Stock Returns, Industry Concentration and Firm Expenditure Decisions Kamuriwo, S., Muradoglu, G., Sivaprasad, S. and Malki, I. 2024. Stock Returns, Industry Concentration and Firm Expenditure Decisions. Journal of Economics and Business. 131 106195. https://doi.org/10.1016/j.jeconbus.2024.106195
An Empirical Analysis of Corporate Sustainability Bonds Sivaprasad, S. and Mathew, S. 2024. An Empirical Analysis of Corporate Sustainability Bonds. Business Strategy and The Environment. 33 (4), pp. 3299-3316. https://doi.org/10.1002/bse.3663
2024
Internationalization and Zero Leverage Sivaprasad, S., Chatzivgeri, E., Dontis-Charitos, P. and Williams, J. 2024. Internationalization and Zero Leverage. European Journal of Finance. 30 (11), pp. 1185-1211. https://doi.org/10.1080/1351847x.2023.2277273
2023
Going Global: Evidence from India Sivaprasad, S., Adami, R., Mathew, S. and Puwanenthiren, P. 2023. Going Global: Evidence from India. International Journal of Banking, Accounting and Finance. 13 (4), pp. 464-486. https://doi.org/10.1504/IJBAAF.2023.10055872
2023
An Impact Investment Strategy Juddoo, K., Malki, I., Mathew, S. and Sivaprasad, S. 2023. An Impact Investment Strategy. Review of Quantitative Finance and Accounting. 61, pp. 177-211. https://doi.org/10.1007/s11156-023-01149-0
2023
The Impact of the Russian-Ukrainian War on Global Financial Markets Izzeldin, Marwan, Muradoglu, Gulnur, Pappas, Vasileios, Petropoulou, Athina and Sivaprasad, Sheeja 2023. The Impact of the Russian-Ukrainian War on Global Financial Markets. International Review of Financial Analysis. https://doi.org/10.1016/j.irfa.2023.102598
2022
The value effects of changes in leverage Bas, Tugba, Sivaprasad, Sheeja and Dellen, Stefan van 2022. The value effects of changes in leverage. Tourism Analysis. 27 (4), pp. 547-552. https://doi.org/10.3727/108354220x15961981728521
2021
Corporate Governance Practices and the Pandemic Crisis: UK Evidence Mathew, S. and Sivaprasad, S. 2021. Corporate Governance Practices and the Pandemic Crisis: UK Evidence. Corporate Governance: The international journal of business in society. 21 (6), pp. 983-995. https://doi.org/10.1108/CG-08-2020-0357
Enhancing Momentum Investment Strategy Using Leverage Forner,C., Muradoglu, Y.G. and Sivaprasad, S. 2018. Enhancing Momentum Investment Strategy Using Leverage. Journal of Forecasting. 37 (5), pp. 573-588. https://doi.org/10.1002/for.2522
2015
An Investment Strategy Based on Leverage: Evidence from BSE 500 Sivaprasad, S. and D’Mello, L. 2015. An Investment Strategy Based on Leverage: Evidence from BSE 500. Journal of Emerging Market Finance. 14 (3), pp. 210-238. https://doi.org/10.1177/0972652715601910
An empirical analysis of the performance of pension funds: evidence from UK Sivaprasad, S., Adami, R., Gough, O. and Mukherjee, S. 2014. An empirical analysis of the performance of pension funds: evidence from UK. Studies in Economics and Finance. 31 (2), pp. 141-155. https://doi.org/10.1108/SEF-10-2012-0118
2023
Spill over effects of Geopolitical risk on the banking sector of CIS countries Sivaprasad, S., Malki, I., Adami, R., Yodgorova, F. and Ibragimova, D. 2023. Spill over effects of Geopolitical risk on the banking sector of CIS countries. International Finance and Banking Society (IFABS), Oxford (2023). Oxford 24 - 26 Jul 2023 University of Westminster.
2022
Brexit and its impact on EU financial markets Sivaprasad, S., Muradoglu, G, Izzeldin, M and Pappas, V 2022. Brexit and its impact on EU financial markets. International Finance and Banking Society (IFABS), Naples (2022). Naples 07 - 09 Sep 2022
2022
Brexit and its impact on EU financial markets Sivaprasad, S., Muradoglu, Y.G., Pappas, V and Izzeldin,M 2022. Brexit and its impact on EU financial markets. 16th Annual Dynare Conference. Lancaster,UK 30 Jun - 01 Jul 2022
2021
An Impact Investment Strategy Sivaprasad, S., Juddoo, K., Malki, I. and Mathew, S. 2021. An Impact Investment Strategy. International Finance and Banking Society(IFABS) 2021. online 13 - 15 Sep 2021
The Determinants of Zero Leverage: Evidence from Multinational Firms Chatzivgeri, E., Sivaprasad, S. and Dontis-Charitos, P. 2015. The Determinants of Zero Leverage: Evidence from Multinational Firms. International Finance and Banking Society Corporate Finance Conference. Saïd Business School, University of Oxford, United Kingdom, 12 - 13 Sep 2015
2015
The Determinants of Zero Leverage: Evidence from Multinational Firms Chatzivgeri, E., Sivaprasad, S. and Dontis-Charitos, P. 2015. The Determinants of Zero Leverage: Evidence from Multinational Firms. 5th International Conference of the Financial Engineering and Banking Society. Nantes, France 11 - 13 Jun 2015
2022
Brexit and its impact on EU financial markets Sivaprasad, S., Izzeldin, M, Muradoglu, G and Pappas, V 2022. Brexit and its impact on EU financial markets. Financial Management & Accounting Research Conference 2022. Cyprus 19 - 21 Jun 2022
Are there return and volatility spillovers from major bank stocks to the national stock market in the UK? Dontis-Charitos, P., Gough, O., Nowman, K.B. and Sivaprasad, S. 2013. Are there return and volatility spillovers from major bank stocks to the national stock market in the UK? in: Jeon, B.N. and Olivero, M.P. (ed.) Global Banking, Financial Markets and Crises (International Finance Review, Vol. 14) Emerald Publishing Limited. pp. 243 - 268
2011
Capital structure and returns Sivaprasad, S. and Muradoglu, Y.G. 2011. Capital structure and returns. in: Kent Baker, H. and Martin, G.S. (ed.) Capital structure & corporate financing decisions: theory, evidence, and practice Wiley. pp. 75-92
Continuous and discrete time modelling of spillovers in equity and bond markets Dontis-Charitos, P., Gough, O., Nowman, K.B. and Sivaprasad, S. 2013. Continuous and discrete time modelling of spillovers in equity and bond markets. International Journal of Bonds and Derivatives. 1 (1), pp. 54-87. https://doi.org/10.1504/IJBD.2013.056935
Capital structure and abnormal returns Sivaprasad, S. and Muradoglu, Y.G. 2012. Capital structure and abnormal returns. International Business Review. 21 (3), pp. 328-341. https://doi.org/10.1016/j.ibusrev.2011.03.007
2012
Using firm level leverage as an investment strategy Muradoglu, Y.G. and Sivaprasad, S. 2012. Using firm level leverage as an investment strategy. Journal of Forecasting. 31 (3), pp. 260-279. https://doi.org/10.1002/for.1221
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