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Freshfields Bruckhaus Deringer LLP (2010) Law and regulation for global financial markets: enforcing the new regime - incentive or deterrence? Law and Financial Markets Review, 4 (4). pp. 346-359. ISSN 1752-1440

Abdalla, Ahmed, Carabias, Jose M. and Patatoukas, Panos N. (2021) The real-time macro content of corporate financial reports: a dynamic factor model approach. Journal of Monetary Economics, 118. pp. 260-280. ISSN 0304-3932

Abel, Andrew B., Eberly, Janice C. and Panageas, Stavros (2007) Optimal inattention to the stock market. American Economic Review, 97 (2). pp. 244-249. ISSN 0002-8282

Abell, Peter, Ludwig, Mark and Kajawski, B. (2010) Structural balance and group formation: an exploratory study. Quality and Quantity. ISSN 0033-5177 (Submitted)

Acciaio, Beatrice, Beiglböck, M., Penkner, F. and Schachermayer, W. (2016) A model-free version of the fundamental theorem of asset pricing and the super-replication theorem. Mathematical Finance, 26 (2). 233 - 251. ISSN 0960-1627

Acciaio, Beatrice, Fontana, Claudio and Kardaras, Constantinos ORCID: 0000-0001-6903-4506 (2016) Arbitrage of the first kind and filtration enlargements in semimartingale financial models. Stochastic Processes and Their Applications, 126 (6). pp. 1761-1784. ISSN 0304-4149

Acciaio, Beatrice, Föllmer, Hans and Penner, Irina (2012) Risk assessment for uncertain cash flows: model ambiguity, discounting ambiguity, and the role of bubbles. Finance and Stochastics, 16 (4). pp. 669-709. ISSN 0949-2984

Acciaio, Beatrice and Larsson, Martin (2017) Semi-static completeness and robust pricing by informed investors. Annals of Applied Probability, 27 (4). pp. 2270-2304. ISSN 1050-5164

Acciaio, Beatrice, Larsson, Martin and Schachermayer, Walter (2017) The space of outcomes of semi-static trading strategies need not be closed. Finance and Stochastics, 21 (3). pp. 741-751. ISSN 0949-2984

Acciaio, Beatrice and Svindland, Gregor (2014) On the lower arbitrage bound of American contingent claims. Mathematical Finance, 24 (1). pp. 147-155. ISSN 0960-1627

Accominotti, Olivier (2009) The sterling trap: foreign reserves management at the Bank of France, 1928–1936. European Review of Economic History, 13 (03). pp. 349-376. ISSN 1474-0044

Accominotti, Olivier, Cen, Jason, Chambers, David and Marsh, Ian W. (2019) Currency regimes and the carry trade. Journal of Financial and Quantitative Analysis, 54 (5). 2233 - 2260. ISSN 0022-1090

Accominotti, Olivier and Chambers, David (2016) If you’re so smart: John Maynard Keynes and currency speculation in the interwar years. Journal of Economic History, 76 (2). 342 - 386. ISSN 0022-0507

Accominotti, Olivier and Eichengreen, Barry (2016) The mother of all sudden stops: capital flows and reversals in Europe, 1919-32. Economic History Review, 69 (2). pp. 469-492. ISSN 0013-0117

Accominotti, Olivier, Lucena-Piquero, Delio and Ugolini, Stefano (2021) The origination and distribution of money market instruments: sterling bills of exchange during the first globalization. Economic History Review, 74 (4). 892 - 921. ISSN 0013-0117

Acs, Zoltan J., Braunerhjelm, Pontus and Karlsson, Charlie (2016) Philippe Aghion: recipient of the 2016 Global Award for Entrepreneurship Research. Small Business Economics, 48 (1). pp. 1-8. ISSN 0921-898X

Adams, Paul, Guttman-Kenney, Benedict, Hayes, Lucy, Hunt, Stefan, Laibson, David and Stewart, Neil (2022) Do nudges reduce borrowing and consumer confusion in the credit card market? Economica, 89 (S1). S178 - S199. ISSN 0013-0427

Adams, R., Almeida, H. and Ferreira, Daniel (2009) Understanding the relationship between founder-CEOs and firm performance. Journal of Empirical Finance, 16 (1). pp. 136-150. ISSN 0927-5398

Adams, Renee B., Almeida, Heitor and Ferreira, Daniel (2005) Powerful CEOs and their impact on corporate performance. Review of Financial Studies, 18 (4). pp. 1403-1432. ISSN 0893-9454

Adams, Renee B. and Ferreira, Daniel (2008) Do directors perform for pay? Journal of Accounting and Economics, 46 (1). pp. 154-171. ISSN 0165-4101

Adams, Renee B. and Ferreira, Daniel (2007) One share-one vote: the empirical evidence. Review of Finance, 12 (1). pp. 51-91. ISSN 1572-3097

Adams, Renee B. and Ferreira, Daniel (2009) Strong managers, weak boards? CESifo Economic Studies, 55 (3-4). pp. 482-514. ISSN 1610-241X

Adams, Renée B. and Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 (2016) Women on boards in finance and STEM industries. American Economic Review, 106 (5). pp. 1-6. ISSN 0002-8282

Adams, Renée Birgit and Ferreira, Daniel (2012) Regulatory pressure and bank directors’ incentives to attend board meetings. International Review of Finance, 12 (2). pp. 227-248. ISSN 1369-412X

Advani, Arun, Ooms, Tahnee and Summers, Andrew ORCID: 0000-0002-4978-7743 (2022) Missing incomes in the UK: evidence and policy implications. Journal of Social Policy. ISSN 0047-2794

Agarwal, Samanvaya, Kamath, Saipriya, Subramanian, Krishnamurthy and Tantri, Prasanna (2022) Board conduct in banks. Journal of Banking and Finance, 138. ISSN 0378-4266

Aghion, Philippe (2016) Entrepreneurship and growth: lessons from an intellectual journey. Small Business Economics, 48 (1). pp. 9-24. ISSN 0921-898X

Aghion, Philippe, Bergeaud, Antonin, Cette, Gilbert, Lecat, Rémy and Maghin, Hélène (2018) The inverted-U relationship between credit access and productivity growth. Economica. ISSN 0013-0427

Aghion, Philippe, Bloom, Nick, Lucking, Brian, Sadun, Raffaella and Van Reenen, John ORCID: 0000-0001-9153-2907 (2021) Turbulence, firm decentralization and growth in bad times. American Economic Journal: Applied Economics, 13 (1). 133 - 169. ISSN 1945-7782

Agnello, Luca, Castro, Vitor and Sousa, Ricardo M. (2018) Economic activity, credit market conditions and the housing market. Macroeconomic Dynamics, 22 (7). pp. 1769-1789. ISSN 1365-1005

Agnello, Luca, Castro, Vítor, Jalles, João Tovar and Sousa, Ricardo M. (2015) Do debt crises boost financial reforms? Applied Economics Letters, 22 (5). pp. 356-360. ISSN 1350-4851

Agnello, Luca, Castro, Vítor and Sousa, Ricardo J. (2012) How does fiscal policy react to wealth composition and asset prices? Journal of Macroeconomics, 34 (3). pp. 874-890. ISSN 0164-0704

Agnello, Luca, Castro, Vítor and Sousa, Ricardo M. (2019) On the duration of sovereign ratings cycle phases. Journal of Economic Behavior & Organization. ISSN 0167-2681

Agnello, Luca and Sousa, Ricardo M. (2014) The determinants of the volatility of fiscal policy discretion. Fiscal Studies, 35 (1). pp. 91-115. ISSN 0143-5671

Agrawal, Ashwini (2012) Corporate governance objectives of labor union shareholders: evidence from proxy voting. Review of Financial Studies, 25 (1). pp. 187-226. ISSN 0893-9454

Agrawal, Ashwini, Gonzalez-Uribe, Juanita and Martinez-Correa, Jimmy (2022) Measuring the ex-ante incentive effects of creditor control rights during bankruptcy reorganization. Journal of Financial Economics, 143 (1). 381 - 408. ISSN 0304-405X

Agrawal, Ashwini, Hacamo, Isaac and Hu, Zhongchen (2020) Information dispersion across employees and stock returns. Review of Financial Studies. ISSN 0893-9454

Agrawal, Ashwini and Tambe, Prasanna (2016) Private equity and workers’ career paths: the role of technological change. Review of Financial Studies, 29 (9). 2455 - 2489. ISSN 0893-9454

Agrawal, Ashwini K. (2013) The impact of investor protection law on corporate policy and performance: evidence from the blue sky laws. Journal of Financial Economics, 107 (2). pp. 417-435. ISSN 0304-405X

Agrawal, Ashwini K. and Matsa, David A. (2013) Labor unemployment risk and corporate financing decisions. Journal of Financial Economics, 108 (2). pp. 449-470. ISSN 0304-405X

Ahlfeldt, Gabriel M. ORCID: 0000-0001-5664-3230 and Kavetsos, Georgios (2014) Form or function?: the effect of new sports stadia on property prices in London. Journal of the Royal Statistical Society. Series A: Statistics in Society, 177 (1). pp. 169-190. ISSN 0964-1998

Ahmad, Ehtisham (2021) Multilevel financing of sustainable infrastructure in China— policy options for inclusive, resilient and green growth. Journal of Infrastructure, Policy and Development, 5 (1). ISSN 2572-7923

Ahmad, Wasim, Kutan, Ali M. and Gupta, Smarth (2021) Black swan events and COVID-19 outbreak: sector level evidence from the US, UK, and European stock markets. International Review of Economics and Finance, 75. 546 - 557. ISSN 1059-0560

Aksoy, Yunus, de Grauwe, Paul and Dewachter, Hans (2002) Do asymmetries matter for European monetary policy? European Economic Review, 46 (3). pp. 443-469. ISSN 0014-2921

Al-Abduljader, Sulaiman (2018) On the MENA private equity puzzle: insights and recommendations. The Journal of Private Equity, 21 (3). pp. 38-52. ISSN 1096-5572

Al-Horani, A., Pope, Peter and Stark, A. W. (2003) Research and development activity and expected returns in the United Kingdom. European Finance Review, 1 (7). pp. 27-46. ISSN 1382-6662

Albers, Thilo (2020) Currency devaluations and beggar-my-neighbour penalties: evidence from the 1930s. Economic History Review, 73 (1). 233 - 257. ISSN 0013-0117

Albers, Thilo Nils Hendrik (2018) The prelude and global impact of the Great Depression: evidence from a new macroeconomic dataset. Explorations in Economic History, 70. pp. 150-163. ISSN 0014-4983

Alemany, Luisa and Scarlata, Mariarosa (2009) Capital riesgo filantrópico: apoyo financiero a los emprendedores sociales. Harvard Deusto Business Review, 183. pp. 71-79. ISSN 0210-900X

Alexander, Kern, Ferran, Eilís, Jackson, Howell E. and Moloney, Niamh (2006) Transatlantic financial services regulatory dialogue. European Business Organization Law Review, 7 (3). pp. 647-673. ISSN 1566-7529

Alfaro, Laura and Charlton, Andrew (2009) Intra-industry foreign direct investment. American Economic Review, 99 (5). pp. 2096-2119. ISSN 0002-8282

Allen, Franklin, Bhattacharya, Sudipto, Rajan, Raghuram and Schoar, Antoinette (2008) The contributions of Stewart Myers to the theory and practice of corporate finance. Journal of Applied Corporate Finance, 20 (4). pp. 8-19. ISSN 1078-1196

Allen, Franklin, Vayanos, Dimitri and Vives, Xavier (2014) Introduction to financial economics. Journal of Economic Theory, 149. pp. 1-14. ISSN 1095-7235

Altavilla, Carlo and de Grauwe, Paul (2010) Forecasting and combining competing models of exchange rate determination. Applied Economics, 42 (27). pp. 3455-3480. ISSN 0003-6846

Altavilla, Carlo and de Grauwe, Paul (2010) Non-linearities in the relation between the exchange rate and its fundamentals. International Journal of Finance and Economics, 15 (1). pp. 1-12. ISSN 1076-9307

Alves, Felipe, Kaplan, Greg, Moll, Ben and Violente, Gianluca (2020) A further look at the propagation of monetary policy shocks in HANK. Journal of Money, Credit and Banking, 52 (S2). 521 - 559. ISSN 0022-2879

Alòs, Elisa, Chen, Zhanyu and Rheinlander, Thorsten (2016) Valuation of barrier options via a general self-duality. Mathematical Finance, 26 (3). pp. 492-515. ISSN 0960-1627

Amato, Jeffery D., Morris, Stephen and Shin, Hyun Song (2002) Communication and monetary policy. Oxford Review of Economic Policy, 18 (4). pp. 495-503. ISSN 0266-903X

Ames, Matthew, Bagnarosa, Guillaume, Peters, Gareth W. and Shevchenko, Pavel V. (2018) Understanding the interplay between covariance forecasting factor models and risk-based portfolio allocations in currency carry trades. Journal of Forecasting, 37 (8). pp. 805-831. ISSN 0277-6693

An, Li, Lou, Dong ORCID: 0000-0002-5623-4338 and Shi, Donghui (2022) Wealth redistribution in bubbles and crashes. Journal of Monetary Economics, 126. 134 - 153. ISSN 0304-3932

Anderson, Ronald (2012) Quelles leçons tirer de la grande crise financière de notre temps? Regards Economique (96). pp. 1-8. ISSN 2033-3013

Anderson, Ronald W. (2010) Credit default swaps: what are the social benefits and costs? Financial Stability Review, 14. ISSN 1636-6964

Anderson, Ronald W. (2016) Stress testing and macroprudential regulation: a transatlantic assessment. VoxEU.

Anderson, Ronald W., Bustamante, Maria Cecilia, Guibaud, Stéphane and Zervos, Mihail ORCID: 0000-0001-5194-6881 (2018) Agency, firm growth, and managerial turnover. Journal of Finance, 73 (1). 419 - 464. ISSN 0022-1082

Anderson, Ronald W. and Cakici, Nusret (1999) The value of deposit insurance in the presence of interest rate and credit risk. Financial Markets, Institutions and Instruments, 8 (5). pp. 45-62. ISSN 0963-8008

Anderson, Ronald W. and Carverhill, Andrew (2011) Corporate liquidity and capital structure. Review of Financial Studies, 25 (3). pp. 797-837. ISSN 0893-9454

Anderson, Ronald W. and Hamadi, Malika (2016) Cash holding and control-oriented finance. Journal of Corporate Finance, 41. pp. 410-425. ISSN 0929-1199

Anderson, Ronald W. and Nyborg, Kjell G. (2002) Agency and the pace of adoption of new techniques. Louvain Economic Review, 68 (1-2). pp. 203-220. ISSN 0770-4518

Anderson, Ronald W. and Nyborg, Kjell G. (2011) Financing and corporate growth under repeated moral hazard. Journal of Financial Intermediation, 20 (1). pp. 1-24. ISSN 1042-9573

Anderson, Ronald W. and Sundaresan, S. (1996) Design and valuation of debt contracts. Review of Financial Studies, 9 (1). pp. 37-68. ISSN 0893-9454

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

Anderson, Ronald W., Sundaresan, Suresh and Tychon, Pierre (1996) Strategic analysis of contingent claims. European Economic Review, 40 (3-5). pp. 871-881. ISSN 0014-2921

Anderson, Ronald W. and Tu, Cheng (1997) Numerical analysis of strategic contingent claims models. Computational Economics, 11 (1-2). pp. 3-19. ISSN 0927-7099

Andolfatto, David, Martin, Fernando M. and Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2017) Rehypothecation and liquidity. European Economic Review, 100. pp. 488-505. ISSN 0014-2921

Andrikogiannopoulou, Angie and Papakonstantinou, Filippos (2017) Individual reaction to past performance sequences: evidence from a real marketplace. Management Science, 64 (4). pp. 1957-1973. ISSN 0025-1909

Angell, Ian and Demetis, Dionysios (2006) AML-related technologies: a systemic risk. Journal of Money Laundering Control, 9 (2). pp. 157-172. ISSN 1368-5201

Angell, Ian and Kietzman, Jan (2006) RFID and the end of cash? Communications of the ACM, 49 (12). pp. 90-96. ISSN 0001-0782

Angrist, Noam, Djankov, Simeon, Goldberg, Pinelopi K. and Patrinos, Harry A. (2021) Measuring human capital using global learning data. Nature, 592 (7854). 403 - 408. ISSN 0028-0836

Anolli, Mario, Beccalli, Elena and Molyneux, Philip (2014) Bank earnings forecasts, risk and the crisis. Journal of International Financial Markets, Institutions and Money, 29 (1). pp. 309-335. ISSN 1042-4431

Anthropelos, Michail, Kardaras, Constantinos ORCID: 0000-0001-6903-4506 and Vichos, Georgios (2020) Effective risk aversion in thin risk-sharing markets. Mathematical Finance, 30 (4). 1565 - 1590. ISSN 0960-1627

Anton, Miguel and Polk, Christopher (2014) Connected stocks. Journal of Finance, 69 (3). 1099 - 1127. ISSN 0022-1082

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter (2011) Asymmetric loss functions and the rationality of expected stock returns. International Journal of Forecasting, 27 (2). pp. 413-437. ISSN 0169-2070

Aretz, Kevin, Bartram, Söhnke M. and Pope, Peter (2010) Macroeconomic risks and characteristic-based factor models. Journal of Banking and Finance, 34 (6). pp. 1383-1399. ISSN 0378-4266

Ascani, Andrea, Crescenzi, Riccardo ORCID: 0000-0003-0465-9796 and Iammarino, Simona ORCID: 0000-0001-9450-1700 (2016) What drives European multinationals to the EU neighbouring countries? A mixed methods analysis of Italian investment strategies. Environment and Planning C: Government and Policy, 34. pp. 656-675. ISSN 0263-774X

Ascani, Andrea, Nair, Lakshmi Balachandran and Iammarino, Simona ORCID: 0000-0001-9450-1700 (2023) Racing to the bottom or seeking legitimacy? National environmental performance and the location strategies of Chinese MNEs. Journal of International Management, 29 (2). ISSN 1075-4253

Ashraf, Nava, Bandiera, Oriana and Jack, B. Kelsey (2014) No margin, no mission? A field experiment on incentives for public service delivery. Journal of Public Economics, 120. pp. 1-17. ISSN 0047-2727

Ashton, David, Beattie, Vivien, Broadbent, Jane, Brooks, Chris, Draper, Paul, Ezzamel, Mahmoud, Gwilliam, David, Hodgkinson, Robert, Hoskin, Keith, Pope, Peter and Stark, Andrew (2009) British research in accounting and finance (2001–2007): the 2008 research assessment exercise. British Accounting Review, 41 (4). pp. 199-207. ISSN 0890-8389

Ashworth, J. and Goodhart, C. A. E. (2020) The surprising recovery of currency usage. International Journal of Central Banking, 16 (3). pp. 239-277. ISSN 1815-4654

Aswani, Jitendra, Raghunandan, Aneesh ORCID: 0000-0003-0443-4984 and Rajgopal, Shivaram (2023) Are carbon emissions associated with stock returns? Review of Finance. ISSN 1572-3097 (In Press)

At, Christian, Burkart, Mike ORCID: 0000-0002-0954-4499 and Lee, Samuel (2011) Security-voting structure and bidder screening. Journal of Financial Intermediation, 20 (3). pp. 458-476. ISSN 1042-9573

Athanasakou, Vasiliki, Ferreira, Daniel and Goh, Lisa (2022) Changes in CEO stock option grants: a look at the numbers. Journal of Corporate Finance, 75. ISSN 0929-1199

Athanasakou, Vasiliki E. and Hussainey, Khaled (2014) The perceived credibility of forward-looking performance disclosures. Accounting and Business Research, 44 (3). pp. 227-259. ISSN 0001-4788

Athanasakou, Vasiliki E., Strong, Norman and Walker, Martin (2009) Earnings management or forecast guidance to meet analyst expectations? Accounting and Business Research, 39 (1). pp. 3-35. ISSN 0001-4788

Athanasakou, Vasiliki E., Strong, Norman C and Walker, Martin (2011) The market reward for achieving analyst earnings expectations: does managing expectations or earnings matter? Journal of Business Finance & Accounting, 38 (1-2). pp. 58-94. ISSN 0306-686X

Austin, Gareth and Uche, Chibuike Ugochukwu (2007) Collusion and competition in colonial economies: banking in British West Africa, 1916-1960. Business History Review, 81 (1). pp. 1-26. ISSN 0007-6805

Avery Jones, John F. (2000) A comment on "progressive taxation of non-residents and intra-EC allocation of personal allowances". European Taxation, 40 (8). pp. 375-377. ISSN 0014-3138

Avgouleas, Emilios and Goodhart, Charles (2017) Utilizing AMCs to tackle Eurozone’s legacy non-performing loans. European Economy: Banks, Regulation, and the Real Sector (1). ISSN 2421-6917

Avgouleas, Emilios, Goodhart, Charles and Schoenmaker, Dirk (2013) Bank Resolution Plans as a catalyst for global financial reform. Journal of Financial Stability, 9 (2). pp. 210-218. ISSN 1572-3089

Avrahampour, Yally (2007) Back to the future: parallels in pension provision between the 1930s and today. Occupational Pensions Defense Union Annual Report 2007.

Avrahampour, Yally (2005) George Ross Goobey and the cult of equity. Professional Pensions. ISSN 1743-3320

Avrahampour, Yally (2008) Risk management and UK defined benefit pension provision: a perspective from financial sociology. Journal of Risk Management in Financial Institutions, 1 (4). pp. 430-434. ISSN 1752-8887

Awrey, Dan, Blair, William and Kershaw, David (2013) Between law and markets: is there a role for culture and ethics in financial regulation? Delaware Journal of Corporate Law, 38 (1). pp. 191-245. ISSN 0364-9490

Axelson, Ulf (2007) Security design with investor private information. Journal of Finance, 6 (6). pp. 2587-2632. ISSN 0022-1082

Axelson, Ulf and Baliga, Sandeep (2009) Liquidity and manipulation of executive compensation schemes. Review of Financial Studies, 22 (10). pp. 3907-3939. ISSN 0893-9454

Axelson, Ulf and Bond, Philip (2015) Wall Street occupations. Journal of Finance, 70 (5). 1949 - 1996. ISSN 0022-1082

Axelson, Ulf, Jenkinson, Tim, Strömberg, Per and Weisbach, Michael S. (2013) Borrow cheap, buy high?: determinants of leverage and pricing in buyouts. Journal of Finance, 68 (6). pp. 2223-2267. ISSN 0022-1082

Axelson, Ulf and Makarov, Igor (2020) Informational black holes in financial markets. Journal of Finance. ISSN 0022-1082 (In Press)

Axelson, Ulf, Strömberg, Per and Weisbach, Michael S. (2009) Why are buyouts levered?: the financial structure of private equity funds. Journal of Finance, 64 (4). pp. 1549-1582. ISSN 0022-1082

Aymanns, Christoph, Caccioli, Fabio, Farmer, J. Doyne and Tan, Vincent W.C. (2016) Taming the Basel leverage cycle. Journal of Financial Stability, 27. pp. 263-277. ISSN 1572-3089

Aïd, René, Callegaro, Giorgia and Campi, Luciano (2020) No-arbitrage commodity option pricing with market manipulation. Mathematics and Financial Economics, 14 (3). 577 - 603. ISSN 1862-9679

Aïd, René, Campi, Luciano and Langrené, Nicolas (2013) A structural risk-neutral model for pricing and hedging electricity derivatives. Mathematical Finance, 23 (3). pp. 387-438. ISSN 0960-1627

Babus, Ana and Kondor, Peter (2018) Trading and information diffusion in OTC markets. Econometrica, 86 (5). pp. 1727-1769. ISSN 0012-9682

Babus, Ana, Kondor, Peter and Wang, Yilin (2020) Corrigendum to 'Trading and information diffusion in over-the-counter markets'. Econometrica, 88 (5). 2221 - 2228. ISSN 0012-9682

Backhouse, James (2002) Assessing certification authorities: guarding the guardians of secure e-commerce? Journal of Financial Crime, 9 (3). pp. 217-226. ISSN 1359-0790

Backhouse, James and Angell, Ian (2004) Anti-money laundering - avoiding the technology trap. Financial Regulator, 9 (2). pp. 34-38. ISSN 1362-7511

Backus, David, Chernov, Mikhail and Zin, Stanley (2014) Sources of entropy in dynamic representative agent models. Journal of Finance, 69 (1). pp. 51-99. ISSN 0022-1082

Badertscher, Brad A., Jorgensen, Bjorn N., Katz, Sharon and Kinney, William R. (2014) Public equity and audit pricing in the United States. Journal of Accounting Research, 52 (2). 303 - 339. ISSN 0021-8456

Baghai, Ramin P., Seraves, Henri and Tamayo, Ane ORCID: 0000-0001-7154-0221 (2014) Have rating agencies become more conservative? Implications for capital structure and debt pricing. Journal of Finance, 69 (5). 1961 - 2005. ISSN 0022-1082

Bahaj, Saleem and Reis, Ricardo (2022) Central bank swap lines: evidence on the effects of the lender of last resort. Review of Economic Studies, 89 (4). 1654 – 1693. ISSN 0034-6527

Bailey, Andrew and Schonhardt-Bailey, Cheryl (2008) Does deliberation matter in FOMC monetary policymaking?: the Volcker Revolution of 1979. Political Analysis, 16 (4). pp. 404-427. ISSN 1047-1987

Baistrocchi, Eduardo (2006) The transfer pricing problem: a global proposal for simplification. Tax Lawyer, 59 (4). ISSN 0040-005X

Baistrocchi, Eduardo (2008) The use and interpretation of tax treaties in the emerging world: theory and implications. British Tax Review, 2008 (4). pp. 352-391. ISSN 0007-1870

Bakker, Gerben (2001) Book review: Wall Street to Main Street: Charles Merrill and middle class investors. Financial History Review, 8 (2). pp. 231-243. ISSN 0968-5650

Baldenius, Tim, Nezlobin, Alexander and Vaysman, Igor (2016) Managerial performance evaluation and real options. Accounting Review, 91 (3). 741 - 766. ISSN 0001-4826

Ball, Désirée and Garcia-Lorenzo, Lucia (2013) A very personal process: dealing with post-merger cultural change in a financial services institution. Change Management, 12 (1). pp. 1-16. ISSN 2327-798X

Bana e Costa, Carlos A., Barroso, L. and Soares, J. O. (2002) Qualitative modelling of credit scoring: a case study in banking. European Research Studies Journal, 5 (1-2). pp. 37-51. ISSN 1108-2976

Bana e Costa, Carlos A. and Soares, Joao Oliveira (2004) A multicriteria model for portfolio management. European Journal of Finance, 10 (3). pp. 198-211. ISSN 1351-847X

Bandi, F.M, Perron, B, Tamoni, Andrea and Tebaldi, C. (2018) The scale of predictability. Journal of Econometrics, 208 (1). pp. 120-140. ISSN 0304-4076

Banerjee, Abhijit, Besley, Timothy and Guinnane, Timothy W (1994) Thy neighbor''s keeper: the design of a credit cooperative with theory and a test. Quarterly Journal of Economics, 109 (2). pp. 491-515. ISSN 0033-5533

Banerjee, Abhijit V. and Moll, Benjamin (2010) Why does misallocation persist? American Economic Journal: Macroeconomics, 2 (1). 189 - 206. ISSN 1945-7707

Banerjee, Suman, Estrin, Saul ORCID: 0000-0002-3447-8593 and Pal, Sarmistha (2022) Corporate disclosure, compliance and consequences: evidence from Russia. European Journal of Finance, 28 (17). 1770 - 1802. ISSN 1351-847X

Banner, Adrian, Fernholz, Robert, Papathanakos, Vassilios, Ruf, Johannes and Schofield, David (2019) Diversification, volatility, and surprising alpha. Journal of Investment Consulting, 19 (1). 23 - 30. ISSN 1424-6035

Banwo, Opeoluwa, Caccioli, Fabio, Harrald, Paul and Medda, Francesca (2017) The effect of heterogeneity on financial contagion due to overlapping portfolios. Advances in Complex Systems, 19 (8). ISSN 0219-5259

Bar-Isaac, Heski and Cuñat, Vicente (2014) Long-term debt and hidden borrowing. Review of Corporate Finance Studies, 3 (1-2). pp. 87-122. ISSN 2046-9128

Bardoscia, Marco, Battiston, Stefano, Caccioli, Fabio and Caldarelli, Guido (2017) Pathways towards instability in financial networks. Nature Communications, 8 (14416). ISSN 2041-1723

Bardsley, Peter and Meager, Rachael (2018) Competing lending platforms, endogenous reputation, and fragility in microcredit markets. European Economic Review, 112. pp. 107-126. ISSN 0014-2921

Barfuss, Wolfram, Massara, Guido Previde, Di Matteo, T. and Aste, Tomaso (2016) Parsimonious modeling with information filtering networks. Physical Review E, 94 (6). ISSN 2470-0045

Barigozzi, Matteo and Hallin, Marc (2017) A network analysis of the volatility of high-dimensionalfinancial series. Journal of the Royal Statistical Society. Series C: Applied Statistics. ISSN 0035-9254

Barr, Nicholas (1993) Income transfers in Russia : problems and some policy directions. Economics of Transition, 1 (3). pp. 317-344. ISSN 0967-0750

Barr, Nicholas (2009) International trends in pension provision. Accounting and Business Research, 39 (3). pp. 211-225. ISSN 0001-4788

Barr, Nicholas ORCID: 0000-0002-5325-2055 and Diamond, Peter (2009) Reforming pensions: principles, analytical errors and policy directions. International Social Security Review, 62 (2). pp. 5-29. ISSN 0020-871X

Barr, Nicholas ORCID: 0000-0002-5325-2055 and Diamond, Peter (2006) The economics of pensions. Oxford Review of Economic Policy, 22 (1). pp. 15-39. ISSN 0266-903X

Barrell, Ray and Nahhas, Abdulkader (2019) The role of lender country factors in cross border bank lending. International Review of Financial Analysis. ISSN 1057-5219

Barrett, Michael and Scott, Susan (2004) Electronic trading and the process of globalization in traditional futures exchanges: a temporal perspective. European Journal of Information Systems, 13 (1). pp. 65-79. ISSN 0960-085X

Barrieu, Pauline, Bellamy, Nadine and Sahut, Jean-Michel (2012) Assessing the costs of protection in a context of switching stochastic regimes. Applied Mathematical Finance, 19 (6). pp. 495-511. ISSN 1350-486X

Barrieu, Pauline, Bellamy, Nadine and Sinclair-Desgagné, Bernard (2017) Assessing contaminated land cleanup costs and strategies. Applied Mathematical Modelling, 42. pp. 478-492. ISSN 0307-904X

Barrieu, Pauline, Bensusan, Harry, El Karoui, Nicole, Hillairet, Caroline, Loisel, Stephane, Ravanelli, Claudia and Salhi, Yahia (2012) Understanding, modelling and managing longevity risk: key issues and main challenges. Scandinavian Actuarial Journal, 3. pp. 203-231. ISSN 0346-1238

Barrieu, Pauline and El Karoui, Nicole (2005) Inf-convolution of risk measures and optimal risk transfer. Finance and Stochastics, 9 (2). pp. 269-298. ISSN 0949-2984

Barrieu, Pauline and El Karoui, Nicole (2002) Optimal design of derivatives in illiquid markets. Quantitative Finance, 2 (3). pp. 181-188. ISSN 1469-7688

Barrieu, Pauline and El Karoui, Nicole (2004) Optimal risk transfer. Finance, 25. pp. 31-47. ISSN 0752-6180

Barrieu, Pauline and El Karoui, Nicole (2003) Structuration optimale de produits dérivés et diversification en présence de sources de risque non-négociables. Comptes Rendus Series Mathematiques, 336 (6). pp. 493-498. ISSN 1631-073X

Barrieu, Pauline and Louberge, Henri (2013) Reinsurance and securitisation of life insurance risk: the impact of regulatory constraints. Insurance: Mathematics and Economics, 52 (2). pp. 135-144. ISSN 0167-6687 (Submitted)

Barrieu, Pauline, Rouault, A. and Yor, M. (2004) A study of the Hartmann-Watson distribution motivated by numerical problems related to the pricing of Asian options. Journal of Applied Probability, 41 (4). pp. 1049-1058. ISSN 0021-9002

Barrieu, Pauline and Scandolo, Giacomo (2014) Assessing financial model risk. European Journal of Operational Research, 242 (2). pp. 546-556. ISSN 0377-2217

Barrieu, Pauline and Scandolo, Giacomo (2008) General pareto optimal allocations and applications to multi-period risks. Forthcoming In: Astin Bulletin, 38 (1). pp. 105-136. ISSN 0515-0361

Barro, Robert and Tenreyro, Silvana (2007) Economic effects of currency unions. Economic Inquiry, 45 (1). pp. 1-23. ISSN 0095-2583

Barthel, Fabian, Busse, Matthias and Neumayer, Eric (2010) The impact of double taxation treaties on foreign direct investment: evidence from large dyadic panel data. Contemporary Economic Policy, 28 (3). pp. 366-377. ISSN 1074-3529

Bartlett, Will, Ker-Lindsay, James, Alexander, Kristian and Prelec, Tena (2017) The United Arab Emirates as an emerging actor in the Western Balkans: the case of strategic investment in Serbia. Journal of Arabian Studies, 7 (1). pp. 94-112. ISSN 2153-4764

Basak, Suleyman and Chabakauri, Georgy (2012) Dynamic hedging in incomplete markets: a simple solution. Review of Financial Studies, 25 (6). pp. 1845-1896. ISSN 0893-9454

Basak, Suleyman and Chabakauri, Georgy (2010) Dynamic mean-variance asset allocation. Review of Financial Studies, 23 (8). pp. 2970-3016. ISSN 0893-9454

Basak, Suleyman, Chabakauri, Georgy and Yavuz, M. Deniz (2019) Investor protection and asset prices. Review of Financial Studies, 32 (12). pp. 4905-4946. ISSN 0893-9454

Baskaya, Yusuf Soner, Binici, Mahir and Kenc, Turalay (2017) Cross-border effects of regulation: lessons from Turkey. International Journal of Central Banking, 13 (S1). pp. 15-22. ISSN 1815-4654

Basu, Sankarshan and Dassios, Angelos (2002) A Cox process with log-normal intensity. Insurance: Mathematics and Economics, 31 (2). pp. 297-302. ISSN 0167-6687

Baurdoux, Erik J. ORCID: 0000-0002-5407-0683 and Kyprianou, Andreas E. (2004) Further calculations for Israeli options. Stochastics and Stochastic Reports, 76 (6). pp. 546-569. ISSN 1744-2508

Bayne, Nicholas (2011) The diplomacy of the financial crisis in context. Hague Journal of Diplomacy, 6 (1-2). pp. 187-201. ISSN 1871-1901

Beale, Hugh, Gullifer, Louise and Paterson, Sarah (2015) Ban on assignment clauses: views from the coalface. Butterworths Journal of International Banking and Financial Law, 30 (8). pp. 463-466. ISSN 0269-2694

Bean, Charles ORCID: 0000-0002-6524-8280 (2016) Living with low for long. The Economic Journal, 126 (592). 507 - 522. ISSN 0013-0133

Bean, Charles R. ORCID: 0000-0002-6524-8280 (2019) A Review Essay: David Kynaston's Till Time's Last Sand:: a history of the Bank of England, 1694-2013. Journal of Economic Literature, 57 (4). pp. 972-987. ISSN 0022-0515

Bear, Laura (2017) ‘Alternatives’ to austerity: a critique of financialized infrastructure in India and beyond. Anthropology Today, 33 (5). pp. 3-7. ISSN 0268-540X

Bear, Laura, Birla, Ritu and Puri, Stine Simonsen (2015) Speculation: futures and capitalism in India: opening statement. Comparative Studies of South Asia, Africa and the Middle East, 35 (3). pp. 387-391. ISSN 1089-201X

Beaver, William H, Cascino, Stefano ORCID: 0000-0002-6703-741X, Correia, Maria and McNichols, Maureen F. (2019) Group affiliation and default prediction. Management Science, 65 (8). pp. 3559-3584. ISSN 0025-1909

Beccalli, Elena, Anolli, Mario and Borello, Giuliana (2015) Are European banks too big? evidence on economies of scale. Journal of Banking and Finance, 58. pp. 232-246. ISSN 0378-4266

Beccalli, Elena, Bozzolan, Saverio, Menini, Andrea and Molyneux, Philip (2013) Earnings management, forecast guidance and the banking crisis. European Journal of Finance, 21 (3). pp. 242-268. ISSN 1351-847X

Beccalli, Elena, Casu, Barbara and Girardone, Claudia (2006) Efficiency and stock performance in European banking. Journal of Business Finance & Accounting, 33. pp. 245-262. ISSN 0306-686X

Beccalli, Elena and Frantz, Pascal (2016) Why are some banks recapitalized and others taken over? Journal of International Financial Markets, Institutions and Money, 45. pp. 79-95. ISSN 1042-4431

Beccalli, Elena and Frantz, Pascal (2013) The determinants of mergers and acquisitions in banking. Journal of Financial Services Research, 43 (3). pp. 265-291. ISSN 0920-8550

Beccalli, Elena, Frantz, Pascal and Lenoci, Francesca (2018) Hidden effects of bank recapitalizations. Journal of Banking and Finance, 94. pp. 297-314. ISSN 0378-4266

Beccalli, Elena, Miller, Peter and O'Leary, Ted (2015) How analysts process information: technical and financial disclosures in the microprocessor industry. European Accounting Review, 24 (3). 519 - 549. ISSN 0963-8180

Beekes, Wendy, Pope, Peter and Young, Steven (2004) The link between earnings timeliness, earnings conservatism and board composition: evidence from the UK. Corporate Governance: an International Review, 12 (1). pp. 47-59. ISSN 1467-8683

Begg, Iain (2013) Are better defined rules enough? An assessment of the post-crisis reforms of the governance of EMU. Transfer: European Review of Labour and Research, 19 (1). pp. 49-62. ISSN 1024-2589

Begg, Iain (2012) Banking union: inevitable, but profoundly challenging? CESifo Forum, 13 (4). pp. 15-20. ISSN 1615-245X

Begg, Iain (2012) The EU’s response to the global financial crisis and sovereign debt crisis. Asia Europe Journal, 9 (2-4). pp. 107-124. ISSN 1610-2932

Begg, Iain (2017) Fiscal rules and the scope for risk sharing. Intereconomics, 52 (3). pp. 131-137. ISSN 0020-5346

Beirne, John, Caporale, Guglielmo M., Schulze-Ghattas, Marianne and Spagnolo, Nicola (2010) Global and regional spillovers in emerging stock markets: a multivariate GARCH-in-mean analysis. Emerging Markets Review, 11 (3). pp. 250-260. ISSN 1566-0141

Bell, Brian and Van Reenen, John ORCID: 0000-0001-9153-2907 (2014) Bankers and their bonuses. The Economic Journal, 124 (574). F1-F21. ISSN 0013-0133

Belo, Frederico and Lin, Xiaoji (2012) The inventory growth spread. Review of Financial Studies, 25 (1). pp. 278-313. ISSN 0893-9454

Beltratti, Andrea, Benetton, Matteo and Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2017) The role of prepayment penalties in mortgage loans. Journal of Banking and Finance, 82. pp. 165-179. ISSN 0378-4266

Benbouzid, Nadia, Kumar, Abhishek, Mallick, Sushanta K., Sousa, Ricardo M. and Stojanovic, Aleksandar (2022) Bank credit risk and macro-prudential policies: role of counter-cyclical capital buffer. Journal of Financial Stability, 63. ISSN 1572-3089

Benedetti, Giuseppe and Campi, Luciano (2016) Utility indifference valuation for non-smooth payoffs with an application to power derivatives. Applied Mathematics and Optimization, 73 (2). pp. 349-389. ISSN 0095-4616

Benedetti, Giuseppe, Campi, Luciano, Kallsen, Jan and Muhle-Karbe, Johannes (2013) On the existence of shadow prices. Finance and Stochastics, 17 (4). pp. 801-818. ISSN 0949-2984

Benediktsdottir, Sigridur, Danielsson, Jon and Zoega, Gylfi (2011) Lessons from a collapse of a financial system. Economic Policy, 26 (66). pp. 183-235. ISSN 0266-4658

Benigno, Gianluca (2004) Real exchange rate persistence and monetary policy rules. Journal of Monetary Economics, 51 (3). pp. 473-502. ISSN 0304-3932

Benigno, Gianluca and Benigno, Pierpalo (2006) Designing targeting rules for international monetary policy cooperation. Journal of Monetary Economics, 53 (3). pp. 473-506. ISSN 0304-3932

Benigno, Gianluca, Chen, Huigang, Otrok, Christopher, Rebucci, Alessandro and Young, Eric R. (2012) Financial crises and macro-prudential policies. Journal of International Economics, 89 (2). pp. 453-470. ISSN 0022-1996

Benigno, Gianluca, Chen, Huigang, Otrok, Christopher, Rebucci, Alessandro and Young, Eric R. (2016) Optimal capital controls and real exchange rate policies: a pecuniary externality perspective. Journal of Monetary Economics, 84. pp. 147-165. ISSN 0304-3932

Benigno, Gianluca, Converse, Nathan and Fornaro, Luca (2015) Large capital inflows, sectoral allocation, and economic performance. Journal of International Money and Finance, 55. pp. 60-87. ISSN 0261-5606

Benigno, Gianluca and Fornaro, Luca (2014) The financial resource curse. Scandinavian Journal of Economics, 116 (1). pp. 58-86. ISSN 0347-0520

Benigno, Gianluca and Kucuk, H. (2012) Portfolio allocation and international risk sharing. Canadian Journal of Economics, 45 (2). pp. 535-565. ISSN 0008-4085

Benigno, Gianluca and Thoenissen, Christoph (2003) Equilibrium exchange rates and supply-side performance. The Economic Journal, 113 (486). C103-C103. ISSN 0013-0133

Benink, Harald, Danielsson, Jon and Jónsson, Ásgeir (2008) On the role of regulatory banking capital. Financial Markets, Institutions and Instruments, 17 (1). pp. 85-96. ISSN 0963-8008

Benjamin, Joanna (2008) Cukurova in the Court of Appeal. Insolvency Intelligence, 21 (7). pp. 105-106. ISSN 0950-2645

Benjamin, Joanna (2010) The narratives of financial law. Oxford Journal of Legal Studies, 30 (4). pp. 787-814. ISSN 0143-6503

Benjamin, Joanna, Bowden, Paul and Rouch, David (2008) Law and regulation for global financial markets: markets as rule-makers - enforcement, dispute resolution and risk. Law and Financial Markets Review, 2 (4). pp. 321-330. ISSN 1752-1440

Benjamin, Joanna and Maher, Felicity (2008) Financial collateral arrangements: lessons from Cukurova. Insolvency Intelligence, 21 (5). pp. 65-72. ISSN 0950-2645

Benjamin, Joanna and Maher, Felicity (2008) Lessons from Cukurova. Capital Markets Law Journal, 3 (2). pp. 126-138. ISSN 1750-7219

Benjamin, Joanna and Rouch, David (2007) Providers and distributors: responsibilities in relation to retail structured products. Law and Financial Markets Review, 1 (5). pp. 413-421. ISSN 1752-1440

Benjamin, Joanna and Rouch, David (2008) The international financial markets as a source of global law: the privatisation of rule-making? Law and Financial Markets Review, 2 (2). pp. 78-86. ISSN 1752-1440

Bergeaud, Antonin and Ray, Simon (2021) Adjustment costs and factor demand: new evidence from firms' real estate. Economic Journal, 131 (633). 70 - 100. ISSN 0013-0133

Berglöf, Erik (2020) A pandemic strategy as global as COVID-19. Project Syndicate.

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Berglöf, Erik, Burkart, Mike, Friebel, Guido and Paltseva, Elena (2008) Widening and deepening: reforming the European Union. American Economic Review, 98 (2). pp. 133-137. ISSN 0002-8282

Bernales, Alejandro, Garrido-Sureda, Nicolas, Sagade, Satchit, Valenzuela, Marcela and Westheide, Christian (2023) Trader competition in fragmented markets: liquidity supply versus picking-off risk. Journal of Financial and Quantitative Analysis. ISSN 0022-1090

Bernardo, Giovanni and Campiglio, Emanuele (2014) A simple model of income, aggregate demand and the process of credit creation by private banks. Empirica, 41 (3). 381 -405. ISSN 0340-8744

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Bertero, Elisabetta and Mayer, Colin (1990) Structure and performance: global interdependence of stock markets around the crash of October 1987. European Economic Review, 34 (6). pp. 1155-1180. ISSN 0014-2921

Besley, Timothy (2001) From micro to macro : public policies and aggregate economic performance. Fiscal Studies, 22 (3). pp. 357-374. ISSN 0143-5671

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Besley, Timothy (2015) Law, regulation, and the business climate: the nature and influence of the World Bank Doing Business project. Journal of Economic Perspectives, 29 (3). pp. 99-120. ISSN 0895-3309

Besley, Timothy (1995) Nonmarket institutions for credit and risk-sharing in low-income countries. Journal of Economic Perspectives, 9 (3). pp. 115-127. ISSN 0895-3309

Besley, Timothy (2013) What's the good of the market? An essay on Michael Sandel's what money can't buy. Journal of Economic Literature, 51 (2). pp. 478-495. ISSN 0022-0515

Besley, Timothy and Coate, Stephen (1995) Group lending, repayment incentives and social collateral. Journal of Development Economics, 46 (1). pp. 1-18. ISSN 0304-3878

Besley, Timothy, Coate, Stephen and Loury, Glenn (1993) The economics of rotating savings and credit associations. American Economic Review, 83 (4). pp. 792-810. ISSN 0002-8282

Besley, Timothy, Fontana, Nicola and Limodio, Nicola (2021) Antitrust policies and profitability in non-tradable sectors. American Economic Review: Insights, 3 (2). 251 - 265. ISSN 2640-2068

Besley, Timothy, Hall, John and Preston, Ian (1998) Private and public health insurance in the UK. European Economic Review, 42 (03-May). pp. 491-497. ISSN 0014-2921

Besley, Timothy, Hall, John and Preston, Ian (1999) The demand for private health insurance : do waiting lists matter? Journal of Public Economics, 72 (2). pp. 155-181. ISSN 0047-2727

Besley, Timothy and Levenson, Alec (1996) The anatomy of an informal financial market : Roscas in Taiwan. Journal of Development Economics, 51 (1). pp. 45-68. ISSN 0304-3878

Besley, Timothy, Meads, Neil and Surico, Paolo (2008) Insiders versus outsiders in monetary policymaking. American Economic Review, 98 (2). pp. 218-223. ISSN 0002-8282

Besley, Timothy, Meads, Neil and Surico, Paolo (2013) Risk heterogeneity and credit supply: evidence from the mortgage market. NBER Macroeconomics Annual, 27 (1). pp. 375-419. ISSN 0889-3365

Besley, Timothy and Mueller, Hannes (2018) Institutions, volatility and investment. Journal of the European Economic Association, 16 (3). 604 - 649. ISSN 1542-4766

Besley, Timothy and Persson, Torsten (2014) Why do developing countries tax so little? Journal of Economic Perspectives, 28 (4). pp. 99-120. ISSN 0895-3309

Besley, Timothy and Persson, Torsten (2009) The origins of state capacity: property rights, taxation and politics. American Economic Review, 99 (4). pp. 1218-1244. ISSN 0002-8282

Besley, Timothy and Suzumura, Kotaro (1992) Taxation and welfare in an oligopoly with strategic commitment. International Economic Review, 33 (2). pp. 413-431. ISSN 0020-6598

Beunza, Daniel (2006) New artistic engagements with the capital markets. Economic Sociology, 7 (3). pp. 29-33. ISSN 1871-3351

Beunza, Daniel (2008) Re-imagining markets: a review essay of "Do Economists Make Markets". Journal of Cultural Economy, 1 (1). pp. 93-100. ISSN 1753-0350

Beunza, Daniel and Garud, Raghu (2007) Calculators, lemmings or frame-makers? the intermediary role of securities analysts. Sociological Review, 55 (s2). pp. 13-39. ISSN 0038-0261

Beunza, Daniel, Hardie, Iain and MacKenzie, Donald (2006) A price is a social thing: towards a material sociology of arbitrage. Organization Studies, 27 (5). pp. 721-745. ISSN 0170-8406

Beunza, Daniel and Stark, David (2003) Dopo l'11 settembre: innovazione e ripresa nelle trading room di Wall Street. Stato e Mercato: Quadrimestrale di Analisi Dei Meccanismi e Delle Istituzioni Sociali, Politiche ed economiche, 68 (2). pp. 185-216. ISSN 0392-9701

Beunza, Daniel and Stark, David (2012) From dissonance to resonance: cognitive interdependence in quantitative finance. Economy and Society, 41 (3). pp. 383-417. ISSN 1469-5766

Beunza, Daniel and Stark, David (2004) La organización de la respuesta: innovación y recuperación en las salas de operaciones financieras del Bajo Manhattan. Española de Investigaciones Sociológicas, 107. pp. 89-102. ISSN 0392-9701

Beunza, Daniel and Stark, David (2003) Organiser la réactivité : innovation et reconstruction dans les salles de marché du Lower Manhattan. Politix: Revue des Sciences Sociales du Politique, 14 (63). pp. 171-196. ISSN 1953-8286

Beunza, Daniel and Stark, David (2004) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. Industrial and Corporate Change, 13 (2). pp. 369-400. ISSN 0960-6491

Beunza, Daniel and Stark, David (2003) The organization of responsiveness: innovation and recovery in the trading rooms of Lower Manhattan. Socio-Economic Review, 1 (2). pp. 135-164. ISSN 1475-1461

Beuselinck, Christof, Cascino, Stefano ORCID: 0000-0002-6703-741X, Deloof, Marc and Vanstraelen, Ann (2019) Earnings management within multinational corporations. Accounting Review, 94 (4). pp. 45-76. ISSN 0001-4826

Bevilacqua, Mattia and Tunaru, Radu (2021) The SKEW index: extracting what has been left. Journal of Financial Stability, 53. ISSN 1572-3089

Beyer, Max, de Meza, David and Reyniers, Diane J. (2013) Do financial advisor commissions distort client choice? Economics Letters, 119 (2). pp. 117-119. ISSN 0165-1765

Bhattacharya, Sudipto, Boot, A. and Thakor, Anjan V. (1998) The economics of bank regulation. Journal of Money, Credit and Banking, 30 (4). pp. 745-770. ISSN 0022-2879

Bhattacharya, Sudipto, Fulghieri, P. and Rovelli, R. (1998) Financial intermediation versus stock markets in a dynamic intertemporal model. Journal of Institutional and Theoretical Economics, 154 (1). pp. 291-319. ISSN 0932-4569

Bhattacharya, Sudipto, Goodhart, Charles, Tsomocos, Dimitrios P. and Vardoulakis, Alexandros P. (2015) A reconsideration of Minsky’s financial instabilityhypothesis. Journal of Money, Credit and Banking, 47 (5). pp. 931-973. ISSN 0022-2879

Bhattacharya, Sudipto and Jorge-Padilla, A. (1996) Dynamic banking: a reconsideration. Review of Financial Studies, 9 (3). pp. 1003-1032. ISSN 0893-9454

Bhattacharya, Sudipto and Nicodano, Giovanna (2001) Insider trading, investment and liquidity: a welfare analysis. Journal of Finance, 56 (3). pp. 1141-1156. ISSN 0022-1082

Bhimani, Al and Mülder, Peter S. (2001) Managing processes, quality and costs: a case study. Journal of Cost Management, 15 (2). pp. 28-32. ISSN 1092-8057

Bhimani, Alnoor and Gosselin, Maurice (2009) Cost management diversity in a global world: what can we learn? Cost Management, Sept- (Oct). pp. 29-33. ISSN 1092-8057

Bhimani, Alnoor, Gosselin, Maurice, Ncube, Mthuli and Okano, Hiroshi (2007) Activity-based costing: how far have we come internationally? Cost Management, 21 (3). pp. 12-17. ISSN 1092-8057

Bhimani, Alnoor, Gosselin, Maurice and Soonawalla, Kazbi (2007) The value of accounting information in assessing investment risk. Cost Management, 21 (1). pp. 29-35. ISSN 1092-8057

Bhimani, Alnoor, Gulamhussen, Mohamed Azzim and Rocha Lopes, Samuel (2014) Owner liability and financial reporting information as predictors of firm default in bank loans. Review of Accounting Studies, 19 (2). pp. 769-804. ISSN 1380-6653

Bhimani, Alnoor, Gulamhussen, Mohamed Azzim and da Rocha Lopes, Samuel (2013) The role of financial, macroeconomic, and non-financial information in bank loan default timing prediction. European Accounting Review, 22 (4). pp. 739-763. ISSN 0963-8180

Bhimani, Alnoor, Hausken, Kjell and Arif, Sameen (2022) Do national development factors affect cryptocurrency adoption? Technological Forecasting and Social Change, 181. ISSN 0040-1625

Bhimani, Alnoor, Hausken, Kjell and Ncube, Mthuli (2010) Agent takeover risk of principal in outsourcing relationships. Global Business and Economics Review, 12 (4). pp. 329-340. ISSN 1097-4954

Bhimani, Alnoor and Langfield-Smith, Kim (2007) Structure, formality and the importance of financial and non-financial information in strategy development and implementation. Management Accounting Research, 18 (1). pp. 3-31. ISSN 1044-5005

Bhimani, Alnoor, Lopes, Alexsandro and De Aquino, Andre Carlos Busanelli (2017) Measurement costs and control in outsourcing relationships. International Journal of Managerial and Financial Accounting, 8 (3/4). pp. 296-318. ISSN 1753-6715

Bhimani, Alnoor and Ncube, Mthuli (2006) Virtual integration costs and the limits of supply chain scalability. Journal of Accounting and Public Policy, 25 (4). pp. 390-408. ISSN 0278-4254

Bhimani, Alnoor and Okano, Hiroshi (1995) Targeting excellence: target cost management at Toyota in the UK. Management Accounting: Magazine For Chartered Management Accountants, 73 (6). pp. 42-45. ISSN 0025-1682

Bhimani, Alnoor and Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2014) Digitisation, ‘big data’ and the transformation of accounting information. Accounting and Business Research, 44 (4). 469 - 490. ISSN 0001-4788

Bijapur, Mohan (2010) Does monetary policy lose effectiveness during a credit crunch? Economics Letters, 106 (1). pp. 42-44. ISSN 0165-1765

Bikbov, Ruslan and Chernov, Mikhail (2013) Monetary policy regimes and the term structure of interest rates. Journal of Econometrics, 174 (1). pp. 27-43. ISSN 0304-4076

Bikbov, Ruslan and Chernov, Mikhail (2010) No-arbitrage macroeconomic determinants of the yield curve. Journal of Econometrics, 159 (1). pp. 166-182. ISSN 0304-4076

Bikbov, Ruslan and Chernov, Mikhail (2009) Unspanned stochastic volatility in affine models: evidence from Eurodollar futures and options. Management Science, 55 (8). pp. 1292-1305. ISSN 0025-1909

Bikbov, Ruslan and Chernov, Mikhail (2011) Yield curve and volatility: lessons from Eurodollar futures and options. Journal of Financial Econometrics, 9 (1). pp. 66-105. ISSN 1479-8409

Biondi, Yuri, Tsujiyama, Eiko, Glover, Jonathan, Jenkins, Nicole T., Jorgensen, Bjorn N., Lacey, John and Macve, Richard (2014) ‘Old hens make the best soup’: accounting for the earning process and the IASB/FASB attempts to reform revenue recognition accounting standards. Accounting in Europe, 11 (1). pp. 13-33. ISSN 1744-9480

Bird, R., Casavecchia, L., Pellizzari, P. and Woolley, Paul (2011) The impact on the pricing process of costly active management and performance chasing clients. Journal of Economic Interaction and Coordination, 6 (1). pp. 61-82. ISSN 1860-711X

Birkinshaw, Julian and Hill, Susan A. (2005) Corporate venturing units as vehicles for strategic success in the New Europe. Organizational Dynamics, 34 (3). pp. 247-257. ISSN 0090-2616

Black, Julia ORCID: 0000-0002-5838-3265 (2003) Enrolling actors in regulatory systems: examples from UK financial services regulation. Public Law, 2003 (Spring). pp. 63-91. ISSN 0033-3565

Black, Julia ORCID: 0000-0002-5838-3265 (2008) Forms and paradoxes of principles-based regulation. Capital Markets Law Journal, 3 (4). pp. 425-457. ISSN 1750-7219

Black, Julia ORCID: 0000-0002-5838-3265 (2006) Managing regulatory risks and defining the parameters of blame: a focus on the Australian Prudential Regulation Authority. Law and Policy, 28 (1). pp. 1-30. ISSN 0265-8240

Black, Julia ORCID: 0000-0002-5838-3265 (2009) Rebuilding the credibility of markets and regulators. Law and Financial Markets Review, 3 (1). pp. 1-2. ISSN 1752-1440

Black, Julia ORCID: 0000-0002-5838-3265 (2013) Reconceiving financial markets: from the economic to the social. Journal of Corporate Law Studies, 13 (2). pp. 401-442. ISSN 1473-5970

Black, Julia ORCID: 0000-0002-5838-3265 (2007) Tensions in the regulatory state. Public Law, 2007 (Spring). pp. 58-73. ISSN 0033-3565

Black, Julia ORCID: 0000-0002-5838-3265 and Baldwin, Robert (2010) Really responsive risk-based regulation. Law and Policy, 32 (2). pp. 181-213. ISSN 0265-8240

Black, Julia ORCID: 0000-0002-5838-3265, Hopper, Martyn and Band, Christa (2007) Making a success of Principles-based regulation. Law and Financial Markets Review, 1 (3). pp. 191-206. ISSN 1752-1440

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Cumperayot, Phornchanok J., Danielsson, Jon, Jorgensen, Bjorn N. and Vries, Casper G. (2000) On the (Ir)relevancy of value-at-risk regulation. Measuring Risk in Complex Stochastic Systems, 147. pp. 99-117. ISSN 0930-0325

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Cuñat, Vicente and Guadalupe, Maria (2009) Executive compensation and competition in the banking and financial sectors. Journal of Banking and Finance, 33 (3). pp. 495-504. ISSN 0378-4266

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Cvijanović, Dragana, Dasgupta, Amil and Zachariadis, Konstantinos (2022) The wall street stampede: exit as governance with interacting blockholders. Journal of Financial Economics, 144 (2). pp. 433-455. ISSN 0304-405X

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Cziraki, Peter and Xu, Moqi (2020) CEO turnover and volatility under long-term employment contracts. Journal of Financial and Quantitative Analysis, 55 (6). 1757 - 1791. ISSN 0022-1090

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Dafe, Florence (2018) Fuelled power: oil, financiers and central bank policy in Nigeria. New Political Economy. ISSN 1356-3467

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Danielsson, Jon (2015) Iceland, Greece and political hectoring. VoxEU.

Danielsson, Jon (2013) Iceland’s post-Crisis economy: A myth or a miracle? VoxEU.

Danielsson, Jon (2015) Post-crisis banking regulation: evolution of economic thinking as it happened on Vox. VoxEU.

Danielsson, Jon (2015) What the Swiss FX shock says about risk models. VoxEU.

Danielsson, Jon (2002) The emperor has no clothes: limits to risk modelling. Journal of Banking and Finance, 26 (7). pp. 1273-1296. ISSN 0378-4266

Danielsson, Jon (2013) The new market-risk regulations. VoxEU.

Danielsson, Jon, Fouché, Morgane and Macrae, Robert (2016) Cyber risk as systemic risk. VoxEU.

Danielsson, Jon, Fouché, Morgane and Macrae, Robert (2015) The macro-micro conflict. VoxEU.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2014) Model risk and the implications for risk management, macroprudential policy, and financial regulations. VoxEU.

Danielsson, Jon, James, Kevin R., Valenzuela, Marcela and Zer, Ilknur (2016) Model risk of risk models. Journal of Financial Stability, 23. pp. 79-91. ISSN 1572-3089

Danielsson, Jon, Jorgensen, Bjorn N. and De Vries, Casper G. (1998) The value of value at risk: statistical, financial, and regulatory considerations summary of presentation. Economic Policy Review. pp. 107-108. ISSN 0147-6580

Danielsson, Jon, Jorgensen, Bjorn N., Samorodnitsky, Gennady, Sarma, Mandira and de Vries, Casper G. (2013) Fat tails, VaR and subadditivity. Journal of Econometrics, 172 (2). pp. 283-291. ISSN 0304-4076

Danielsson, Jon, Jorgensen, Bjorn N., Vries, Casper G. and Yang, Xiaoguang (2008) Optimal portfolio allocation under the probabilistic VaR constraint and incentives for financial innovation. Annals of Finance, 4 (3). pp. 345-367. ISSN 1614-2446

Danielsson, Jon, Koijen, Ralph S.J., Laeven, Roger and Perotti, Enrico (2013) Solvency II: three principles to respect. VoxEU.

Danielsson, Jon and Kristjánsdóttir, Ásdís (2015) Why Iceland can now remove capital controls. VoxEU.

Danielsson, Jon, Luo, Jinhui and Payne, Richard (2012) Exchange rate determination and inter–market order flow effects. European Journal of Finance, 18 (9). pp. 823-840. ISSN 1351-847X

Danielsson, Jon, Macrae, Robert, Tsomocos, Dimitrios P. and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2016) Why macropru can end up being procyclical. VoxEU.

Danielsson, Jon, Macrae, Robert and Uthemann, Andreas (2022) Artificial intelligence and systemic risk. Journal of Banking and Finance, 140. ISSN 0378-4266

Danielsson, Jon, Macrae, Robert and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2016) On the financial market consequences of Brexit. VoxEU.

Danielsson, Jon, Micheler, Eva, Neugebauer, Katja, Uthemann, Andreas and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) Europe’s proposed capital markets union: disruption will drive investment and innovation. VoxEU.

Danielsson, Jon and Payne, R. (2002) Real trading patterns and prices in spot inter-dealer foreign exchange markets. Journal of International Money and Finance, 21 (2). pp. 203-222. ISSN 0261-5606

Danielsson, Jon and Peñaranda, Francisco (2011) On the impact of fundamentals, liquidity, and coordination on market stability. International Economic Review, 52 (3). pp. 621-638. ISSN 0020-6598

Danielsson, Jon and Pyne, Richard (2012) Liquidity determination in an order driven market. European Journal of Finance, 18 (9). pp. 799-821. ISSN 1351-847X

Danielsson, Jon, Shin, Hyun Song and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2004) The impact of risk regulation on price dynamics. Journal of Banking and Finance, 28 (5). pp. 1069-1087. ISSN 0378-4266

Danielsson, Jon, Song Shin, Hyun and Zigrand, Jean-Pierre (2012) Endogenous extreme events and the dual role of prices. Annual Review of Economics, 4. pp. 111-129. ISSN 1941-1383

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2018) Learning from history: volatility and financial crises. Review of Financial Studies, 31 (7). 2774 - 2805. ISSN 0893-9454

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2015) Volatility, financial crises and Minsky's hypothesis. VoxEU.

Danielsson, Jon, Valenzuela, Marcela and Zer, Ilknur (2022) The impact of risk cycles on business cycles: a historical view. Review of Financial Studies. ISSN 0893-9454

Danielsson, Jon and Vries, C. G. de (2000) Value-at-risk and extreme returns. Annales d'economie et de Statistique, 60 (Specia). pp. 236-269. ISSN 0769-489X

Danielsson, Jon and Zhou, Chen (2015) Why risk is hard to measure. VoxEU.

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) Are asset managers systemically important? VoxEU.

Danielsson, Jon and Zigrand, Jean-Pierre (2008) Equilibrium asset pricing with systemic risk. Economic Theory, 35 (2). pp. 293-319. ISSN 1432-0479

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2006) On time-scaling of risk and the square-root-of-time rule. Journal of Banking and Finance, 30 (10). pp. 2701-2713. ISSN 0378-4266

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2007) Regulating hedge funds. Financial Stability Review, 10 (Spec.). pp. 29-36. ISSN 1636-6964

Danielsson, Jon and Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2015) A proposed research and policy agenda for systemic risk. VoxEU.

Danilova, Albina (2010) Stock market insider trading in continuous time with imperfect dynamic information. Stochastics: an International Journal of Probability and Stochastic Processes, 82 (1). pp. 111-131. ISSN 1744-2508

Danilova, Albina, Monoyios, Michael and Ng, Andrew (2010) Optimal investment with inside information and parameter uncertainty. Mathematics and Financial Economics, 3 (1). pp. 13-38. ISSN 1862-9679

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Dasgupta, Amil, Fos, Vyacheslav and Sautner, Zacharias (2021) Institutional investors and corporate governance. Foundations and Trends in Finance, 12 (4). 276 - 394. ISSN 1567-2395

Dasgupta, Amil ORCID: 0000-0001-8474-9470, Leon-Gonzalez, Roberto and Shortland, Anja (2011) Regionality revisited: an examination of the direction of spread of currency crises. Journal of International Money and Finance, 30 (5). 831 - 848. ISSN 0261-5606

Dasgupta, Amil and Piacentino, Giorgia (2015) The Wall Street walk when blockholders compete for flows. Journal of Finance, 70 (6). 2853 - 2896. ISSN 0022-1082

Dasgupta, Amil and Prat, Andrea (2006) Financial equilibrium with career concerns. Theoretical Economics, 1 (1). pp. 67-93. ISSN 1933-6837

Dasgupta, Amil and Prat, Andrea (2008) Information aggregation in financial markets with career concerns. Journal of Economic Theory, 143 (1). pp. 83-113. ISSN 1095-7235

Dasgupta, Amil, Prat, Andrea and Verardo, Michela (2011) Institutional trade persistence and long-term equity returns. Journal of Finance, 66 (2). pp. 635-653. ISSN 0022-1082

Dasgupta, Amil, Prat, Andrea and Verardo, Michela (2011) The price impact of institutional herding. Review of Financial Studies, 24 (3). pp. 892-925. ISSN 0893-9454

Dasgupta, Amil, Steiner, Jakub and Stewart, Colin (2012) Dynamic coordination with individual learning. Games and Economic Behavior, 74 (1). pp. 83-101. ISSN 0899-8256 (Submitted)

Dashmiz, Shayan, Moharrami, Mehrdad, Marvasti, Farokh, Moazeni, Sajjad, Takapoui, Mohammad Reza and Abolhasani, Melika (2014) Generalisation of code division multiple access systems and derivation of new bounds for the sum capacity. IET Communications, 8 (2). pp. 153-162. ISSN 1751-8628

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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

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Fricke, Daniel and Roukny, Tarik (2020) Generalists and specialists in the credit market. Journal of Banking and Finance, 112. ISSN 0378-4266

Frijters, Paul, Johnston, David W., Shields, Michael A. and Sinha, Kompal (2015) A lifecycle perspective of stock market performance and wellbeing. Journal of Economic Behavior & Organization, 112. pp. 237-250. ISSN 0167-2681

Fryzlewicz, Piotr ORCID: 0000-0002-9676-902X and Subba Rao, Suhasini (2014) Multiple-change-point detection for auto-regressive conditional heteroscedastic processes. Journal of the Royal Statistical Society. Series B: Statistical Methodology, 76 (5). pp. 903-924. ISSN 1369-7412

Fujiwara, Ippei, Körber, Lena Mareen and Nagakura, Daisuke (2013) Asymmetry in government bond returns. Journal of Banking and Finance, 37 (8). pp. 3218-3226. ISSN 0378-4266

Gaertner, Wulf and Schwettmann, Lars (2017) Burden sharing in deficit countries: a questionnaire-experimental investigation. SERIEs, 8 (2). pp. 113-144. ISSN 1869-4187

Galenianos, Manolis and Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2022) Regulatory interventions in consumer financial markets: the case of credit cards. Journal of the European Economic Association, 20 (5). 1897 - 1932. ISSN 1542-4766

Ganau, Roberto and Rodríguez-Pose, Andrés ORCID: 0000-0002-8041-0856 (2022) Credit constraints in European SMEs: does regional institutional quality matter? Applied Economics Letters, 29 (15). pp. 1388-1392. ISSN 1350-4851

Ganderson, Joseph (2022) Prawn cocktails and cold shoulders: Labour, the Conservatives and the City of London since the 1990s. Political Quarterly, 93 (2). 209 - 217. ISSN 0032-3179

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2017) A Bayesian methodology for systemic risk assessment in financial networks. Management Science, 63 (12). 4428 -4446. ISSN 0025-1909

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2021) Compound poisson models for weighted networks with applications in finance. Mathematics and Financial Economics, 15 (1). 131 - 153. ISSN 1862-9679

Gandy, Axel and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2013) The effect of estimation in high-dimensional portfolios. Mathematical Finance, 23 (3). pp. 531-559. ISSN 0960-1627

Gao, Can and Martin, Ian (2021) Volatility, valuation ratios, and bubbles: an empirical measure of market sentiment. Journal of Finance, 76 (6). 3211 - 3254. ISSN 0022-1082

Gao, Zhan, Ohlson, James A. and Ostaszewski, Adam (2013) Dividend policy irrelevancy and the construct of earnings. Journal of Business Finance and Accounting, 40 (5-6). pp. 673-694. ISSN 1468-5957

Gapeev, Pavel V. (2012) Pricing of perpetual American options in a model with partial information. International Journal of Theoretical and Applied Finance, 15 (1). pp. 1-22. ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2021) First-to-default and second-to-default options in models with various information flows. International Journal of Theoretical and Applied Finance, 24 (4). ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2010) Pricing and filtering in a two-dimensional dividend switching model. International Journal of Theoretical and Applied Finance, 13 (7). pp. 1001-1017. ISSN 0219-0249

Gapeev, Pavel V. and Jeanblanc, Monique (2009) Pricing of contingent claims in a two-dimensional model with random dividends. International Journal of Theoretical and Applied Finance, 12 (8). pp. 1091-1104. ISSN 0219-0249

Gapeev, Pavel V. and Li, Libo (2022) Perpetual American standard and lookback options with event risk and asymmetric information. SIAM Journal on Financial Mathematics, 13 (3). 773 - 801. ISSN 1945-497X

Gapeev, Pavel V., Rodosthenous, Neofytos and Chinthalapati, V.L Raju (2019) On the Laplace transforms of the first hitting times for drawdowns and drawups of diffusion-type processes. Risks, 7 (3). ISSN 2227-9091

Garcia-Calvo, Angela (2016) Institutional development and bank competitive transformation in late industrializing economies: the Spanish case. Business and Politics, 18 (1). pp. 27-62. ISSN 1469-3569

Garcia-Lorenzo, Lucia (2020) Organizational remembering as a trigger for cultural change: exploring the episodic memories of a financial scandal. Scandinavian Journal of Management, 36 (1). ISSN 0956-5221

García R, Enrique and Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2021) Mañana today: a long view of economic value creation in Latin America. Global Policy, 12 (3). 410 - 413. ISSN 1758-5880

Gardner, Leigh (2015) The curious incident of the franc in the Gambia: exchange rate instability and imperial monetary systems in the 1920s. Financial History Review, 22 (03). pp. 291-314. ISSN 0968-5650

Garicano, Luis and Steinwender, Claudia (2016) Survive another day: using changes in the composition of investments to measure the cost of credit constraints. Review of Economics and Statistics, 98 (5). pp. 913-924. ISSN 0034-6535

Garriga, Ana Carolina and Meseguer, Covadonga (2019) Remittances, monetary institutions, and autocracies. Oxford Development Studies, 47 (4). 452 - 467. ISSN 1360-0818

Gaurav, Sarthak (2015) Are rainfed agricultural households insured? Evidence from five villages in Vidarbha, India. World Development, 66. pp. 719-736. ISSN 0305-750X

Gavazza, Alessandro ORCID: 0000-0001-9236-5813 (2010) Asset liquidity and financial contracts: Evidence from aircraft leases. Journal of Financial Economics, 95 (1). pp. 62-84. ISSN 0304-405X

Gavazza, Alessandro ORCID: 0000-0001-9236-5813 and Lanteri, Andrea (2021) Credit shocks and equilibrium dynamics in consumer durable goods markets. Review of Economic Studies, 88 (6). 2935 - 2969. ISSN 0034-6527

Genakos, Christos and Valletti, Tommaso (2012) Regulating prices in two-sided markets: the waterbed experience in mobile telephony. Telecommunications Policy, 36 (5). pp. 360-368. ISSN 0308-5961

Gerba, Eddie (2018) What is the fiscal stress in Euro Area? Evidence from a joint monetary-fiscal structural model. Ensayos Sobre Política Económica, 36 (85). pp. 21-47. ISSN 0120-4483

Gerner-Beuerle, Carsten (2017) Law and finance in emerging economies: Germany and Britain 1800-1913. Modern Law Review, 80 (2). pp. 263-298. ISSN 0026-7961

Gerner-Beuerle, Carsten (2009) Underwriters, auditors, and other usual suspects: elements of third party enforcement in US and European securities law. European Company and Financial Law Review, 6 (4). pp. 476-515. ISSN 1613-2548

Gerner-Beuerle, Carsten and Schuster, Edmund-Philipp ORCID: 0000-0002-9355-535X (2014) The costs of separation: friction between company and insolvency law in the single market. Journal of Corporate Law Studies, 14 (2). pp. 287-332. ISSN 1473-5970

Getmansky, Mila, Lo, Andrew W. and Makarov, Igor (2004) An econometric model of serial correlation and illiquidity in hedge fund returns. Journal of Financial Economics, 74 (3). pp. 529-609. ISSN 0304-405X

Ghosh, Anisha, Julliard, Christian and Taylor, Alex. P (2017) What is the Consumption-CAPM missing? An information-theoretic framework for the analysis of asset pricing models. Review of Financial Studies, 30 (2). 442 – 504. ISSN 0893-9454

Giammarino, Flavia and Barrieu, Pauline (2013) Indifference pricing with uncertainty averse preferences. Journal of Mathematical Economics, 49 (1). pp. 2-15. ISSN 0304-4068

Giammarino, Flavia and Barrieu, Pauline (2009) A semiparametric model for the systematic factors of portfolio credit risk premia. Journal of Empirical Finance, 16 (4). pp. 655-670. ISSN 0927-5398

Giannetti, Mariassunta, Burkart, Mike ORCID: 0000-0002-0954-4499 and Ellingsen, Tore (2011) What you sell is what you lend? Explaining trade credit contracts. Review of Financial Studies, 24 (4). pp. 1261-1298. ISSN 0893-9454

Gibbons, Stephen, Mourato, Susana ORCID: 0000-0002-9361-9990 and Resende, Guilherme Mendes (2014) The amenity value of English nature: a hedonic price approach. Environmental and Resource Economics, 57 (2). pp. 175-196. ISSN 0924-6460

Gietzmann, Miles B. and Ostaszewski, Adam J. (2014) Why managers with low forecast precision select high disclosure intensity: an equilibrium analysis. Review of Quantitative Finance and Accounting, 43 (1). pp. 121-153. ISSN 0924-865X

Giraudeau, Martin (2008) The drafts of strategy: opening up plans and their uses. Long Range Planning, 41 (3). pp. 291-308. ISSN 0024-6301

Glasserman, Paul and Young, H. Peyton (2016) Contagion in financial networks. Journal of Economic Literature, 54 (3). pp. 779-831. ISSN 0022-0515

Glennerster, Howard (1994) New challenges for management accounting: issues in health and social services. Financial Accountability and Management, 10 (2). pp. 131-141. ISSN 0267-4424

Goldberg, Sanford H., Vann, Richard J., De Broe, Luc, Ward, David A., Legall, Jean-Pierre and Avery Jones, John F. (2000) Taxation caused by or after a change in residence. Tax Notes International (21). pp. 643-659. ISSN 1048-3306

Goldstein, Itay, Ozdenoren, Emre and Yuan, Kathy (2013) Trading frenzies and their impact on real investment. Journal of Financial Economics, 109 (2). pp. 566-582. ISSN 0304-405X (Submitted)

Gomes, Francisco, Michaelides, Alexander and Polkovnichenko, Valery (2009) Optimal savings with taxable and tax-deferred accounts. Review of Economic Dynamics, 12 (4). pp. 718-735. ISSN 1096-6099

Gomes, Francisco J. and Michaelides, Alexander (2003) Portfolio choice with internal habit formation : a life-cycle model with uninsurable labor income risk. Review of Economic Dynamics, 6 (4). pp. 729-766. ISSN 1096-6099

Gomez, Rafael and Santor, Eric (2001) Membership has its privileges: the effect of social capital and neighbourhood characteristics on the earnings of microfinance borrowers. Canadian Journal of Economics, 34 (4). 943 - 966. ISSN 1540-5982

Gonzalez-Uribe, Juanita (2020) Exchanges of innovation resources inside venture capital portfolios. Journal of Financial Economics, 135 (1). 144 - 168. ISSN 0304-405X

Gonzalez-Uribe, Juanita and Reyes, Santiago (2021) Identifying and boosting “gazelles”: evidence from business accelerators. Journal of Financial Economics, 139 (1). 260 - 287. ISSN 0304-405X

González-Ocantos, Ezequiel, de Jonge, Chad Kiewiet and Meseguer, Covadonga (2018) Remittances and vote buying. Latin American Research Review, 54 (3). pp. 689-707. ISSN 0023-8791

Goodhart, C. A. E. (2022) Book notes: a guide to good money, by Brendan Brown and Robert Pringle. Central Banking. ISSN 0960-6319

Goodhart, C. A. E. (2020) Book notes: the menace of fiscal QE, by George Selgin. Central Banking Journal, XXXI (1).

Goodhart, C. A. E. (2019) Book review: what money is and bitcoin isn’t. Financial World (April/May). pp. 57-58.

Goodhart, C. A. E. (2020) Central bank policies before and after the crisis. Journal of Banking, Finance & Sustainable Development, 1 (1). 33 - 34.

Goodhart, C. A. E. (2019) Corset put squeeze on banks. Financial World (April/May). pp. 32-33.

Goodhart, C. A. E. (2019) How competition and the end of credit control came to be. Financial World. pp. 30-32.

Goodhart, C. A. E. (2022) How did the first Monetary Policy Committee members pursue their mandate? Economics Observatory.

Goodhart, C. A. E. (2014) Lessons for monetary policy from the Euro-area crisis. Journal of Macroeconomics, 39 (Part B). pp. 378-382. ISSN 0164-0704

Goodhart, C. A. E. (2021) Letter: a simple solution to worrisome debt levels. Financial Times. ISSN 0307-1766

Goodhart, C. A. E. (2021) Misdiagnosing risk: a defense of the ‘taxi fable’. Macroprudential Matters.

Goodhart, C. A. E. (2020) No longer land of the free. Financial World. 55 - 56.

Goodhart, C. A. E. (2017) The determination of the money supply: flexibility versus control. Manchester School, 85 (S1). pp. 33-56. ISSN 1463-6786

Goodhart, C. A. E. (2022) The real problem of economic policy: monetary and fiscal policy can’t remain separate. iai News.

Goodhart, C. A. E. (2021) The state we're in. Financial World, FebApr (2021). 61 - 62.

Goodhart, C. A. E. and Ashworth, J. P. (2013) QE: a successful start may be running into diminishing returns. Oxford Review of Economic Policy, 28 (4). pp. 640-670. ISSN 0266-903X

Goodhart, C. A. E. and Ashworth, Jonathan (2020) Coronavirus panic fuels a surge in cash demand. Central Banking. ISSN 0960-6319

Goodhart, C. A. E. and Ashworth, Jonathan (2020) Coronavirus panic fuels a surge in cash demand. Central Banking Journal, XXXI (1).

Goodhart, C. A. E. and Kostoulas, Vassilis (2022) σαρλς Γκούντχαρτ στην «Κ»: Μαζί μας ο πληθωρισμός μέχρι το 2050. I Kathimerini.

Goodhart, C. A. E. and Lastra, R. M. (2020) Equity finance: matching liability to power. Journal of Financial Regulation, 6 (1). 1 - 40. ISSN 2053-4833

Goodhart, C. A. E. and Lastra, Rosa (2020) The danger of company debt and what to do about it. Financial World. 40 - 43.

Goodhart, C. A. E. and Lee, D. J. (2013) Adjustment mechanisms in a currency area. Open Economies Review, 24 (4). pp. 627-656. ISSN 0923-7992

Goodhart, C. A. E., Masciandaro, Donato and Ugolini, Stefano (2021) Helicopter money in another pandemic recession: Venice, 1630. VoxEU.

Goodhart, C. A. E., Peiris, Udara, Tsomocos, Dimitrios P. and Wang, Xuan (2022) Corporate legacy debt, inflation, and the efficacy of monetary policy. VOX EU.

Goodhart, C. A. E. and Pradhan, Manoj (2021) What may happen when central banks wake up to more persistent inflation? VOX EU.

Goodhart, Charles (2017) Architects of the euro: intellectuals in the making of European Monetary Union, edited by Kenneth Dyson and Ivo Maes / The euro and the battle of ideas, by Markus Brunnermeier, Harold James and Jean-Pierre Landau. European Journal of the History of Economic Thought, 24 (3). pp. 606-611. ISSN 0967-2567

Goodhart, Charles (2016) Beating the UK downturn: innovative fiscal policy needed to back Bank of England easing. Official Monetary and Financial Institutions Forum (OMFIF), 7 (34.1).

Goodhart, Charles (2018) Behavioural perspectives on bank misdeeds. European Journal of Finance, 24 (7-8). pp. 517-520. ISSN 1351-847X

Goodhart, Charles (2022) Ben S. Bernanke: 21st century monetary policy: the federal reserve from the great inflation to COVID-19. W.W. Norton & Company, 2022. Business Economics, 57 (4). 225 - 227. ISSN 0007-666X

Goodhart, Charles (2018) Book Review: myths and macro: macroeconomics and the Phillips curve myth by James Forder. Financial World. pp. 56-57.

Goodhart, Charles (2017) Book review of Advice & Dissent: my life in public service, by Y.V. Reddy. Financial World. pp. 57-58.

Goodhart, Charles (2017) Book review: grave new world: the end of globalisation. Financial World, AugSep. pp. 57-58.

Goodhart, Charles (2018) Book review: lo and behold. Inference, 3 (4). ISSN 2576-4403

Goodhart, Charles (2018) Book review: till time's last sand: a history of the Bank of England, 1694-2013 by David Kynaston. History of Political Economy, 50 (4). pp. 800-802. ISSN 0018-2702

Goodhart, Charles (2018) Book review: unfinished business by Tamim Bayoumi. Financial World, Jan. p. 58.

Goodhart, Charles (2018) Central bank policies in recent years. Quarterly Review, 51 (2). pp. 71-78. ISSN 1811-1254

Goodhart, Charles (1999) Central bankers and uncertainty. Bank of England Quarterly Bulletin, 39 (1). pp. 102-121. ISSN 0005-5166

Goodhart, Charles (2017) Has regulatory reform been misdirected? Journal of Financial Regulation and Compliance, 25 (3). pp. 236-240. ISSN 1358-1988

Goodhart, Charles (2010) Is a less pro-cyclical financial system an achievable goal? National Institute Economic Review, 211 (1). pp. 81-90. ISSN 0027-9501

Goodhart, Charles (2015) Linkages between macro-prudential and micro-prudential supervision. Butterworths Journal of International Banking and Financial Law, 30 (10). pp. 607-609. ISSN 0269-2694

Goodhart, Charles (2010) Money, credit and bank behaviour: need for a new approach. National Institute Economic Review, 214 (1). F73-F82. ISSN 0027-9501

Goodhart, Charles (2013) Ratio controls need reconsideration. Journal of Financial Stability, 9 (3). pp. 445-450. ISSN 1572-3089

Goodhart, Charles (2002) Technology's fine... but everyone loves cash. Accounting and Business, 5 (1). pp. 42-43. ISSN 1460-406X

Goodhart, Charles (2018) The history of the financial markets group. Financial World.

Goodhart, Charles (2017) The optimal size for central bank balance sheets. Central Banking, XXVIII (2). pp. 128-135. ISSN 0960-6319

Goodhart, Charles and Avgouleas, Emilios (2016) An anatomy of bank bail-ins – why the Eurozone needs a fiscal backstop for the banking sector. European Economy: Banks, Regulation, and the Real Sector (2). ISSN 2421-6917

Goodhart, Charles and Hudson, Michael (2018) Some ways to introduce a modern debt Jubilee. VoxEU.

Goodhart, Charles and Jensen, Meinhard (2015) Currency School versus Banking School: an ongoing confrontation. Economic Thought, 4 (2). pp. 20-31. ISSN 2049-3509

Goodhart, Charles, Kashyap, Anil K., Tsomocos, Dimitrios P. and Vardoulakis, Alexandros P. (2013) An integrated framework for analyzing multiple financial regulations. International Journal of Central Banking, 9 (Supp.1). pp. 109-144. ISSN 1815-4654

Goodhart, Charles and Lastra, R. M. (2010) Border problems. Journal of International Economic Law, 13 (3). pp. 705-718. ISSN 1369-3034

Goodhart, Charles and Lastra, Rosa (2018) Central bank accountability and judicial review. SUERF Policy Notes, 32.

Goodhart, Charles and Lastra, Rosa (2017) Populism and central bank independence. Open Economies Review, 29 (1). pp. 49-68. ISSN 0923-7992

Goodhart, Charles and Lastra, Rosa (2023) The changing and growing roles of independent central banks now do require a reconsideration of their mandate. Accounting, Economics and Law: A Convivium. ISSN 2152-2820

Goodhart, Charles and Lim, Wen Bin (2011) Interest rate forecasts: a pathology. International Journal of Central Banking, 7 (2). pp. 135-171. ISSN 1815-4654

Goodhart, Charles and Ostergaard, Charlotte (1999) Guest editorial. Journal of Financial Regulation and Compliance, 6 (4). pp. 302-303. ISSN 1358-1988

Goodhart, Charles and Pappa, Evi (2003) The transition from national currencies to the Euro. Economics Letters, 79 (1). pp. 83-88. ISSN 0165-1765

Goodhart, Charles, Peiris, M. U., Tsomocos, D. P. and Vardoulakis, A. P. (2010) On dividend restrictions and the collapse of the interbank market. Annals of Finance, 6 (4). pp. 455-473. ISSN 1614-2446

Goodhart, Charles, Peiris, M. U. and Tsomocos, Dimitrios P. (2018) Debt, recovery rates and the Greek dilemma. Journal of Financial Stability. ISSN 1572-3089

Goodhart, Charles, Peiris, M. U. and Tsomocos, Dimitrios P. (2013) Global imbalances and taxing capital flows. International Journal of Central Banking, 9 (2). pp. 13-44. ISSN 1815-4654

Goodhart, Charles and Schoenmaker, Dirk (2016) The global investment banks are now all becoming American: does that matter for Europeans? Journal of Financial Regulation. fjw012. ISSN 2053-4833

Goodhart, Charles, Sunirand, P. and Tsomocos, D. P. (2009) The optimal monetary instrument for prudential purposes. Journal of Financial Stability, 7 (2). pp. 70-77. ISSN 1572-3089

Goodhart, Charles and Wood, Geoffrey (2016) Quite erroneous policy: bond-buying has little impact on real economy. OMFIF Bulletin, 7 (9). p. 13.

Goodhart, Charles and Wood, Geoffrey (2016) The internal contradictions of QE ... or should it be quite erroneous? The Telegraph.

Goodhart, Charles A. E. (2016) Determining the quantity of bank deposits. Banking Perspective, 4 (2).

Goodhart, Charles A. E. (2016) Whither central banking? Central banking in times of change: A compilation of speeches delivered in the OeNB’s 200th anniversary year. pp. 28-31. ISSN 2309-3323

Gordon, Elizabeth A., Henry, Elaine, Jorgensen, Bjorn N. and Linthicum, Cheryl L. (2017) Flexibility in cash-flow classification under IFRS: determinants and consequences. Review of Accounting Studies, 22 (2). pp. 839-872. ISSN 1380-6653

Gordon, Ian R. (2016) Quantitative easing of an international financial centre:how central London came so well out of the post-2007 crisis. Cambridge Journal of Regions, Economy and Society, 9 (2). pp. 335-353. ISSN 1752-1378

Gorman, Larry R. and Jorgensen, Bjorn N. (2002) Domestic versus international portfolio selection: a statistical examination of the home bias. Multinational Finance Journal, 6 (3-4). pp. 131-166. ISSN 1069-1879

Gottardi, Piero and Rahi, Rohit (2013) Risk sharing and retrading in incomplete markets. Economic Theory, 54 (2). pp. 287-304. ISSN 0938-2259

Gottardi, Piero and Rahi, Rohit ORCID: 0000-0001-6887-9160 (2014) Value of information in competitive economies with incomplete markets. International Economic Review, 55 (1). 57 - 81. ISSN 0020-6598

Gottlieb, Daniel ORCID: 0000-0002-0555-6185 and Smetters, Kent (2021) Lapse-based insurance. American Economic Review, 111 (8). 2377 - 2416. ISSN 0002-8282

Gough, Orla and Niza, Claudia (2011) Retirement saving choices: review of the literature and policy implications. Journal of Population Ageing, 4 (1-2). pp. 97-117. ISSN 1874-7884

Gourinchas, Pierre-Olivier, Philippon, Thomas and Vayanos, Dimitri (2017) The analytics of the Greek crisis. NBER Macroeconomics Annual, 31 (1). pp. 1-81. ISSN 0889-3365

Gozman, Daniel, Liebenau, Jonathan and Aste, Tomaso (2020) A case study of using blockchain technology in regulatory technology. MIS Quarterly Executive, 19 (1). 19 - 37. ISSN 1540-1960

Gozman, Daniel, Liebenau, Jonathan and Mangan, Jonathan (2018) Innovation mechanisms of fintech start-ups: insights from SWIFT Innotribe competition. Journal of Management Information Systems, 35 (1). 145 - 179. ISSN 0742-1222

Grant, Jeremy, Kirchmaier, Thomas ORCID: 0000-0002-8938-2206 and Kirshner, Jodie A. (2009) Financial tunnelling and the mandatory bid rule. European Business Organization Law Review, 10 (2). pp. 233-253. ISSN 1566-7529

Greene, Catherine (2019) Differential information, arbitrage, and subjective value. Topoi. ISSN 0167-7411

Greenwood, Robin and Vayanos, Dimitri (2014) Bond supply and excess bond returns. Review of Financial Studies, 27 (3). 663 - 713. ISSN 0893-9454

Greenwood, Robin and Vayanos, Dimitri (2010) Price pressure in the government bond market. American Economic Review, 100 (2). pp. 585-590. ISSN 0002-8282

Griffith-Jones, Stephany and Naqvi, Natalya (2021) Industrial policy and risk sharing in public development banks: lessons for the post-COVID response from the EIB and EFSI. Revista de Economia Mundial (59). 67 - 91. ISSN 1576-0162

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Sierra, Jazmin and Hochstetler, Kathryn ORCID: 0000-0003-2960-058X (2017) Transnational activist networks and rising powers: transparency and environmental concerns in the Brazilian National Development Bank. International Studies Quarterly, 61 (4). 760 - 773. ISSN 0020-8833

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Spatareanu, Mariana, Manole, Vlad and Kabiri, Ali (2022) The real effects of banks nationalization–evidence from the UK. Applied Economics Letters, 29 (7). 579 - 583. ISSN 1350-4851

Spatareanu, Mariana, Manole, Vlad, Kabiri, Ali and Roland, Isabelle (2023) Bank default risk propagation along supply chains: evidence from the U.K. International Review of Economics and Finance, 84. 813 - 831. ISSN 1059-0560

Spielberger, Lukas and Voss, Dustin ORCID: 0000-0001-5329-2682 (2022) Financial adjustment as a driver of growth model change: a balance-sheet approach to comparative political economy. Comparative European Politics. ISSN 1472-4790

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Storper, Michael ORCID: 0000-0002-8354-792X (2014) Commentary on 2013 Roepke lecture financial literacy in context. Economic Geography, 90 (1). pp. 25-27. ISSN 0013-0095

Suh, Ellie (2022) Can't save or won't save: financial resilience and discretionary retirement saving among British adults in their thirties and forties. Ageing and Society, 42 (12). 2940 - 2967. ISSN 0144-686X

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Szumilo, Nikodem and Vanino, Enrico (2021) Are government and bank loans substitutes or complements? Evidence from spatial discontinuity in equity loans. Real Estate Economics, 49 (3). 968 - 996. ISSN 1080-8620

Tambini, Damian (2010) Beyond the great crash of 2008: questioning journalists’ legal and ethical frameworks. Ethical Space: the International Journal of Communication Ethics, 7 (3). ISSN 1742-0105

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Tan, Veltrice (2018) The art of deterrence: Singapore’s anti-money laundering regimes. Journal of Financial Crime, 25 (2). pp. 467-498. ISSN 1359-0790

Taschini, Luca ORCID: 0000-0001-5355-1736, Chesney, Marc and Wang, Mei (2014) Experimental comparison between markets on dynamic permit trading and investment in irreversible abatement with and without non-regulated companies. Journal of Regulatory Economics, 46 (1). pp. 23-50. ISSN 0922-680X

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Thomopoulos, Nikolas and Takama, Takeshi (2010) Road user charging in rural areas: Upper Derwent valley, UK. Proceedings of the ICE - Transport, 163 (2). pp. 93-107. ISSN 0965-092X

Thomä, Jakob, Murray, Clare, Jerosch-Herold, Vincent and Magdanz, Janina (2019) Do you manage what you measure? Investor views on the question of climate actions with empirical results from the Swiss pension fund and insurance sector. Journal of Sustainable Finance and Investment, 11 (1). pp. 47-61. ISSN 2043-0795

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Towning, William and Goodhart, C. A. E. (2019) Fed's floor could be 'junked' if credit surges - Goodhart. Central Banking. ISSN 0960-6319

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Tungsong, S., Caccioli, F. and Aste, T. (2018) Relation between regional uncertainty spillovers in the global banking system. Journal of Network Theory in Finance, 4 (2). pp. 1-23. ISSN 2055-7795

Turiel, Jeremy D. and Aste, Tomaso (2022) Heterogeneous criticality in high frequency finance: a phase transition in flash crashes. Entropy, 24 (2). ISSN 1099-4300

Tuytens, Pieter (2019) Countering financial interests for social purposes: what drives state intervention in pension markets in the context of financialisation? Journal of European Public Policy, 26 (4). pp. 560-578. ISSN 1350-1763

Tzougas, George and Makariou, Despoina (2022) The multivariate Poisson-Generalized Inverse Gaussian claim count regression model with varying dispersion and shape parameters. Risk Management and Insurance Review, 25 (4). 401 - 417. ISSN 1098-1616

Tzougas, George, Yik, Woo Hee and Mustaqeem, Muhammad Waqar (2019) Insurance ratemaking using the Exponential-Lognormal regression model. Annals of Actuarial Science. 1 - 30. ISSN 1748-4995

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Van Overbeke, Toon ORCID: 0000-0002-0620-9943 (2022) (De)regulating automation: the rise of credit scoring and market-led banking in the UK and Germany. Comparative European Politics. ISSN 1472-4790

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Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2011) Optimal investment in the foreign exchange market with proportional transaction costs. Quantitative Finance, 11 (4). pp. 631-640. ISSN 1469-7688

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Volckart, Oliver (2003) Early beginnings of the quantity theory of money and their context in Polish and Prussian monetary policies. Economic History Review, 50 (3). pp. 430-449. ISSN 0013-0117

Volckart, Oliver (2006) Estimating financial integration in the Middle Ages: what can we learn from a TAR Model? Journal of Economic History, 66 (1). pp. 122-139. ISSN 0022-0507

Volckart, Oliver (2017) Power politics and princely debts: why Germany's common currency failed, 1549-56. Economic History Review, 70 (3). pp. 758-778. ISSN 0013-0117

Vollmer, Hendrik, Mennicken, Andrea and Preda, Alex (2009) Tracking the numbers: across accounting and finance, organizations and markets. Accounting, Organizations and Society, 34 (5). pp. 619-637. ISSN 0361-3682

Volta, Vittoria and Aste, Tomaso (2022) Causal coupling between European and UK markets triggered by announcements of monetary policy decisions. Royal Society Open Science, 9 (3). ISSN 2054-5703

Wade, Robert H. (2016) Boulevard to broken dreams, part 2: implementation of the Polonoroeste road project in the Brazilian Amazon, and the World Bank's response to the gathering storm. Brazilian Journal of Political Economy, 36 (3). pp. 646-663. ISSN 1809-4538

Wade, Robert H. and Vestergaard, Jakob (2015) Why is the IMF at an impasse, and what can be done about it? Global Policy, 6 (3). pp. 290-296. ISSN 1758-5880

Wade, Robert Hunter (2011) Muddy waters: inside the World Bank as it struggled with the Narmada projects. Economic and Political Weekly, 46 (40). pp. 44-45. ISSN 0012-9976

Wade, Robert Hunter (2012) The politics behind World Bank statistics the case of China's income. Economic and Political Weekly, 47 (25). pp. 17-18. ISSN 0012-9976

Wade, Robert Hunter (2010) The state of the World Bank. Challenge, 53 (4). pp. 43-67. ISSN 0577-5132

Wade, Robert Hunter and Sigurgeirsdottir, Silla (2011) Iceland's meltdown: the rise and fall of international banking in the North Atlantic. Revista de Economia Politica, 31 (5). pp. 684-697. ISSN 0101-3157

Wallis, Patrick ORCID: 0000-0003-1434-515X, Colson, Justin and Chilosi, David (2018) Structural change and economic growth in the British economy before the Industrial Revolution, 1500-1800. Journal of Economic History, 78 (3). 862 - 903. ISSN 0022-0507

Wang, Xiaonan and Wang, Yan (2022) Too cynical: why the stock market in China dimissed initial anticorruption signals. Journal of Chinese Political Science, 27 (4). 681 - 717. ISSN 1080-6954

Wansleben, Leon (2014) Consistent forecasting vs. anchoring of market stories: two cultures of modeling and model use in a bank. Science in Context, 27 (04). pp. 605-630. ISSN 0269-8897

Wansleben, Leon (2012) Heterarchien, codes und kalküle: beitrag zu einer soziologie des algo trading. (Heterarchies, codes and calculi. contribution to a sociology of algo trading). Soziale Systeme, 18 (1/2). pp. 225-259. ISSN 0948-423X

Wansleben, Leon (2018) How expectations became governable: institutional change and the performative power of central banks. Theory and Society. ISSN 0304-2421

Webb, David C. (2009) Asymmetric information, long-term care insurance, and annuities: the case for bundled contracts. Journal of Risk and Insurance, 76 (1). pp. 53-85. ISSN 0022-4367

Webb, David C. (2011) Book review: balancing the banks: global lessons from the financial crisis. Review 2. The Economic Journal, 121 (550). F111-F118. ISSN 0013-0133

Webb, David C. (2011) Pension plan funding, technology choice, and the equity risk premium. Scandinavian Journal of Economics, 113 (3). pp. 493-524. ISSN 0347-0520

Webb, David C. (2000) The impact of liquidity constraints on bank lending policy. The Economic Journal, 110 (460). pp. 69-91. ISSN 0013-0133

Wehner, Joachim (2003) Principles and patterns of financial scrutiny: Public Accounts Committees in the Commonwealth. Commonwealth and Comparative Politics, 41 (3). pp. 21-36. ISSN 1466-2043

Werle, Nick (2015) A microeconomic model of opportunistic financial crimes: prosecutorial strategy when firms are too big to jail. Procedia Economics and Finance, 28. pp. 76-84. ISSN 2212-5671

West, Anne ORCID: 0000-0003-2932-7667 and Barham, Eleanor (2010) L'impact de la crise financière sur la politique d'éducation supérieure au Royaume-Uni. Economies et Sociétés, 43. pp. 627-644. ISSN 0013-0567

Whitehead, Christine M. E. (2009) Book review: borrowing to live: consumer and mortgage credit revisited. Housing Studies, 24 (6). pp. 843-844. ISSN 0267-3037

Willcocks, Leslie P. ORCID: 0000-0003-2572-9554 (2007) Offshore, nearshore, bestshore - are you sure? Mutual Fund Technologies Focus, Winter (2007). pp. 54-56.

Willman, Paul, Fenton-O'Creevy, Mark, Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2002) Traders, managers and loss aversion in investment banking: a field study. Accounting, Organizations and Society, 27 (1-2). pp. 85-98. ISSN 0361-3682

Willman, Paul, Fenton-O'Creevy, Mark P., Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2001) Knowing the risks: theory and practice in financial market trading. Human Relations, 54 (7). pp. 887-910. ISSN 1741-282X

Willman, Paul, Fenton-O’Creevy, Mark, Nicholson, Nigel and Soane, Emma ORCID: 0000-0001-6090-1212 (2006) Noise trading and the management of operational risk; firms, traders and irrationality in financial markets. Journal of Management Studies, 43 (6). pp. 1357-1374. ISSN 0022-2380

Wilson, Leslie, Turkistani, Fatema, Tran, Dang M., Huang, Wei and Lin, Tracy Kuo (2019) Financial impact of alternative pricing benchmarks for physician-dispensed drugs in the California workers’ compensation system. Applied Health Economics and Health Policy, 17 (2). pp. 231-242. ISSN 1175-5652

Witney, Simon (2017) The Private Fund Limited Partnership: a new fund vehicle for the UK. Journal of Investment Compliance, 18 (3). pp. 75-78. ISSN 1528-5812

Wolf, Nikolaus and Ritschl, Albrecht O. (2011) Endogeneity of currency areas and trade blocs: evidence from a natural experiment. Kyklos, 64 (2). pp. 291-312. ISSN 0023-5962

Wollner, Gabriel (2013) Justice in finance: the normative case for an international financial transaction tax. Journal of Political Philosophy, 22 (4). pp. 458-485. ISSN 0963-8016

Wong, Shiu Fung, Tong, Howell, Siu, Tak Kuen and Lu, Zudi (2017) A new multivariate nonlinear time series model for portfolio risk measurement: the threshold copula-based TAR approach. Journal of Time Series Analysis, 38 (2). pp. 243-265. ISSN 0143-9782

Woodruff, David M. ORCID: 0000-0001-7503-8052 (2019) To democratize finance, democratize central banking. Politics & Society, 47 (4). pp. 593-610. ISSN 0032-3292

Worthington, Sarah (2010) Insolvency deprivation, public policy and priority flip clauses. International Corporate Rescue, 7 (1). pp. 28-39. ISSN 1572-4638

Wright, Christopher (2005) Book review: 'the IMF and the politics of financial globalization: from the Asian crisis to a new international financial architecture? by Ben Thirkell-White'. Law, Social Justice and Global Development Journal (LGD), 9 (1). ISSN 1467-0437

Xing, Hao (2017) Stability of the exponential utility maximization problem with respect to preferences. Mathematical Finance, 27 (1). pp. 38-67. ISSN 0960-1627

Yadav, Pradeep K. and Pope, Peter (1994) Stock index futures mispricing: profit opportunities or risk premia? Journal of Banking and Finance, 18 (5). pp. 921-953. ISSN 0378-4266

Young, Kevin (2009) Book review: banking regulation and globalization. Western European Politics, 32 (6). pp. 1285-1286. ISSN 0140-2382

Young, Kevin (2009) Book review: central banking governance in the European Union: a comparative analysis. Governance, 22 (3). pp. 518-520. ISSN 0952-1895

Young, Kevin (2009) Encouraging signs of reform among world firefighters. Financial Times (19 Mar). ISSN 0307-1766

Young, Kevin (2009) Financial governance and the limits to transnational risk regulation. Risk and Regulation (Summer). pp. 13-14. ISSN 1473-6004

Young, Kevin (2006) Private generosity and public regulation: understanding the Canadian chartered banks' philanthropic efforts in historical context. Innovations: a Journal of Politics, 6. pp. 33-52. ISSN 1480-6347

Young, Kevin (2008) The bubble is a splendid example of markets working too well. Financial Times (23 Oct). ISSN 0307-1766

Young, S. Mark, Gong, James J. and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2012) Using real options to make decisions in the motion picture industry. Strategic Finance. pp. 53-59. ISSN 1524-833X

Young, S. Mark, Gong, James J. and Van der Stede, Wim ORCID: 0000-0003-3005-2410 (2008) The business of making movies. Strategic Finance, 89 (8). pp. 26-32. ISSN 1524-833X

Young, S. Mark, Gong, James J., Van der Stede, Wim ORCID: 0000-0003-3005-2410, Sandino, Tatiana and Du, Fei (2008) The business of selling movies. Strategic Finance, 89 (9). pp. 35-41. ISSN 1524-833X

Yuan, Kathy (2005) Asymmetric price movements and borrowing constraints: a rational expectations equilibrium model of crises, contagion, and confusion. Journal of Finance, 60 (1). pp. 379-411. ISSN 0022-1082

Yuan, Kathy (2011) Learning and complementarities in speculative attacks. Review of Economic Studies, 78 (1). pp. 263-292. ISSN 0034-6527

Yuan, Kathy (2005) The liquidity service of benchmark securities. Journal of the European Economic Association, 3 (5). pp. 1156-1180. ISSN 1542-4774

Yuan, Kathy, Zheng, Liu and Zhu, Qiaoqiao (2006) Are investors moonstruck?: lunar phases and stock returns. Journal of Empirical Finance, 13 (1). pp. 1-23. ISSN 0927-5398

Zachariadis, Markos, Hileman, Garrick and Scott, Susan V. ORCID: 0000-0002-8775-9364 (2019) Governance and control in distributed ledgers: understanding the challenges facing blockchain technology in financial services. Information and Organization, 29 (2). pp. 105-117. ISSN 1471-7727

Zagelmeyer, Stefan and Gollan, Paul J. (2012) Exploring terra incognita: preliminary reflections on the impact of the global financial crisis upon human resource management. International Journal of Human Resource Management, 23 (16). pp. 3287-3294. ISSN 0958-5192

Zenghelis, Dimitri (2010) Copenhagen discord: bottom-up investing in a globallandscape. Journal of Environmental Investing, 1 (1).

Zenghelis, Dimitri (2012) Restoring growth and confidence through green innovation. E!Sharp.

Zhang, Qi (2017) The Balassa–Samuelson relationship: services, manufacturing and product quality. Journal of International Economics, 106. pp. 55-82. ISSN 0022-1996

Zhang, Shengxing ORCID: 0000-0002-1475-2188 (2018) Liquidity misallocation in an over-the-counter market. Journal of Economic Theory, 174. pp. 16-56. ISSN 0022-0531

Zhiguo, He and Kondor, Peter (2016) Inefficient investment waves. Econometrica, 84 (2). 735 - 780. ISSN 0012-9682

Zhong, Hongda (2021) A dynamic model of optimal creditor dispersion. The Journal of Finance, 76 (1). 267 - 316. ISSN 0022-1082

Zucman, Gabriel (2014) Taxing across borders: tracking personal wealth and corporate profits. Journal of Economic Perspectives, 28 (4). pp. 121-148. ISSN 0895-3309

de Grauwe, Paul (2002) Book review: central banking as art or science?: lessons from the Fed and the ECB. International Finance, 5 (1). pp. 129-137. ISSN 1367-0271

de Grauwe, Paul (2008) Book review: on the need to renovate the Eurozone. International Finance, 11 (3). pp. 327-333. ISSN 1367-0271

de Grauwe, Paul (2008) Book review: the risks of being chairman in the age of turbulence. International Finance, 11 (1). pp. 109-115. ISSN 1367-0271

de Grauwe, Paul (2002) Challenges for monetary policy in Euroland. Journal of Common Market Studies, 40 (4). pp. 693-718. ISSN 1747-5244

de Grauwe, Paul (2009) The Euro at ten: achievements and challenges. Empirica, 36 (1). pp. 5-20. ISSN 0340-8744

de Grauwe, Paul (2013) The European Central Bank as lender of last resort in the government bond markets. CESifo Economic Studies, 59 (3). pp. 520-535. ISSN 1610-241X

de Grauwe, Paul (2000) Exchange rates in search of fundamentals: the case of the euro-dollar rate. International Finance, 3 (3). pp. 329-356. ISSN 1367-0271

de Grauwe, Paul (2010) Fighting the wrong enemy. VoxEU.

de Grauwe, Paul (2006) Flaws in the design of the Eurosystem? International Finance, 9 (1). pp. 137-144. ISSN 1367-0271

de Grauwe, Paul (2009) Gains for all: a proposal for a common Euro bond. Intereconomics, 44 (3). pp. 132-141. ISSN 0020-5346

de Grauwe, Paul (2010) How to embed the Eurozone in a political union. VoxEU.

de Grauwe, Paul (2003) La mondialisation met-elle en péril la sécurité sociale? Problemes Economiques, 2801-2. pp. 67-70. ISSN 0032-9304

de Grauwe, Paul (2012) Lessons from the Eurocrisis for East Asian monetary relations. World Economy, 35 (4). pp. 405-418. ISSN 0378-5920

de Grauwe, Paul (2009) Lessons from the banking crisis: a return to narrow banking. CESifo Dice Report, 7 (2). pp. 19-23. ISSN 1612-0663

de Grauwe, Paul (2006) On monetary and political union. CESifo Forum, 4. pp. 3-10. ISSN 1615-245X

de Grauwe, Paul (2010) Quelle gouvernance pour la zone Euro? Revue d'économie Financière, 100. ISSN 1777-5744

de Grauwe, Paul (2010) The fragility of the Eurozone’s institutions. Open Economies Review, 21 (1). pp. 167-174. ISSN 0923-7992

de Grauwe, Paul (2012) The governance of a fragile eurozone. Australian Economic Review, 45 (3). pp. 255-268. ISSN 0004-9018

de Grauwe, Paul (2016) The legacy of the Eurozone crisis and how to overcome it. Journal of Empirical Finance, 39 (B). pp. 147-155. ISSN 0927-5398

de Grauwe, Paul and Camerman, Filip (2003) Are multinationals really bigger than nations? World Economics, 4 (2). pp. 23-37. ISSN 1468-1838

de Grauwe, Paul and Foresti, Pasquale (2016) Fiscal rules, financial stability and optimal currency areas. Economics Letters, 145 (C). pp. 278-281. ISSN 0165-1765

de Grauwe, Paul and Gerba, Eddie (2017) Monetary transmission under competing corporate finance regimes = Transmisión monetaria bajo regímenes alternativos de finanzas corporativas. Ensayos Sobre Política Económica, 35 (82). pp. 78-100. ISSN 0120-4483

de Grauwe, Paul and Grimaldi, Marianna (2006) Exchange rate puzzles: a tale of switching attractors. European Economic Review, 50 (1). pp. 1-33. ISSN 0014-2921

de Grauwe, Paul and Grimaldi, Marianna (2002) Exchange rate regimes and financial vulnerability. EIB Papers, 7 (2). pp. 33-48. ISSN 0257-7755

de Grauwe, Paul and Grimaldi, Marianna (2005) Heterogeneity of agents, transactions costs and the exchange rate. Journal of Economic Dynamics and Control, 29 (4). pp. 691-719. ISSN 0165-1889

de Grauwe, Paul and Grimaldi, Marianna (2005) The exchange rate and its fundamentals in a complex world. Review of International Economics, 13 (3). pp. 549-575. ISSN 0965-7576

de Grauwe, Paul and Grimaldi, Marianna (2001) The mystery of the decline of the euro. Aussenwirtschaft, 56 (iv). pp. 459-476. ISSN 0004-8216

de Grauwe, Paul and Ji, Yuemei (2013) Self-fulfilling crises in the Eurozone: an empirical test. Journal of International Money and Finance, 34. pp. 15-36. ISSN 0261-5606

de Grauwe, Paul and Macchiarelli, Corrado (2015) Animal spirits and credit cycles. Journal of Economic Dynamics and Control, 59. pp. 95-117. ISSN 0165-1889

de Grauwe, Paul and Markiewicz, Agnieszka (2013) Learning to forecast the exchange rate: two competing approaches. Journal of International Money and Finance, 32. pp. 42-76. ISSN 0261-5606

de Grauwe, Paul, Mayer, Thomas and Lannoo, Karel (2008) Lessons from the financial crisis: new rules for central banks and credit rating agencies? Intereconomics, 43 (5). pp. 256-266. ISSN 0020-5346

de Grauwe, Paul and Rovira Kaltwasser, Pablo (2012) Animal spirits in the foreign exchange market. Journal of Economic Dynamics and Control, 36 (8). pp. 1176-1192. ISSN 0165-1889

de Grauwe, Paul and Schnabl, Gunther (2004) EMU entry strategies for the new member states. Intereconomics, 39 (5). pp. 241-246. ISSN 0020-5346

de Grauwe, Paul and Schnabl, Gunther (2008) Exchange rate stability, inflation, and growth in (South) Eastern and Central Europe. Review of Development Economics, 12 (3). pp. 530-549. ISSN 1363-6669

de Grauwe, Paul and Senegas, Marc-Alexandre (2004) Asymmetries in monetary policy transmission: some implications for EMU and its enlargement. Journal of Common Market Studies, 42 (4). pp. 757-773. ISSN 0021-9886

de Grauwe, Paul and Senegas, Marc-Alexandre (2006) Monetary policy design and transmission asymmetry in EMU: does uncertainty matter? European Journal of Political Economy, 22 (4). pp. 787-808. ISSN 0176-2680

de Grauwe, Paul and Skudelny, Frauke (2000) The impact of EMU on trade flows. Weltwirtschaftliches Archiv, 136 (3). pp. 381-402. ISSN 0043-2636

de Grauwe, Paul and Vansteenkiste, Isabel (2007) Exchange rates and fundamentals: a non-linear relationship? International Journal of Finance and Economics, 12 (1). pp. 37-54. ISSN 1076-9307

de Meza, David (1980) LDC policy towards multinationals: a case for payroll taxes and capital subsidies. Economics Letters, 5 (4). pp. 367-370. ISSN 0165-1765

de Meza, David (1977) Multinational corporations in LDCs: a comment. Oxford Bulletin of Economics and Statistics, 39 (3). pp. 237-241. ISSN 0305-9049

de Meza, David (1983) The transfer problem in a many-country world - is it better to give than receive? Manchester School, 51 (3). pp. 266-273. ISSN 1463-6786

de Meza, David and Black, Jane (1994) The nature of credit market failure. Economics Letters, 46 (3). pp. 243-249. ISSN 0165-1765

de Meza, David and Lockwood, Ben (2004) Spillovers, investment incentives and the property rights theory of the firm. Journal of Industrial Economics, 52 (2). pp. 229-253. ISSN 0022-1821

de Meza, David and Lockwood, Ben (2010) Too much investment?: a problem of endogenous outside options. Games and Economic Behavior, 69 (2). pp. 503-511. ISSN 0899-8256

de Meza, David, Maloney, John and Myles, Gareth D. (1995) Price reducing taxtion. Economics Letters, 47 (1). pp. 77-81. ISSN 0165-1765

de Meza, David and Selvaggi, Mariano (2007) Exclusive contracts foster relationship-specific investment. RAND Journal of Economics, 38 (1). pp. 85-97. ISSN 0741-6261

de Meza, David and Webb, David C. (2001) Advantageous selection in insurance markets. RAND Journal of Economics, 32 (2). pp. 249-262. ISSN 0741-6261

de Meza, David and Webb, David C. (1988) Credit market efficiency and tax policy in the presence of screening costs. Journal of Public Economics, 36 (1). pp. 1-22. ISSN 0047-2727

de Meza, David and Webb, David C. (1992) Efficent credit rationing. European Economic Review, 36 (6). pp. 1277-1290. ISSN 0014-2921

de Meza, David and Webb, David C. (2017) False diagnoses: pitfalls of testing for asymmetric information in insurance markets. The Economic Journal, 127 (606). 2358 - 2377. ISSN 0013-0133

de Meza, David and von Ungern-Sternberg, T. (1980) Market structure and optimal stockholding: a note. Journal of Political Economy, 88 (2). pp. 395-399. ISSN 0022-3808

de Quidt, Jonathan, Fetzer, Thiemo and Ghatak, Maitreesh (2018) Market structure and borrower welfare in microfinance. The Economic Journal, 128 (610). pp. 1019-1046. ISSN 0013-0133

de Quidt, Jonathan and Ghatak, Maitreesh (2018) Is the credit worth it? For-profit lenders in microfinance with rational and behavioral borrowers. Annals of Public and Cooperative Economics, 89 (1). pp. 175-199. ISSN 1370-4788

von Stumm, Sophie, Fenton O’Creevy, Mark and Furnham, Adrian (2013) Financial capability, money attitudes and socioeconomic status: risks for experiencing adverse financial events. Personality and Individual Differences, 54 (3). pp. 344-349. ISSN 0191-8869

Çetin, Umut ORCID: 0000-0001-8905-853X (2018) Financial equilibrium with asymmetric information and random horizon. Finance and Stochastics, 22 (1). pp. 97-126. ISSN 0949-2984

Çetin, Umut ORCID: 0000-0001-8905-853X and Danilova, Albina (2016) Markovian Nash equilibrium in financial markets with asymmetric information and related forward-backward systems. Annals of Applied Probability, 26 (4). pp. 1996-2029. ISSN 1050-5164

Úbeda, Fernando, Forcadell, Francisco Javier, Aracil, Elisa and Mendez, Alvaro ORCID: 0000-0002-0919-5081 (2022) How sustainable banking fosters the SDG 10 in weak institutional environments. Journal of Business Research, 146. 277 - 287. ISSN 0148-2963

Úbeda, Fernando, Mendez, Alvaro ORCID: 0000-0002-0919-5081 and Martínez, Francisco Javier Forcadell (2023) The sustainable practices of multinational banks as drivers of financial inclusion in developing countries. Finance Research Letters, 51. ISSN 1544-6123

Book Section

(2007) Accounts and reports. In: Birds, John, (ed.) Annotated Companies Acts. Oxford University Press, Oxford, UK. ISBN 9780199211746

(2003) EMU or ostrich? -. In: Submissions on Emu From Leading Academics. HMSO, London, pp. 23-42. ISBN 9780118490054

(2016) European banking union. In: New Palgrave dictionary of economics. Palgrave Macmillan, London, UK. ISBN 9781349951215

(2002) Financing of the new partnership for Africa's development (NEPAD). In: Anyang' Nyong'o, Peter, Ghirmazion, Aseghedech and Davinder, Lamba, (eds.) New Partnership for Africa's Development, Nepad : a New Path? Heinrich Böll Foundation, Regional Office, East and Horn of Africa, Nairobi, Kenya, pp. 105-118. ISBN 9966977201

(2007) Statutory auditors. In: Birds, John, (ed.) Annotated Companies Acts. Oxford University Press, Oxford, UK. ISBN 9780199211746

Accominotti, Olivier (2016) Foreign exchange markets and currency speculation: historical perspectives. In: Chambers, David and Dimson, Elroy, (eds.) Financial Market History: Reflections on the Past for Investors Today. CFA Institute Research Foundation, London, UK, pp. 66-85. ISBN 9781944960131

Accominotti, Olivier (2019) International monetary regimes: the interwar gold exchange standard. In: Battilossi, Stefano, Cassis, Yousseff and Yago, Kazuhiko, (eds.) Springer Handbook of the History of Money and Currency. Springer Singapore, Singapore. ISBN 9789811305955

Accominotti, Olivier and Ugolini, Stefano (2019) International trade finance from the origins to the present: market structures, regulation, and governance. In: Brousseau, Eric, Glachant, Jean-Michel and Sgard, Jérôme, (eds.) The Oxford Handbook of Institutions of International Economic Governance and Market Regulation. Oxford Handbooks Online. Oxford University Press, Oxford, UK. ISBN 9780190900571 (In Press)

Aghion, Philippe and Burgess, Robin (1993) Financing in Eastern Europe and the former Soviet Union : issues and institutional support. In: Das, D K, (ed.) International Finance - Contemporary Issues. Routledge, London and New York, pp. 101-128. ISBN 0-41-509280-9

Aghion, Philippe, Burgess, Robin and Mayer, C (Dis.) (1993) Financing and development in Eastern Europe and the former Soviet Union - issues and institutional support. In: Giovannini, A, (ed.) Finance and Development - Issues and Experience. Cambridge University Press, Cambridge, pp. 303-342. ISBN 0-52-144017-3

Alemany, Luisa and Scarlata, Mariarosa (2010) Philanthropic venture capital: a new model of financing for social entrepreneurs. In: Cumming, Douglas J., (ed.) Venture Capital: Investment Strategies, Structures, and Policies. John Wiley & Sons, Hoboken, New Jersey, USA, pp. 131-150. ISBN 978047049914-6

Amiel, Yoram and Cowell, Frank (2002) Attitudes towards risk and inequality : a questionnaire-experimental approach. In: Andersson, Fredrik and Holm, Hakan J, (eds.) Experimental Economics : Financial Markets, Auctions and Decision Making. Kluwer Academic, Boston, Mass., pp. 85-115. ISBN 0-792376412

Anderson, Ronald (2003) Capital structure, firm liquidity and growth. In: Butzen, Paul and Fuss, Catherine, (eds.) Firms' Investment and Finance Decisions. Edward Elgar, p. 352.

Anderson, Ronald W. (2002) Enterprise restructuring and banking reform: lessons from Eastern Europe since 1990. In: Dwyer, Gerald P., Lin, Jin-Lung, Shea, Jin-Dong and Wu, Chung-Shu, (eds.) Monetary Policy and Taiwan's Economy. Academia studies in Asian economies. Edward Elgar, Cheltenham, UK. ISBN 9781840649864

Anderson, Ronald W. and McKay, Kenneth (2008) Derivatives markets. In: Freixas, Xavier, Hartmann, Philipp and Mayer, Colin, (eds.) Handbook of European Financial Markets and Institutions. Oxford University Press, New York, USA, pp. 568-596. ISBN 9780199229956

Anderson, Ronald W. and Steinherr, Alfred (2001) The next ten years of monetary relations in Asia. In: Lamfalussy, Alexandre, Snoy, Bernard and Wilson, Jérôme, (eds.) Fragility of the International Finance System. International financial relations. Peter Lang, Oxford, UK, pp. 61-72. ISBN 9789052019666

Anheier, Helmut K. and Mertens, Sybille (2003) International and European perspectives on the non-profit sector: data, theory and statistics. In: The Non-Profit Sector in a Changing Economy. OECD Publications, Paris, France, pp. 269-292. ISBN 9789264199538

Armada, Manuel J. Rocha and Sousa, Ricardo M. (2012) Can the wealth-to-income ratio be a useful predictor in alternative finance? Evidence from the housing risk premium. In: Jawadi, Fredj and Barnett, William A., (eds.) Recent developments in alternative finance: empirical assessments and economic implications. International symposia in economic theory and econometrics (22). Emerald Group Publishing Limited, Bingley, UK, pp. 67-79. ISBN 9781781903995

Austin, Gareth and Sugihara, Kaoru (1993) Indigenous credit institutions in West Africa, c.1750 - c.1960. In: Local Suppliers of Credit in the Third World, 1750 - 1960. Palgrave Macmillan, Basingstoke, UK, pp. 93-159. ISBN 9780312085599

Austin, Gareth and Sugihara, Kaoru (1993) Introduction: Local suppliers of credit in the Third World, 1750-1960. In: Local Suppliers of Credit in the Third World, 1750-1960. Palgrave Macmillan, Basingstoke, UK, pp. 1-25. ISBN 9780312085599

Avrahampour, Yally (2007) Introduction: Pension funds and their advisors. In: Pension Funds and Their Advisers. AP Information Services, London, UK. ISBN 978905366521

Awrey, Dan and Kershaw, David (2014) Toward a more ethical culture in finance: regulatory and governance strategies. In: Morris, Nicholas and Vines, David, (eds.) Capital Failure: Rebuilding Trust in Financial Services. Oxford University Press, Oxford, UK, pp. 277-304. ISBN 9780198712220

Badcock, Christopher (2004) The morality of markets: taxation as a prisoner's dilemma. In: O'Keeffe, Dennis, (ed.) Economy and Virtue: Essays on the Theme of Markets and Morality. Readings (59). Institute of Economic Affairs, London, pp. 52-67. ISBN 0255365047

Baistrocchi, Eduardo (2017) 14 - Patterns of tax treaty disputes: A global taxonomy in global analysis of tax treaty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1351-1456. ISBN 9781316528945

Baistrocchi, Eduardo (2014) Associated enterprises. In: Vann, Richard, (ed.) Global Tax Treaty Commentaries. IBFD, Amsterdam, The Netherlands. ISBN 9789087222505

Baistrocchi, Eduardo (2018) Associated enterprises. In: Vann, Richard, (ed.) Global Tax Treaty Commentaries. IBFD, Amsterdam, The Netherlands. ISBN 9789087222505

Baistrocchi, Eduardo (2017) Part 1 - The context of tax duty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1-14. ISBN 9781316528945

Baistrocchi, Eduardo (2017) The context of tax treaty disputes. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1-14. ISBN 1316507254

Baistrocchi, Eduardo and Hearson, Martin (2017) Tax treaty disputes: a global quantitative analysis. In: Baistrocchi, Eduardo, (ed.) A Global Analysis of Tax Treaty Disputes. Cambridge Tax Law Series. Cambridge University Press, Cambridge, UK, pp. 1512-1546. ISBN 9781316528945

Bakker, Gerben (2015) Sunk costs and the dynamics of creative industries. In: Jones, Candace, Lorenzen, Mark and Sapsed, Jonathan, (eds.) The Oxford Handbook of Creative Industries. Oxford handbooks. Oxford University Press, Oxford, UK, pp. 351-386. ISBN 9780199603510

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2012) Credit crisis and pensions: international scope. In: Bovenberg, Lans, van Ewijk, Casper and Westerhout, Ed, (eds.) The Future of Multi-Pillar Pensions. Cambridge University Press, Cambridge, UK, pp. 90-141. ISBN 9781107022263

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2007) Foreword: investing in human capital: a capital markets approach to student funding. In: Lleras, Miguel Palacios, (ed.) Investing in Human Capital: a Capital Markets Approach to Student Funding. Cambridge University Press, Cambridge, UK, xvii-xx. ISBN 9780521039529

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2016) Milton Friedman and the finance of higher education. In: Cord, Robert and Hammond, J. Daniel, (eds.) Milton Friedman: Contributions to Economics and Public Policy,. Oxford University Press, Oxford, UK, pp. 436-463. ISBN 9780198704324

Barr, Nicholas ORCID: 0000-0002-5325-2055 (2004) The logic of income-contingent programs. In: O'Halloran, Elizabeth F, Palacios Llera, Miguel, Halliday, Amy L and Bruner, Robert F, (eds.) An Executive Briefing on Financing Human Capital. Darden Business Publishing, Charlotteville, Virginia, pp. 16-23. ISBN 1932692010

Barrieu, P. and El Karoui, N. (2008) Dynamic financial risk management. In: Yor, Marc, (ed.) Aspects of Mathematical Finance. Springer-Verlag, Paris, France, pp. 23-36. ISBN 9783540752585

Barrieu, Pauline and Bellamy, N. (2005) Impact of a market crisis on real options. In: Kyprianou, Andreas E., Schoutens, Wim and Wilmott, Paul, (eds.) Exotic Option Pricing and Advanced Lévy Models. John Wiley & Sons, London, UK. ISBN 9780470016848

Barrieu, Pauline and El Karoui, Nicole (2005) Dynamic financial risk management. In: Aspects des Mathématiques Financières. Tec & Doc Lavoisier. ISBN 2743008873

Barrieu, Pauline and El Karoui, Nicole (2008) Pricing, hedging and optimally designing derivatives via minimization of risk measures. In: Carmona, René, (ed.) Indifference Pricing: Theory and Applications. Princeton University Press, Princeton, USA.

Bauerle, N. and Veraart, Luitgard A. M. ORCID: 0000-0003-1183-2227 (2011) Einblicke in die Finanzmathematik: Optionsbewertung und Portfolio-Optimierung. In: Wendland, Katrin and Werner, Annette, (eds.) Facettenreiche Mathematik: Einblicke in Die Moderne Mathematische Forschung Für Alle, Die Mehr Von Mathematik Verstehen Wollen. Vieweg & Teubner. ISBN 9783834814142

Begg, Iain (2006) Economic policy and institutional transparency: the ECB. In: Oxelheim, Lars, (ed.) Corporate and Institutional Transparency for Economic Growth in Europe. International business & management (19). Elsevier, Oxford, UK, pp. 47-70. ISBN 9780080446653

Begg, Iain (2006) Is full participation in the EMU likely to favour or slow real convergence? In: Balcerowicz, Leszek and Fischer, Stanley, (eds.) Living Standards and the Wealth of Nations : Successes and Failures in Real Convergence. MIT Press, Cambridge, USA, pp. 365-391. ISBN 9780262025959

Begg, Iain (2009) Monetary policy strategies. In: Dyson, Kenneth and Marcussen, Martin, (eds.) Central Banks in the Age of the Euro: Europeanization, Convergence, and Power. Oxford University Press, Oxford, UK. ISBN 9780199218233

Begg, Iain (2006) Real convergence and EMU enlargement: the time dimension of fit with the Euro area. In: Dyson, Kenneth, (ed.) Enlarging the Euro Area: External Empowerment and Domestic Transformation in East Central Europe. Oxford University Press, Oxford, UK. ISBN 9780199277674

Benati, Luca and Goodhart, Charles (2010) Monetary policy regimes and economic performance: the historical record, 1979-2008. In: Handbook of Monetary Economics. Elsevier, Amsterdam, The Netherlands, pp. 1159-1236. ISBN 9780444534545

Benigno, Gianluca, Benigno, Pierpaolo and Nisticò, Salvatore (2012) Risk, monetary policy and the exchange rate. In: Acemoglu, Daron and Woodford, Michael, (eds.) NBER Macroeconomics Annual 2011. NBER macroeconomics annual (26). University of Chicago Press, Chicago, US, pp. 247-309. ISBN 9780226002149

Benjamin, Joanna (2003) The dematerialisation of money market instruments. In: Worthington, Sarah, (ed.) Commercial Law and Commercial Practice. Hart Publishing, Oxford, UK, pp. 249-304. ISBN 9781841134383

Bergemann, Dirk, Shen, Ji, Xu, Yun and Yeh, Edmund (2012) Multi-dimensional mechanism design with limited information. In: Proceedings of the 13th ACM Conference on Electronic Commerce - Ec '12. ACM Press, New York, USA, pp. 162-178. ISBN 9781450314152

Bertero, Elisabetta and Rondi, Laura (2003) Hardening a soft budget constraint through "upward devolution" to a supranational institution: the case of the European Union and Italian state-owned firms. In: Sun, Laixiang, (ed.) Ownership and Governance of Enterprises: Recent Innovative Developments. Studies in development economics and policy. Palgrave Macmillan, Basingstoke. ISBN 9781403916334

Besley, Timothy (1991) The demand for health care and health insurance. In: McGuire, Alistair, Fenn, Paul and Mayhew, Ken, (eds.) Providing Health Care : the Economics of Alternative Systems of Finance and Delivery. Oxford University Press, Oxford, pp. 46-64. ISBN 0-198283229

Beunza, Daniel and Muniesa, Fabian (2005) Listening to the spread plot. In: Latour, Bruno and Weibel, Peter, (eds.) Making Things Public: Atmospheres of Democracy. MIT Press, Cambridge, Massachusetts, USA, pp. 628-633. ISBN 9780262122795

Beunza, Daniel and Stark, David (2006) How to recognize opportunities: heterarchical search in a trading room. In: Knorr Cetina, Karin and Preda, Alex, (eds.) Sociology of Financial Markets. Oxford University Press, New York, USA, pp. 84-101. ISBN 9780199275595

Beunza, Daniel and Stark, David (2005) Resolving identities: successive crises in a trading room after 9/11. In: Foner, Nancy, (ed.) Wounded City: the Social Impact of 9/11. September 11 Initiative. Russell Sage Foundation, New York, USA, pp. 293-320. ISBN 9780871542717

Beunza, Daniel and Stark, David (2012) Seeing through the eyes of others: dissonance within and across trading rooms. In: Knorr Cetina, Karin and Preda, Alex, (eds.) Oxford Handbook of the Sociology of Finance. Oxford handbooks in business and management. Oxford University Press, Oxford, UK, pp. 203-222. ISBN 9780199590162

Beunza, Daniel and Stark, David (2008) Tools of the trade: the socio-technology of arbitrage in a Wall Street trading room. In: Pinch, Trevor and Swedberg, Richard, (eds.) Living in a Material World: Economic Sociology Meets Science and Technology Studies. Inside technology. MIT Press, Cambridge, USA, pp. 253-290. ISBN 9780262662079

Bhanumurthy, N. R. and Kattumuri, Ruth (2017) Fiscal implications of food security in India: a critical review. In: De, Supriyo, (ed.) India's Fiscal Policy: Prescriptions, Pragmatics and Practice. Cambridge University Press. ISBN 9781107152632

Bhattacharya, Sudipto, Dasgupta, Amil and Prat, Andrea (2008) Incentives in funds management: a literature overview. In: Thakor, Anjan V. and Boot, Arnoud, (eds.) Handbook of Financial Intermediation and Banking. Handbooks in finance. Elsevier, Amsterdam, The Netherlands, pp. 285-304. ISBN 9780444515582

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Black, Julia ORCID: 0000-0002-5838-3265 (2004) The development of risk based regulation in financial services: Canada, the UK and Australia. . ESRC Centre for the Analysis of Risk and Regulation, London School of Economics and Political Science, London, UK.

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Blake, David (2003) Is immigration the answer to the UK’s pension crisis? Financial Markets Group Discussion Papers (465). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) Modelling the composition of personal sector wealth in the United Kingdom. Financial Markets Group Discussion Papers (466). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) Take (smoothed) risks when you are young, not when you are old: how to get the best from your stakeholder pension plan. Financial Markets Group Discussion Papers (446). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) UK pension fund management after Myners: the hunt for correlation begins. Financial Markets Group Discussion Papers (445). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) The United Kingdom pension system: key issues. Financial Markets Group Discussion Papers (452). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David (2003) What is a promise from the government worth?:: measuring and assessing the implications of political risk in state and personal pension schemes in the United Kingdom. Financial Markets Group Discussion Papers (457). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David, Cairns, Andrew J. G. and Dowd, Kevin (2003) Pensionmetrics 2: stochastic pension plan design during the distribution phase. Financial Markets Group Discussion Papers (442). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David, Lehmann, Bruce N. and Timmermann, Allan (2002) Performance clustering and incentives in the UK pension fund industry. UBS Pensions Series (003). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David and Timmermann, Allan (2002) International asset allocation with time-varying investment opportunities. Financial Markets Group Discussion Papers (424). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Blake, David and Timmermann, Allan (2002) Returns from active management in international equity markets: evidence from a panel of UK pension funds. Financial Markets Group Discussion Papers (426). Financial Markets Group, The London School of Economics and Political Science, London, UK.

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Bloom, Nick, Bond, S. and Van Reenen, John (2001) The dynamics of investment under uncertainty. IFS Working Papers (W01/05). Institute for Fiscal Studies, London, UK.

Boerner, Lars (2016) Medieval market making brokerage regulations in Central Western Europe, ca. 1250-1700. Economic History Working Papers (242/2016). The London School of Economics and Political Science, London, UK.

Boerner, Lars and Volckart, Oliver (2010) The utility of a common coinage: currency unions and the integration of money markets in late medieval Central Europe. Economic History Working Papers (146/10). Department of Economic History, London School of Economics and Political Science, London, UK.

Boissinot, Jean, Goulard, Sylvie, Salin, Mathilde, Svartzman, Romain and Weber, Pierre-François (2022) Aligning financial and monetary policies with the concept of double materiality: rationales, proposals and challenges. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (5). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Bolatto, Stefano, Naghavi, Alireza, Ottaviano, Gianmarco I. P. and Zajc Kejzar, Katja (2020) Intellectual property and the organization of the global value chain. CEP Discussion Papers (1673). Centre for Economic Performance, LSE, London, UK.

Bonaccorso, C., Calenda, D. and Milio, Simona (2009) Gli investimenti diretti esteri e il sistema Italia. La mancanza di attrattivit del Bel Paese e la potenziale attrattivit delle regioni [Foreign direct investment and the Italian system. The lack of attractivity of the 'Bel Paese' and the attractive potentials of regions]. Speciale "Sardegna Economica". Camera di Commercio di Cagliari, Sardegna, Italy.

Boneva, Lena, Cloyne, James, Weale, Martin and Wieladek, Tomasz (2019) Firms' price, cost and activity expectations: evidence from micro data. CFM discussion paper series (CFM-DP2019-05). Centre For Macroeconomics, London School of Economics and Political Science, London, UK.

Boneva, Lena and Ferrucci, Gianluigi (2022) Inflation and climate change: the role of climate variables in inflation forecasting and macro modelling. The Inspire Sustainable Central Banking Toolbox Policy Briefing Papers (1). Grantham Research Institute on Climate Change and the Environment, London School of Economics and Political Science, London, UK.

Bonin, J. P. and Schaffer, M. E. (1995) Banks, firms, bad debts and bankruptcy in Hungary 1991-4. CEPDP (234). Centre for Economic Performance, London School of Economics and Political Science, London, UK.

Boone, Catherine and Henry, Clement (2001) Banking reform in the Middle East and North Africa: 1980-2000. Estudios internacionales, Documentos de Trabajo (DTEI-77). Centro de Investigaction y Docencia Economicas (CIDE), Mexico City, Mexico.

Botzem, Sebastian and Hofmann, Jeanette (2008) Transnational institution building as public-private interaction: the case of standard setting on the Internet and in corporate financial reporting. CARR Discussion Papers (DP 51). Centre for Analysis of Risk and Regulation, London School of Economics and Political Science, London, UK. ISBN 9780853281436

Boucher, Christophe M., Danielsson, Jon, Kouontchou, Patrick S. and Maillet, Bertrand B. (2014) Risk models–at–risk. Systemic Risk Centre Discussion Papers (8). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bowen, Alex (2011) Raising finance to support developing country action: some economic considerations. Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment working papers (36). Centre for Climate Change Economics and Policy and Grantham Research Institute on Climate Change and the Environment, London, UK.

Bracke, Philippe (2013) House prices and rents: micro evidence from a matched dataset in Central London. SERC discussion papers (SERCDP0127). Spatial Economics Research Centre, London School of Economics and Political Science, London, UK. (Submitted)

Bracke, Philippe, Pinchbeck, Ted and Wyatt, James (2014) The time value of housing: historical evidence from London residential leases. SERC discussion papers (SERCDP0168). Spatial Economics Research Centre, London, UK.

Braithwaite, Jo (2017) Springwell-watch: new insights into the nature of contractual estoppel. LSE Law, Society and Economy Working Papers (12/2017). Department of Law, London School of Economics and Political Science, London, UK.

Brandts, Silke and Laux, Christian (2005) ART versus reinsurance: the disciplining effect of information insensitivity. Financial Markets Group Discussion Papers (545). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Braunstein, Jürgen (2017) Sovereign wealth funds and ethical investment guidelines:the role of regime type. Investment Funds for Development. World Bank Group, Finance & Markets, London, UK.

Bray, Margaret and Goodhart, Charles (2002) You might as well be hung for a sheep as a lamb: the loss function of an agent. Financial Markets Group Discussion Papers (418). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Breinlich, Holger, Novy, Dennis and Santos Silva, J. M. C. (2021) Trade, gravity and aggregation. CEP Discussion Papers (1802). Centre for Economic Performance, LSE, London, UK.

Bremus, Franziska and Neugebauer, Katja (2017) Don't stop me now: the impact of credit market fragmentation on firms' financing constraints. Systemic Risk Centre Discussion Papers (67). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Bretscher, Lorenzo, Julliard, Christian and Rosa, Carlo (2015) Human capital and international portfolio diversification: a reappraisal. Systemic Risk Centre Discussion Papers (48). Systemic Risk Centre, The London School of Economics and Political Science, London, UK.

Brosamle, Klaus, Wenzel, Heinz-Dieter and Lackenbauer, Jorg (2004) Public debt and the future of the EU's stability and growth pact. BERG working paper series on government and growth (50). Berg, Germany. ISBN 393105246X

Brown, J. David, Earle, John Sutherland and Lup, Daniela (2004) Finance, human capital, technical assistance, and the business environment in Romania. William Davidson Institute Working Paper (639). William Davidson Institute at the University of Michigan, Ann Arbor MI, USA.

Broz, Lawrence (2015) The Federal Reserve