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Anderson, Ronald W. and Sundaresan, Suresh (2000) A comparative study of structural models of corporate bond yields: an exploratory investigation. Journal of Banking and Finance, 24 (1-2). pp. 255-269. ISSN 0378-4266
Caselli, Francesco and Gennaioli, Nicola (2006) Dynastic management. 741. Centre for Economic Performance, London School of Economics and Political Science, London, UK.
Caselli, Francesco and Gennaioli, Nicola (2003) Dynastic management. 9442. National Bureau of Economic Research, Cambridge, MA., USA.
Caselli, Francesco and Gennaioli, Nicola (2013) Dynastic management. Economic Inquiry, 51 (1). pp. 971-996. ISSN 0095-2583
Chen, Nan-Kuang and Chu, Hsiao-Lei (2003) Collateral value and forbearance lending. CEPDP, 603. Centre for Economic Performance, London School of Economics and Political Science, London, UK. ISBN 0753016818
Clatworthy, Mark A., Peel, David A. and Pope, Peter (2007) Evaluating the properties of analysts’ forecasts: a bootstrap approach. The British Accounting Review, 39 (1). pp. 3-13. ISSN 0890-8389
Estrin, Saul and Wright, Mike (1999) Corporate governance in the former Soviet Union: an overview. Journal of Comparative Economics, 27 (3). pp. 398-421. ISSN 0147-5967
Ferrarini, Guido, Moloney, Niamh and Ungureanu, Maria-Cristina (2010) Executive remuneration in crisis: a critical assessment of reforms in Europe. Journal of Corporate Law Studies, 10 (1). pp. 73-118. ISSN 1473-5970
Frantz, Pascal and Instefjord, Norvald (2007) Socially and privately optimal shareholder activism. Journal of Management and Governance, 11 (1). pp. 23-43. ISSN 1385-3457
Haizhou, Huang and Xu, Cheng-Gang (1998) Soft budget constraint and the optimal choices of research and development projects financing. Journal of Comparative Economics, 26 (1). pp. 62-79. ISSN 0147-5967
Landsman, Wayne R., Peasnell, Ken V., Pope, Peter and Yeh, Shu (2006) Which approach to accounting for employee stock options best reflects market pricing? Review of Accounting Studies, 11 (2-3). pp. 203-245. ISSN 1380-6653
Loss, Frederic (2002) Optimal hedging strategies and interactions between firms. Discussion paper, 399. Financial Markets Group, London School of Economics and Political Science, London, UK.
McMeeking, K. P., Peasnell, K. V. and Pope, Peter (2006) The determinants of the UK Big Firm premium. Accounting and Business Research, 36 (3). pp. 207-231. ISSN 0001-4788
Pistor, Katharina and Xu, Cheng-Gang (2002) Law enforcement under incomplete law: theory and evidence from financial market regulation. TE/02/442. Suntory and Toyota International Centres for Economics and Related Disciplines, London School of Economics and Political Science, London, UK.
Power, Michael (2009) The risk management of nothing. Accounting, Organizations and Society, 34 (6-7). pp. 849-855. ISSN 0361-3682
Schleicher, Thomas, Tahoun, Ahmed and Walker, Martin (2010) IFRS adoption in Europe and investment-cash flow sensitivity: outsider versus insider economies. The International Journal of Accounting, 45 (2). pp. 143-168. ISSN 0020-7063
Soonawalla, Kazbi and Ireland, Jennifer C. (2010) The pooling of interests to end the pooling method in IFRS. International Journal of Accounting, Auditing and Performance Evaluation, 6 (2/3). pp. 129-157. ISSN 1740-8008
Van der Stede, Wim (2011) Risk and governance reporting: challenges for effective disclosures. Cfo Aktuell, 5 (6). pp. 200-203. ISSN 1993-2960
Zhuang, Juzhong, Edwards, David, Webb, David C. and Capulong, Ma. Virginita (2000) Corporate governance and finance in East Asia: a study of Indonesia, Republic of Korea, Malaysia, Philippines, and Thailand. Corporate governance and finance in East Asia , 1 . Asian Development Bank, Manila, Philippines. ISBN 9715612954