kommune Case C-354/13 ECJ. Issues in Legal Scholarship . 12 (1), pp. 1-11. https://doi.org/10.1515/ils-2016-0250
Raonic, I. and Sahin, A. 2019. Do analysts understand accruals’ persistence? Evidence revisited. Journal of Applied Accounting Research. 21 (1), pp. 38-59. https://doi.org/10.1108/JAAR-07-2018-0103
Albitar, K., Al-Shaer, H. and Elmarzouky, M. 2021. Do Assurance and Assurance Providers Enhance Covid-Related Disclosures In CSR Reports? An Examination In The UK Context. International Journal of Accounting & Information Management. 29 (3). https://doi.org/10.1108/IJAIM-01-2021-0020
Helfaya, A. and Moussa, T. 2017. Do Board's Corporate Social Responsibility Strategy and Orientation Influence Environmental Sustainability Disclosure? UK Evidence. Business Strategy and The Environment. 26 (8), pp. 1061-1077 BSE-16-0160. https://doi.org/10.1002/bse.1960
Ali, M., Miglani, S., Dang, M., Puwanenthiren, P. and Mieszko, M. 2022. Do family firms pay less for external funding? Australian Journal of Management. 47 (2), pp. 225-250. https://doi.org/10.1177/03128962211018241
Bas, T., Elgammal, M.M., Gough, O., Shah, N.S. and van Dellen, S. 2016. Do financial distress and liquidity crises affect value and size premiums? Applied Economics. 48 (39), pp. 3734-3751. https://doi.org/10.1080/00036846.2016.1145345
Balasuriya, J., Gough, O. and Vasileva, K. 2014. Do optimists plan for retirement? A behavioural explanation for non-participation in pension schemes. Economics Letters. 125 (3), pp. 396-399. https://doi.org/10.1016/j.econlet.2014.10.012
Sivaprasad, S., Bas, T. and Malki, I. 2024. Do returns and volatility spillovers exist across tech stocks, cryptocurrencies and NFTs? Heliyon. 10 (2) e24615. https://doi.org/10.1016/j.heliyon.2024.e24615
Puwanenthiren, P., Md Saiful Azam, Muhammad Jahangir Ali and Sivathaasan Nadarajah 2024. Does annual report readability influence the design of SEOs? International Review of Economics and Finance. 93 (Part A), pp. 970-984. https://doi.org/10.1016/j.iref.2024.03.062
Wen, J., Ahamed, M. and Gupta, N. 2019. Does board composition affect the gender pay gap? Economics Letters. 184 108624. https://doi.org/10.1016/j.econlet.2019.108624
Man Dang, Prem Puwanenthiren, Edward Jones, Nguyen Bui and Thuy Dung Le 2024. Does corporate culture shape “Tone at the Top”? Evidence from earnings calls. Finance Research Letters. 59 104698. https://doi.org/10.1016/j.frl.2023.104698
Puwanenthiren, P., Dang, M., Henry, D., Puwanenthiren, P. and Al Mamun, M. 2019. Does Managerial ability matter for the choice of Seasoned Equity offerings? North American Journal of Economics and Finance. 47, pp. 442-460. https://doi.org/10.1016/j.najef.2018.06.002
Dang, M., Puwanenthiren, P., Henry, D., Mieszko, M. and Toan, N.M. 2022. Does managerial tone matter for stock liquidity? Evidence from textual disclosures . Finance Research Letters. 48 102917. https://doi.org/10.1016/j.frl.2022.102917
Shah, I.H., Kollydas, K., Lee, P.Y., Malki, I. and Chu, C. 2024. Does R&D Investment Drive Employment Growth? Empirical Evidence using Industry-Level from Japan. International Journal of Finance & Economics. 29 (1), pp. 102-118. https://doi.org/10.1002/ijfe.2677
Mitra, S. 2020. Downside risk measurement in regime switching stochastic volatility. Journal of Computational and Applied Mathematics. 378 112845. https://doi.org/10.1016/j.cam.2020.112845
Li, J., Benamraoui, A., Shah, N.S. and Mathew, S. 2021. Dynamic Capability and Strategic Corporate Social Responsibility Adoption: Evidence from China. Sustainability. 13 (10) e5333. https://doi.org/10.3390/su13105333
Awartani, B. and Maghyereh, A.I. 2013. Dynamic spillovers between oil and stock markets in the Gulf Cooperation Council Countries. Energy Economics. 36, pp. 28-42. https://doi.org/10.1016/j.eneco.2012.11.024
Maghyereh, A. and Awartani, B. 2016. Dynamic transmissions between Sukuk and bond markets. Research in International Business and Finance. 38, pp. 246-261. https://doi.org/10.1016/j.ribaf.2016.04.016