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Akinci, Dervis Ahmet, Matousek, Roman, Radić, Nemanja and Stewart, Chris (2013) Monetary policy and the banking sector in Turkey. Journal of International Financial Markets, Institutions and Money, 27 . pp. 269-285. ISSN 1042-4431 (doi:10.1016/j.intfin.2013.08.001)

Al-Najjar, Basil (2010) Corporate governance and institutional ownership: evidence from Jordan. Corporate Governance, 10 (2). ISSN 1472-0701

Al-Najjar, Basil (2009) Dividend behaviour and smoothing: evidence from Jordanian panel data. Studies in Economics and Finance, 26 (3). pp. 182-197. ISSN 1086-7376 (doi:10.1108/10867370910974017)

Al-Najjar, Basil (2011) Empirical modelling of capital structure: Jordanian evidence. Journal of emerging market finance, 10 (1). pp. 1-19. ISSN 0972-6527 (doi:10.1111/j.1099-1123.2011.00429.x)

Al-Najjar, Basil (2011) The determinants of audit committee independence and activity: evidence from the UK. International journal of auditing, 15 (2). pp. 191-203. ISSN 1090-6738 (doi:10.1111/j.1099-1123.2011.00429.x)

Al-Najjar, Basil (2012) The determinants of board meetings: evidence from categorical analysis. Journal of Applied Accounting Research, 13 (2). pp. 178-190. ISSN 0967-5426 (doi:10.1108/09675421211254867)

Al-Najjar, Basil (2011) The inter-relationship between capital structure and dividend policy: empirical evidence from Jordanian data. International Review of Applied Economics, 25 (2). pp. 209-224. ISSN 0269-2171 (doi:10.1080/02692171.2010.483464)

Al-Najjar, Basil and Anfimiadou, Aspioni (2012) Environmental policies and firm value. Business Strategy and the Environment, 21 (1). pp. 49-59. ISSN 0964-4733 (doi:10.1002/bse.713)

Al-Najjar, Basil and Belghitar, Yacine (2011) Corporate cash holdings and dividend payments: evidence from simultaneous analysis. Managerial and decision economics, 32 (4). pp. 231-241. ISSN 0143-6570 (doi:10.1002/mde.1529)

Al-Najjar, Basil and Hussainey, Khaled (2009) The association between dividend payout and outside directorships. Journal of Applied Accounting Research, 26 (3). pp. 4-19. ISSN 0967-5426 (doi:10.1108/09675420910963360)

Al-Najjar, Basil and Taylor, P. (2008) The relationship between capital structure and ownership structure: new evidence from Jordanian panel data. Managerial Finance, 34 (12). pp. 919-933. ISSN 0307-4358 (doi:10.1108/03074350810915851)

Alessa, Noha Abdulaziz (2019) An exploration into the implementation of the balanced scorecard: A multiple case study approach from Saudi Arabia. PhD thesis, Middlesex University.

Alwis, Dee, Hlupic, Vlatka and Fitzgerald, Guy (2003) Intellectual capital factors that impact on value creation. Information Technology Interfaces, International Conference . pp. 411-416. ISSN 1330-1012 (doi:10.1109/ITI.2003.1225378)

Alwis, Dee, Hlupic, Vlatka and Rzevski, George (2002) Building critical organizational knowledge: a case study. Information Technology Interfaces, International Conference . pp. 293-298. ISSN 1330-1012 (doi:10.1109/ITI.2002.1024689)

Alwis, Dee, Hlupic, Vlatka and Rzevski, George (2003) Designing organizational memory in knowledge intensive companies: a case study. In: Knowledge and business process management. Hlupic, Vlatka, ed. Idea Group, Hershey, pp. 137-153. 9781591400363.

Artemenkov, Andrey, Lodh, Suman and Nandy, Monomita (2018) Fair value in the professional valuation: concept and models. International Journal of Critical Accounting, 10 (6). pp. 427-446. ISSN 1757-9848 (doi:10.1504/IJCA.2018.098262)

Bace, Edward (2012) Alpha Masters [Book review]. Financial Adviser .

Bace, Edward (2014) Approaches to embedding ethics in finance and finance degree programmes. Social Science Research Network . (Published online first) (doi:10.2139/ssrn.2492186)

Bace, Edward (2018) Asset liability management and credit risk. In: 38th International Academic Conference of IISES, 11-14 June 2018, Prague, Czech Republic. (doi:10.20472/IAC.2018.038.006)

Bace, Edward (2017) Balance sheet risk management in an ever more challenging context. In: Il Congreso Latinoamericano de Riesgos Financieros, 16-17 Aug 2017, Lima, Peru. (Published online first)

Bace, Edward (2016) Bank profitability: liquidity, capital and asset quality. Journal of Risk Management in Financial Institutions, 9 (4). pp. 327-331. ISSN 1752-8887

Bace, Edward (2019) Behavioral finance and implications for regulation: China’s stock market. In: London Business Conference in Business and Social Studies, 21 Aug 2019, London.

Bace, Edward (2015) Conduct costs, governance and returns: evidence of large banks. Journal of Professional Scholarship in Banking and Finance, 3 (1). pp. 4-10.

Bace, Edward (2016) Cost of capital, returns and leverage: empirical evidence from the S&P 500. In: 22nd International Academic Conference of IISES, 22-25 Mar 2016, Lisbon, Portugal. (doi:10.20472/IAC.2016.022.009)

Bace, Edward (2018) Credit risk and ALM. ALCO Magazine (1). pp. 27-31.

Bace, Edward (2014) Governance, conduct costs and equity performance in financial services. CISI Review of Financial Markets . pp. 9-12. ISSN 1357-7069

Bace, Edward (2016) Incorporating group coursework as an assessment component into online and traditional university programmes. In: 1st International Conference on Advanced Business and Social Sciences, 28-29 Jan 2016, Bali, Indonesia.

Bace, Edward (2012) Investing in your education. CFA Magazine, 23 (5). p. 11.

Bace, Edward (2010) Meeting the challenges of financial education. Discussion Paper. CFA Institute, Charlottesville, VA. . (doi:10.2469/cfm.v21.n6.5)

Bace, Edward (2018) Moorad Choudhry's Anthology [Book Review]. The European Financial Review, June (2018). pp. 67-68. ISSN 2059-6839

Bace, Edward (2011) Preparing for new education prospects. CFA Magazine, 22 (3). p. 55.

Bace, Edward (2015) Rating agencies: reputation restored? The Global Treasurer . (Published online first)

Bace, Edward (2016) Stock returns and leverage: analysis of the Dow Jones Industrial Average, 2000-2015. In: IISES 23rd International Academic Conference, 27-30 Apr 2016, Venice, Italy. (doi:10.20472/IAC.2016.023.017)

Bace, Edward (2018) Strategic human resources and corporate governance in banking. Journal of Human Resource Management, 21 (2). pp. 1-7. ISSN 2463-7683

Bace, Edward and Nguyen, Trang (2019) Vietnamese commercial banks and corporate governance. GATR Journal of Finance and Banking Review, 4 (2). pp. 73-81. ISSN 2636-9176 (doi:10.35609/jfbr.2019.4.2(4))

Badkook, Roaa (2017) Corporate social and environmental disclosure: evidence from Saudi Arabia. PhD thesis, Middlesex University.

Badreddine, Sina, Galariotis, Emilios and Holmes, Phil (2012) The relevance of information and trading costs in explaining momentum profits: evidence from optioned and non-optioned stocks. Journal of International Financial Markets, Institutions & Money, 22 (3). pp. 589-608. ISSN 1042-4431 (doi:10.1016/j.intfin.2012.03.001)

Baher, Oussama (2018) The nature, causes and consequences of financial analysts’ forecasts in the UK. PhD thesis, Middlesex University.

Baqader, Saleh (2018) The disclosure of outsourcing activities: a case of Saudi Arabian listed companies. PhD thesis, Middlesex University.

Barrell, Ray and Gottschalk, Sylvia ORCID: https://orcid.org/0000-0002-8629-7209 (2009) Capital adequacy requirements in emerging markets. In: The Basel Capital Accords in developing countries: challenges for development finance. Gottschalk, Ricardo, ed. Palgrave Macmillan, UK, pp. 97-140. 9780230222243. (doi:10.1057/9780230276093)

Baskaran, Angathevar (2001) Competence building in complex systems in the developing countries: the case of satellite building in India. Technovation, 21 (2). pp. 109-121. ISSN 0166-4972 (doi:10.1016/S0166-4972(00)00022-5)

Baskaran, Angathevar (2000) Duality in national innovation systems: the case of India. Science and public policy, 27 (5). pp. 367-374. ISSN 0302-3427 (doi:10.3152/147154300781781850)

Baskaran, Angathevar (2002) Export control regimes and India's space and missile programmes. India quarterly, LVIII (3-4). pp. 205-242. ISSN 0251-3048

Baskaran, Angathevar (2005) From science to commerce: the evolution of space development policy and technology accumulation in India. Technology in Society, 27 (2). pp. 155-179. ISSN 0160-791X (doi:10.1016/j.techsoc.2005.01.003)

Baskaran, Angathevar (2007) ICT for innovation systems: comparative experiences from developing countries. In: A Pre-UNCTAD XII event: Science, Technology, Innovation and ICTs for Development, 6th December 2007, Room XXVI - Palais des Nations, Geneva..

Baskaran, Angathevar (2003) India and Pakistan: danger of nuclear and missile arms race? ECAAR News NetWork, 16 (10). p. 10.

Baskaran, Angathevar (2004) Offsets and Indian defence procurement. In: Eighth Annual Conference on Economics and Security, 24-26 June 2004, Burwalls Hall, Bristol University, Bristol, UK..

Baskaran, Angathevar (2000) Technology accumulation in India’s space programme ground systems: the contribution of foreign and indigenous inputs. Discussion Paper. Middlesex University Business School, London. .

Baskaran, Angathevar (2003) An assessment of nuclear and missile developments in South Asia. In: Seventh Annual Conference on Economics and Security, 26-28, June 2003, Burwalls Hall, Bristol University, Bristol..

Baskaran, Angathevar (2001) The impact of export controls on indigenous technology development in India's space programme. International studies, 38 (2). pp. 155-171. ISSN 0020-8817

Baskaran, Angathevar (2000) The impact of export controls on indigenous technology development: the case of India’s space programme. In: Conference on Arms, Conflict, Security and Development, 16-17th June 2000, Middlesex University Business School, London, UK..

Baskaran, Angathevar (2003) Towards an African national system of innovation. In: Putting Africa first: the making of African innovation systems. Baskaran, Angathevar, Muchie, Mammo, Gammeltoft, Peter and Lundvall, Bengt-Ake, eds. Aalborg University Press, Aalborg, Denmark, pp. 233-246. 8773076996.

Baskaran, Angathevar and Boden, R. (2007) Prometheus bound: accounting and the creation of the new science paradigm. International Studies of Management and Organization, 37 (1). pp. 9-26. ISSN 0020-8825 (doi:10.2753/IMO0020-8825370101)

Baskaran, Angathevar and Boden, R. (2004) Science: a controversial commodity? Science, technology & society, 9 (1). pp. 1-26. ISSN 0971-7218 (doi:10.1177/097172180400900101)

Baskaran, Angathevar and Boden, R. (2006) Globalization and the commodification of science. In: Globalization, inequalities, and the commodification of life and well-being. Muchie, Mammo and Xing, Li, eds. Adonis & Abbey, London, pp. 42-72. 1905068018.

Baskaran, Angathevar (2004) The role of offsets in Indian defense procurement policy. In: Arms trade and economic development: theory, policy, and cases in arms trade offsets. Brauer, Jurgen, Dunne, Paul and Baskaran, Angathevar, eds. Routledge, London, pp. 212-227. 9780415331067.

Baskaran, Angathevar, Liu, Ju and Muchie, Mammo (2010) Exploring the outflow of FDI from the developing economies: case studies from China, India and South Africa. Working Paper. Institute for Economic Research on Innovation, Pretoria. .

Baskaran, Angathevar, Liu, Ju and Muchie, Mammo (2011) Exploring the outflow of FDI from the developing economies: selected case studies. Working Paper. DIR & Department of Culture and Global Studies, Aalborg University, Aalborg, Denmark. .

Baskaran, Angathevar and Muchie, Mammo (2006) Bridging the digital divide: innovation systems for ICT in Brazil, China, India, Thailand, and Southern Africa. Adonis & Abbey Publishers Ltd, London. 1-905068-15-8.

Baskaran, Angathevar and Muchie, Mammo (2010) Can the relative strength of the national systems of innovation mitigate the severity of the global recession on the BRICS? Working Paper. Institute for Economic Research on Innovation, Tshwane University of Technology, Pretoria, South Africa, Pretoria, South Africa. .

Baskaran, Angathevar and Muchie, Mammo (2009) Exploring the impact of national system of innovation on the outcomes of foreign direct investment. International Journal of Technological Learning, Innovation and Development, 2 (4). pp. 314-345. ISSN 1753-1942 (doi:10.1504/IJTLID.2009.026820)

Baskaran, Angathevar and Muchie, Mammo (2008) Foreign direct investment and internationalization of R&D: the case of BRICS economies. Working Paper. DIIPER & Department of History, International and Social Studies. . (doi:DIIPER Research Series, Working Paper No. 7)

Baskaran, Angathevar and Muchie, Mammo (2008) Influence of national system of innovation on the trajectory of foreign direct investment. Working Paper. The Institute for Economic Research on Innovation (IERI). . (doi:IERI Working Papers-2008-002)

Baskaran, Angathevar and Muchie, Mammo (2007) The Making of the Indian national innovation systems: lessons on the specific characteristics of the domestic and the external co-evolutions of technologies, institutions and incentives. Working Paper. DIIPER & Department of History, International and Social Studies. . (doi:DIIPER Research Series, Working Paper No. 2)

Baskaran, Angathevar and Muchie, Mammo (2010) Mitigating impact of national systems of innovation on the severity of the global Rrcession: comparison of selected Asian economies. Working Paper. DIR & Department of Culture and Global Studies, Aalborg University, Aalborg, Denmark. .

Baskaran, Angathevar and Muchie, Mammo (2010) Towards a unified conception of innovation systems. Working Paper. Institute for Economic Research on Innovation, Pretoria, South Africa. .

Baskaran, Angathevar and Muchie, Mammo (2008) The impact of the national innovation systems on the flow and benefits of foreign direct investment to national economics. Working Paper. DIIPER & Department of History, International and Social Studies. . (doi:DIIPER Research Series, Working Paper No. 4.)

Baskaran, Angathevar and Muchie, Mammo (2006) Innovation system for ICT: the case of India. In: Bridging the digital divide: innovation systems for ICT in Brazil, China, India, Thailand and Southern Africa. Baskaran, Angathevar and Muchie, Mammo, eds. Adonis & Abbey Publishers Ltd, London, pp. 118-152. 9781905068159.

Baskaran, Angathevar, Muchie, Mammo and Maharajh, R. (2006) Innovation system for ICT: the case of South Africa. In: Bridging the digital divide: innovation systems for ICT in Brazil, China, India, Thailand and Southern Africa. Baskaran, Angathevar and Muchie, Mammo, eds. Adonis & Abbey Publishers Ltd, London, pp. 181-214. .

Baskaran, Angathevar, Pancholi, Jatin and Ghaffari, Firoozeh (2006) A period study of short-term performance pressures: case of the British biotechnology industry. Business review, Cambridge, 5 (2). pp. 327-332. ISSN 1553-5827

Batcholar, P., Dunne, J. P. and Parsa, Sepideh ORCID: https://orcid.org/0000-0003-4135-2865 (2000) Corporate performance analysis and military production in South Africa. Defence and peace economics, 11 (4). pp. 615-641. ISSN 1024-2694 (doi:10.1080/10430710008404970)

Becker, Pal and Turner, Anna (2005) Ertékalapú stratégiák: a pénzügyi teljesítmény értékvezérelt menedzsmentje. Akademia Publishing, Budapest. 9630582783.

Belghitar, Yacine and Clark, Ephraim A. (2014) Convexity, magnification, and translation: the effect of managerial option-based compensation on corporate cash holdings. The Journal of Financial Research, 37 (2). pp. 191-210. ISSN 0270-2592 (doi:10.1111/jfir.12034)

Belghitar, Yacine and Clark, Ephraim A. (2015) Managerial risk incentives and investment related agency costs. International Review of Financial Analysis, 38 . pp. 191-197. ISSN 1057-5219 (doi:10.1016/j.irfa.2014.11.012)

Belghitar, Yacine and Clark, Ephraim A. (2012) The effect of CEO risk appetite on firm volatility: an empirical analysis of financial firms. International Journal of the Economics of Business, 19 (2). pp. 195-211. ISSN 1357-1516 (doi:10.1080/13571516.2012.642640)

Belghitar, Yacine, Clark, Ephraim A. and Deshmukh, Nitin ORCID: https://orcid.org/0000-0003-2038-8930 (2014) Does it pay to be ethical? Evidence from the FTSE4Good. Journal of Banking & Finance, 47 . pp. 54-62. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2014.06.027)

Belghitar, Yacine, Clark, Ephraim A. and Deshmukh, Nitin ORCID: https://orcid.org/0000-0003-2038-8930 (2017) Importance of the fund management company in the performance of socially responsible mutual funds. The Journal of Financial Research, 40 (3). pp. 349-367. ISSN 0270-2592 (doi:10.1111/jfir.12127)

Belghitar, Yacine, Clark, Ephraim A. and Judge, Amrit P. (2008) The value effects of foreign currency and interest rate hedging: the UK evidence. International Journal of Business, 13 (1). pp. 43-60. ISSN 1083-4346

Belghitar, Yacine, Clark, Ephraim A. and Kassimatis, Konstantinos (2011) The prudential effect of strategic institutional ownership on stock performance. International Review of Financial Analysis, 20 (4). pp. 191-199. ISSN 1057-5219 (doi:10.1016/j.irfa.2011.04.002)

Belghitar, Yacine, Parker, Simon C. and Barmby, Tim (2005) Wage uncertainty and the labour supply of self-employed workers. The Economic Journal, 115 (502). C190-C207. ISSN 1468-0297 (doi:10.1111/j.0013-0133.2005.00987.x)

Belghitar, Yacine and Scataglini Belghitar, Giovanna (2010) The role of critical evaluation in finance: evidence from an MSc in finance programme. Accounting Education, 19 (6). pp. 555-586. ISSN 0963-9284 (doi:10.1080/09639284.2010.511705)

Bellotti, Xijuan, Agarwal, Vineet and Taffler, Richard (2010) The value relevance of effective investor relations. In: EFMA 2008 Annual Meeting, 25-28 Jun 2008, Athens, Greece.

Bellotti, Xijuan and Willams, Jonathan (2005) Time varying volatility transmission: the case of emerging equity markets in Asia and Latin America, 1984 – 2004. In: Globalization and Financial Services in Emerging Economies, 20-21 June, 2005, World Bank HQ, Washington DC.

Bellotti, Xijuan and Willams, Jonathan (2004) Volatility transmission and changes in stock market interdependence in the European Community. European Review of Economics and Finance, 3 (3).

Boddington, Ghislaine (2002) Future physical. Ghislaine Boddington.

Boden, R. and Baskaran, Angathevar (2007) Commodified science and social wellbeing. AI & society, 21 (3). pp. 267-285. ISSN 1435-5655

Bouchet, Michel Henri, Clark, Ephraim A. and Groslambert, Bertrand (2003) Country risk assessment: a guide to global investment strategy. John Wiley & Sons, Chichester. 9780470845004.

Braam, Geert, Nandy, Monomita, Weitzel, Utz and Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 (2015) Accrual-based and real earnings management and political connections. The International Journal of Accounting, 50 (2). pp. 111-141. ISSN 0020-7063 (doi:10.1016/j.intacc.2013.10.009)

Brennan, Ross, Tunisini, Annalisa, Harrison, Debbie and Baraldi, Enrico (2007) Strategic thinking and the IMP approach: a comparative analysis. Industrial Marketing Management, 36 (7). pp. 879-894. ISSN 0019-8501 (doi:10.1016/j.indmarman.2007.05.015)

Broll, Udo, Clark, Ephraim A. and Lukas, Elmar (2010) Hedging mean-reverting commodities. IMA Journal of Management Mathematics, 21 (1). pp. 19-26. ISSN 1471-678X (doi:10.1093/imaman/dpp013)

Broussard, John Paul, Mikkonen, Jussi and Puttonen, Vesa (2016) Style migration in Europe. European Financial Management . ISSN 1468-036X (Published online first) (doi:10.1111/eufm.12083)

Broussard, John Paul and Nikiforov, Andrei (2014) Intraday periodicity in algorithmic trading. Journal of International Financial Markets, Institutions & Money, 30 . pp. 196-204. ISSN 1042-4431 (doi:10.1016/j.intfin.2014.03.001)

Burdett, Sarah and Flinn, Elizabeth (2015) The really useful primary D & T book. In: The really useful primary D & T book. Routledge. . (Accepted/In press)

Caiazza, Stefano, Cotugno, Matteo, Fiordelisi, Franco and Stefanelli, Valeria (2018) The spillover effect of enforcement actions on bank risk-taking. Journal of Banking & Finance, 91 . pp. 146-158. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2018.04.008)

Caporale, Guglielmo Maria, Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Nandy, Monomita (2018) How has the global financial crisis affected syndicated loan terms in emerging markets? Evidence from China. International Journal of Finance & Economics, 23 (4). pp. 478-491. ISSN 1076-9307 (doi:10.1002/ijfe.1633)

Caporale, Guglielmo Maria, Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Nandy, Monomita (2017) The performance of banks in the MENA region during the global financial crisis. Research in International Business and Finance, 42 . pp. 583-590. ISSN 0275-5319 (doi:10.1016/j.ribaf.2017.07.003)

Carboni, Marika, Fiordelisi, Franco, Ricci, Ornella and Stentella Lopez, Francesco Saverio (2017) Surprised or not surprised? The investors' reaction to the comprehensive assessment preceding the launch of the banking union. Journal of Banking & Finance, 74 . pp. 122-132. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2016.11.004)

Chaney, Paul, Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Nandy, Monomita (2019) How does culture impinge upon managers' demeanor of earnings management? Evidence from cross-country analysis. The International Journal of Accounting . ISSN 1094-4060 (Accepted/In press)

Charnley, Alex (2015) Combined and uneven spectacle of animated VFX: world building, labor and wage relations. In: 27th Annual International Society for Animation Studies Conference: Beyond the Frame, 13-16 Jul 2015, Canterbury, Kent, United Kingdom.

Chau, Frankie, Kuo, Jing-Ming and Shi, Yukun (2015) Arbitrage opportunities and feedback trading in emissions and energy markets. Journal of International Financial Markets, Institutions & Money, 36 . pp. 130-147. ISSN 1042-4431 (doi:10.1016/j.intfin.2015.02.002)

Chen, Catherine Huirong and Al-Najjar, Basil (2011) The determinants of board size and independence : evidence from China. International Business Review, 21 (5). pp. 831-846. ISSN 0969-5931 (doi:10.1016/j.ibusrev.2011.09.008)

Chen, Catherine Huirong, Hu, Yuanyuan and Xiao, Jason Zezhong (2010) Corporate scandals in China. In: Creative accounting, fraud and international accounting scandals. Jones, Michael John, ed. John Wiley & Sons, New Jersey. 9780470057650.

Chijoke-Mgbame, Aruoriwo Marian (2016) The effect of CEO background risks on risk taking and firm performance. PhD thesis, Middlesex University.

Clark, Ephraim A. (2000) Agency conflict and the signalling snafu in the Mexican peso conflict of 1994. International journal of public administration, 23 (5-8). pp. 837-876. ISSN 0190-0692 (doi:10.1080/01900690008525486)

Clark, Ephraim A. (2003) Contemporary China: the reunification effect on political risk in Hong Kong. Garp risk review (10). pp. 24-28.

Clark, Ephraim A. (2002) Country rulers: macrometrics for country risk assessment. Garp risk review (8). p. 36.

Clark, Ephraim A. (2003) Derivative securities for country risk coverage: implied volatility swaps. In: Global risk assessment: issues concepts and applicatiopns. Global Risk Assessments, Inc., Riverside CA. .

Clark, Ephraim A. (2002) International finance. Thomson, London. 1861529716.

Clark, Ephraim A. (1999) L'effet de réunification sur le risque politique à Hong Kong. Banque et marchés . pp. 50-55. ISSN 1167-4946

Clark, Ephraim A. (1995) L'évaluation du risque dans les prêts internationaux: le cas du Mexique en 1994. Economie internationale, 64 . ISSN 1240-8093

Clark, Ephraim A. (1996) Les contrats à terme sur matières premières: ce que les investisseurs devraient savoir. Banque et Marches . ISSN 1167-4946

Clark, Ephraim A. (2002) Measuring country risk as implied volatility. Wilmott, Fall . ISSN 1540-6962

Clark, Ephraim A. (1998) Political risk in Hong Kong and Taiwan: pricing the China factor. Journal of economic integration, 13 (2). pp. 278-293. ISSN 1225-651X

Clark, Ephraim A. (2003) Pricing the cost of expropriation risk. Review of International Economics, 11 (2). pp. 412-422. ISSN 1467-9396 (doi:10.1111/1467-9396.00391)

Clark, Ephraim A. (1997) Valuing political risk. Journal of international money and finance, 16 (3). pp. 477-490. ISSN 0261-5606 (doi:10.1016/S0261-5606(97)00008-9)

Clark, Ephraim A. (1995) A general international market index. International journal of finance, 7 (3). ISSN 1041-2743

Clark, Ephraim A. and Adcock, C. J. (1999) Beta lives: some statistical perspectives on the capital asset pricing model. European Journal of Finance, 5 (3). pp. 213-224. ISSN 1351-847X (doi:10.1080/135184799337055)

Clark, Ephraim A., Belghitar, Yacine and Mefteh, Salma (2012) Foreign currency derivative use and shareholder value. International Review of Financial Analysis . ISSN 1057-5219 (doi:10.1016/j.irfa.2012.02.004)

Clark, Ephraim A., Bouchet, Michel Henri and Groslambert, Bertrand (2001) Revisiting the Asian financial crisis: were capital markets caught by surprise? The International journal of finance, 13 (2). ISSN 1041-2743

Clark, Ephraim A., Bouchet, Michel Henri and Groslambert, Bertrand (2004) Analyzing the Asian crisis: was it really a surprise? In: Global financial markets: issues and strategies. Ghosh, Dilip K. and Ariff, Mohamed, eds. Greenwood press. 9781567205725.

Clark, Ephraim A. (2005) Foreign direct investment: the incentive to expropriate and the cost of expropriation risk. In: Numerical methods in finance. Breton, Michele and Ben-Ameur, Hatem, eds. Cambridge University Press, New York. 0521573548.

Clark, Ephraim A., Deshmukh, Nitin ORCID: https://orcid.org/0000-0003-2038-8930, Güran, Celal Barkan and Kassimatis, Konstantinos (2019) Index tracking with utility enhanced weighting. Quantitative Finance . ISSN 1469-7688 (Published online first) (doi:10.1080/14697688.2019.1605189)

Clark, Ephraim A. and Easaw, Joshy (2007) Optimal access pricing for natural monopoly networks when costs are sunk and revenues are uncertain. European Journal Of Operational Research, 178 (2). pp. 595-602. ISSN 0377-2217 (doi:10.1016/j.ejor.2006.02.003)

Clark, Ephraim A. and Gadad, Magid (2001) The option to divest as a strategic management tool. Corporate Finance review . pp. 16-20.

Clark, Ephraim A., Gadad, Magid and Rousseau, Patrick (2004) Investor valuation of the abandonment option: empirical evidence from UK divestitures 1985-1991. Multinational Finance Journal . ISSN 1096-1879

Clark, Ephraim A. and Ghosh, Dilip K. (2004) Arbitrage, hedging, and speculation : the foreign exchange market. Praeger, Westport, Conn.. 9781567205824.

Clark, Ephraim A. and Jokung, Octave (1999) Asset proportions, stochastic dominance and the 50% rule. Management Science, 45 (12). pp. 1724-1737. ISSN 0025-1909

Clark, Ephraim A. and Jokung, Octave (1988) Capital budgeting, political risk and prudence. International journal of finance, 10 (1). pp. 933-943. ISSN 1041-2743

Clark, Ephraim A. and Jokung, Octave (2006) General portfolio rules: application to multivariate normal distributions. The ICFAI journal of financial economics, 4 (3). pp. 7-13. ISSN 0972-9154

Clark, Ephraim A. and Jokung, Octave (1998) Risk aversion, wealth and international capital flows. Review of international economics, 6 (3). pp. 507-515. ISSN 0965-7576

Clark, Ephraim A. and Jokung, Octave (2006) The role of population and wealth in international capital flows. Studies in economics and finance, 23 (1). pp. 4-12. ISSN 1086-7376

Clark, Ephraim A. and Jokung, Octave (2015) The role of regulatory credibility in effective bank regulation. Journal of Banking & Finance, 50 . pp. 506-513. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2014.03.018)

Clark, Ephraim A., Jokung, Octave and Kassimitis, Konstantinos (2011) Making inefficient market indices efficient. European Journal of Operational Research, 209 (1). pp. 83-93. ISSN 0377-2217 (doi:10.1016/j.ejor.2010.09.013)

Clark, Ephraim A. and Judge, Amrit (2017) Foreign currency derivatives versus foreign currency debt and the hedging premium. In: Evaluating Country Risks for International Investments: Tools, Techniques and Applications. WORLD SCIENTIFIC, pp. 381-433. 9789813224933. (doi:10.1142/9789813224940_0015)

Clark, Ephraim A. and Judge, Amrit P. (2009) Foreign currency derivatives versus foreign currency debt and the hedging premium. European Financial Management, 15 (3). pp. 606-642. ISSN 1354-7798 (doi:10.1111/j.1468-036X.2007.00431.x)

Clark, Ephraim A. and Judge, Amrit P. (2008) The determinants of foreign currency hedging: does foreign currency debt induce a bias? European Financial Management Journal, 14 (3). pp. 445-469.

Clark, Ephraim A. and Judge, Amrit P. (2017) The determinants of foreign currency hedging: does foreign currency debt induce a bias? In: Evaluating Country Risks for International Investments: Tools, Techniques and Applications. WORLD SCIENTIFIC, pp. 499-536. 9789813224933. (doi:10.1142/9789813224940_0018)

Clark, Ephraim A. and Judge, Amrit P. (2005) The motives for corporate hedging: the UK evidence. Research in Financial Economics, 1 (1). pp. 57-78.

Clark, Ephraim A. and Kassimatis, Konstantinos (2004) Country financial risk and stock market performance: the case of Latin America. Journal of economics and business., 56 (1). pp. 21-41. ISSN 0148-6195 (doi:10.1016/j.jeconbus.2003.03.001)

Clark, Ephraim A. and Kassimatis, Konstantinos (2014) Exploiting stochastic dominance to generate abnormal stock returns. Journal of Financial Markets, 20 . pp. 20-38. ISSN 1386-4181 (doi:10.1016/j.finmar.2014.05.002)

Clark, Ephraim A. and Kassimatis, Konstantinos (2013) International equity flows, marginal conditional stochastic dominance, and diversification. Review of Quantitative Finance and Accounting, 40 (2). pp. 251-271. ISSN 0924-865X (doi:10.1007/s11156-012-0277-0)

Clark, Ephraim A. and Kassimatis, Konstantinos (2015) Macroeconomic effects on emerging-markets sovereign credit spreads. Journal of Financial Stability, 20 . pp. 1-13. ISSN 1572-3089 (doi:10.1016/j.jfs.2015.06.002)

Clark, Ephraim A. and Kassimatis, Konstantinos (2011) An alternative measure of the world market portfolio: determinants, efficiency, and information content. Journal of International Money and Finance, 30 (5). pp. 724-748. ISSN 0261-5606 (doi:10.1016/j.jimonfin.2011.05.005)

Clark, Ephraim A. and Kassimatis, Konstantinos (2012) An empirical analysis of marginal conditional stochastic dominance. Journal of Banking & Finance, 36 (4). pp. 1144-1151. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2011.11.006)

Clark, Ephraim A. and Lakshmi, Geeta (2005) Are currency crises anticipated? Evidence from Mexican government guaranteed bonds 1993-1995. International journal of finance, 17 (4). ISSN 1041-2743

Clark, Ephraim A. and Lakshmi, Geeta (2007) Assymetric information and the pricing of sovereign eurobonds: India 1990–1992. Global Finance Journal, 18 (1). pp. 124-142. ISSN 1044-0283 (doi:10.1016/j.gfj.2007.01.002)

Clark, Ephraim A. and Lakshmi, Geeta (2002) Controlling the risk: a case study of the Indian liquidity crisis 1990-92. Journal of International Development, 15 (3). pp. 285-298. ISSN 1099-1328 (doi:10.1002/jid.948)

Clark, Ephraim A. and Lakshmi, Geeta (2004) Sovereign debt and the cost of migration: India 1990-1992. Journal of Asian economics, 15 (1). pp. 111-134. ISSN 1049-0078 (doi:10.1002/ijfe.338)

Clark, Ephraim A. and Lakshmi, Geeta (2003) War and emerging market default risk: the case of India and the Iraqi invasion of Kuwait. International Journal of Business, 8 (4). pp. 395-408. ISSN 1083-4346

Clark, Ephraim A. and Lakshmi, Geeta (2001) The market reaction to reported country risk in India. In: Economics of transition: theory, experiences and EU enlargement: INFER Annual Conference 2001. Stierle, Michael H. and Birringer, Thomas, eds. Verlag für Wissenschaft und Forschung, Berlin. 9783897001688.

Clark, Ephraim A. (2003) Strategic capital budgeting: the abandonment option with political risk. In: Advances in financial planning and forecasting. Lee, Cheng F., ed. JAI, London, pp. 113-132. 9780762310166.

Clark, Ephraim A., Lesourd, Jean-Baptiste and Thiéblemont, René (2001) International commodity trading : physical and derivative markets. John Wiley & Sons, Chichester. 9780471852100.

Clark, Ephraim A., Mare, Davide and Radić, Nemanja (2018) Cooperative banks: What do we know about competition and risk preferences? Journal of International Financial Markets, Institutions & Money, 52 . pp. 90-101. ISSN 1042-4431 (doi:10.1016/j.intfin.2017.09.008)

Clark, Ephraim A., Marois, Bernard and Cernes, Joëlle (2001) Management des risques internationaux. Economica, Paris. 9782717842173.

Clark, Ephraim A., Masood, O. and Tunaru, Radu (2008) The effect of political events on the Pakistan stock exchange 1947-2001. Investment management and financial innovations, 5 (3). ISSN 1810-4967

Clark, Ephraim A. and Meftah, Salma (2010) Foreign currency derivatives use, firm value and the effect of the exposure profile: evidence from France. International Journal of Business, 15 (2). ISSN 1083-4346

Clark, Ephraim A. and Mefteh, Salma (2011) Asymmetric foreign currency exposures and derivatives use: evidence from France. Journal of International Financial Management & Accounting, 22 (1). pp. 27-45. ISSN 0954-1314

Clark, Ephraim A. and Mefteh, Salma (2010) Foreign currency exposure and derivatives use: evidence from France from 2002 to 2005. Banque et Marches, 104 . pp. 21-29. ISSN 1167-4946

Clark, Ephraim A. and Mondello, Gerard (2003) Erratum: an introduction to water management. International journal of public administration, 26 (13). pp. 1553-1554. ISSN 0190-0692 (doi:10.1081/PAD-120024409)

Clark, Ephraim A. and Mondello, Gerard (1999) Institutional constraints in water management: the French case. Water International, 24 (3). pp. 266-268. ISSN 0250-8060 (doi:10.1080/02508069908692170)

Clark, Ephraim A. and Mondello, Gerard (1998) La gestion préventive des risques et pollutions environmentales: accords volontaires et responsabilité. Revue d'economie industrielle, 83 . pp. 183-196. ISSN 0154-3229

Clark, Ephraim A. and Mondello, Gerard (2002) Regulating natural monopolies: the case of drinking water in France. Water resources update (121). pp. 72-78. ISSN 1548-3517

Clark, Ephraim A. and Mondello, Gerard (2000) Resource management and the mayor's guarantee in French water allocation. International review of environmental and resource economics, 15 (2). pp. 103-113. ISSN 1932-1465

Clark, Ephraim A. and Mondello, Gerard (2000) Water management in France: delegation and irreversibility. Journal of applied economics, 3 (2). pp. 325-352. ISSN 1514-0326

Clark, Ephraim A. and Mondello, Gerard (2003) Water management in France: delegation and market based auto-regulation. International journal of public administration, 26 (3). pp. 317-328. ISSN 0190-0692

Clark, Ephraim A. and Mondello, Gerard (2006) Dynamic uncertainty and the pricing of natural monopolies: the case of urban water management. In: Frontiers in water resource economics. Goetz, Renan-Ulrich and Berga, Dolors, eds. Springer Science+Business Media, New York. 9780387300559.

Clark, Ephraim A., Qiao, Zhuo and Wong, Wing-Keung (2016) Theories of risk: testing investor behaviour on the Taiwan stock and stock index futures markets. Economic Inquiry, 54 (2). pp. 907-924. ISSN 0095-2583 (doi:10.1111/ecin.12288)

Clark, Ephraim A. and Rousseau, Patrick (2002) Strategic parameters for capital budgeting when abandonment value is stochastic. Applied Financial Economics, 12 (2). pp. 123-130. ISSN 1466-4305 (doi:10.1080/09603100110088049)

Clark, Ephraim A. and Selima, Baccar (2018) Modelling credit spreads with time volatility, skewness, and kurtosis. Annals of Operations Research, 262 (2). pp. 431-461. ISSN 0254-5330 (doi:10.1007/s10479-015-1975-5)

Clark, Ephraim A., Tan, Mark and Tunaru, Radu (2003) Cross hedging jet fuel on the Singapore spot market. International Journal of Banking and Finance, 1 (2). ISSN 1675-7227

Clark, Ephraim A. and Tunaru, Radu (2001) Emerging markets: investing with political risk. Multinational Finance Journal, 5 (3). pp. 155-173. ISSN 1096-1879

Clark, Ephraim A. and Tunaru, Radu (2008) Modelling stochastic political risk for capital budgeting: currency crises. Banque et marchés . pp. 45-56. ISSN 1167-4946

Clark, Ephraim A. and Tunaru, Radu (2003) Quantification of political risk with multiple dependent sources. Journal of economics and finance, 27 (2). pp. 125-135. ISSN 1938-9744

Clark, Ephraim A. and Tunaru, Radu (2000) Les options réelles et des risques politiques multiples dépendents: une comparaison avec le modèle du risque unique. In: Gestion des risques dans un cadre international : réflexions théoriques et tests empiriques. Bellalah, Mondher and Rahman, Kamal Abdel, eds. Economica, Paris. 9782717841299.

Clark, Ephraim A. and Tunaru, Radu (2004) Political risk in Taiwan: valuing the doubly stochastic China factor. In: Global financial markets : issues and strategies. Ghosh, Dilip K. and Ariff, Mohamed, eds. Greenwood Press. 9781567205725.

Clark, Ephraim A., Tunaru, Radu and Viney, H. (2005) An option pricing framework for the valuation of football players. Review of financial economics, 14 (3). pp. 281-295. ISSN 1058-3300 (doi:10.1016/j.rfe.2004.11.002)

Clark, Ephraim A. (2004) Measuring country risk as implied volatility. In: The Best of Wilmott 1: incorporating the quantitative finance review. Willmott, Paul, ed. John Wiley & Sons, London. 9780470023518.

Clark, Ephraim A. (2005) Modelling and measuring sovereign credit risk. In: The best of Wilmott. Wilmott, Paul, ed. John Wiley & Sons, London. .

Clark, Ephraim A. (2004) Sovereign debt default risk: quantifying the (un)willingness to pay. In: The best of wilmott 1: incorporating the quantitative finance review. Wilmott, Paul, ed. John Wiley & Sons, London. 9780470023518.

Clark, Ephraim A. and Zenaidi, Amel (1999) Sovereign debt discounts and the unwillingness to pay. Finance, 20 (2). pp. 185-199. ISSN 0752-6180

Clark, Ephraim A. and Zenaidi, Amel (2001) The quantification of country risk: effects on the sovereign debt discount. Finance India . pp. 805-820. ISSN 0970-3772

Clark, Ephraim A., Zenaidi, Amel and Baccar, S. (2007) Market valuation of technology stocks before and after the crash. International Journal of Business, 12 (2). pp. 209-216. ISSN 1083-4346

Clark, Ephraim A. and Zenaidi, Amel (2004) Country default risk and the determinants of sovereign debt discounts. In: Sovereign risk and financial crises. Frenkel, Michael, Karmann, Alexander and Scholtens, L. J. R., eds. Springer, Berlin, pp. 29-50. 9783540222484.

Clark, Ephraim A., Zenaidi, Amel and Hachicha, A. (2006) Trading patterns and prices in the Tunisian Interbank foreign exchange market: evidence from high frequency data. Euro-Mediterranean economics and finance review, 1 (1). pp. 97-115.

Clark, Ephraim A., Zenaidi, Amel and Trabelsi, Monia Gharbi (2008) Capital market integration, currency crises and exchange rate regimes. International journal of finance & economics, 13 (3). pp. 280-306. ISSN 1076-9307 (doi:10.1002/ijfe.338)

Coakes, Elayne W., Smith, Peter A. C. and Alwis, Dee (2010) Leveraging communities for sustainable innovation: a commentary. International journal of Sociotechnology and Knowledge Development, 2 (3). pp. 1-10. ISSN 1941-6253

Coakes, Elayne W., Smith, Peter A. C. and Alwis, Dee (2011) Sustainable innovation and right to market. Information Systems Management, 28 (1). pp. 30-42. ISSN 1058-0530 (doi:10.1080/10580530.2011.536110)

Coakes, Elayne W., Smith, Peter A. C. and Alwis, Dee (2009) Developing innovative practice in service industries. In: Handbook of research on Socio-technical design and social networking systems. Whitworth, Brian and De Moor, Aldo, eds. Information Science Reference, Hershey, PA, USA, pp. 209-221. 9781605662640.

De Lange, Paul, O’Connell, Brendan, Mathews, M.R. and Sangster, Alan (2010) The ERA: a brave new world of accountability for Australian University Accounting Schools. Australian Accounting Review, 20 (1). pp. 24-37. ISSN 1835-2561 (doi:10.1111/j.1835-2561.2010.00078.x)

Dedoulis, Emmanouil and Kyriacou, Orthodoxia (2012) Professionalization, sectional interests and politics in the digital era: the case of the Greek Accountancy Institute. In: Interdisciplinary Perspectives On Accounting Conference (IPA 2012), 11-13 July, Cardiff, Wales.

Degl’Innocenti, Marta, Fiordelisi, Franco, Girardone, Claudia and Radić, Nemanja (2019) Competition and risk-taking in investment banking. Financial Markets, Institutions & Instruments, 28 (2). pp. 241-260. ISSN 0963-8008 (doi:10.1111/fmii.12113)

Degl’Innocenti, Marta, Fiordelisi, Franco and Trinugroho, Irwan (2019) Competition and stability in the credit industry: banking vs. factoring industries. The British Accounting Review . ISSN 0890-8389 (Published online first) (doi:10.1016/j.bar.2019.03.006)

Deshmukh, Nitin ORCID: https://orcid.org/0000-0003-2038-8930 (2012) Performance of ethical equity investing in the UK: active, passive and criteria. PhD thesis, Middlesex University.

DiGabriele, James A. (2009) An investigation in forensic accounting: private company valuation and related components of forensic accounting. PhD thesis, Middlesex University.

Ding, Rong and Cheng, Peng (2011) Speculative trading, price pressure and overvaluation. Journal of International Financial Markets, Institutions and Money., 21 (3). pp. 419-442. ISSN 1042-4431 (doi:10.1016/j.intfin.2011.01.003)

Ding, Rong and Jia, Yuping (2012) Auditor merger, audit quality and audit fee: evidence from the PricewaterhouseCoopers merger in the UK. Journal of Accounting and Public Policy, 31 (1). pp. 69-85. ISSN 0278-4254

Doyle, John R. and Chen, Catherine Huirong (2009) On the efficiency of the Trimean and Q123. Journal of Statistics & Management Systems, 12 (2). pp. 319-323. ISSN 0972-0510

Doyle, John R. and Chen, Catherine Huirong (2013) Patterns in stock market movements tested as random number generators. European Journal Of Operational Research, 227 (1). pp. 122-132. ISSN 0377-2217 (doi:10.1016/j.ejor.2012.11.057)

Doyle, John R. and Chen, Catherine Huirong (2012) A multidimensional classification of market anomalies: evidence from 76 price indices. Journal of International Financial Markets, Institutions and Money, 22 (5). pp. 1237-1257. ISSN 1873-0612 (doi:10.1016/j.intfin.2012.07.003)

Doyle, John R. and Chen, Catherine Huirong (2009) The wandering weekday effect in major stock markets. Journal of Banking and Finance, 33 (8). pp. 1388-1399. ISSN 0378-4266 (doi:10.1016/j.jbankfin.2009.02.002)

Doyle, John R., Chen, Catherine Huirong and Savani, Krishna (2011) New designs for research in delay discounting. Judgment and Decision Making, 6 (8). 759 -770. ISSN 1930-2975

Ehnert, Ina, Parsa, Sepideh ORCID: https://orcid.org/0000-0003-4135-2865, Roper, Ian, Wagner, Marcus and Muller-Camen, Michael (2016) Reporting on sustainability and HRM: a comparative study of sustainability reporting practices by the world’s largest companies. The International Journal of Human Resource Management, 27 (1). pp. 88-108. ISSN 0958-5192 (doi:10.1080/09585192.2015.1024157)

Felimban, Razaz, Floros, Christos and Nguyen, Ann-Ngoc (2018) The impact of dividend announcements on share price and trading volume: empirical evidence from the Gulf Cooperation Council (GCC) countries. Journal of Economic Studies, 45 (2). pp. 210-230. ISSN 0144-3585 (doi:10.1108/JES-03-2017-0069)

Fiordelisi, Franco and Galloppo, Giuseppe (2018) Stock market reaction to policy interventions. European Journal of Finance, 24 (18). pp. 1817-1834. ISSN 1351-847X (doi:10.1080/1351847X.2018.1450278)

Fiordelisi, Franco, Pennacchi, George and Ricci, Ornella (2019) Are contingent convertibles going-concern capital? Journal of Financial Intermediation . ISSN 1042-9573 (Published online first) (doi:10.1016/j.jfi.2019.03.007)

Fiordelisi, Franco and Ricci, Ornella (2016) "Whatever it takes": an empirical assessment of the value of policy actions in banking. Review of Finance, 20 (6). pp. 2321-2347. ISSN 1572-3097 (doi:10.1093/rof/rfv053)

Fiordelisi, Franco, Ricci, Ornella and Stentella Lopes, Francesco Saverio (2017) The unintended consequences of the launch of the single supervisory mechanism in Europe. Journal of Financial and Quantitative Analysis, 52 (6). pp. 2809-2836. ISSN 0022-1090 (doi:10.1017/S0022109017000886)

Fortes, Hilary Jack (2000) A comparative study and critical evaluation of group accounting in Germany, France and the United Kingdom: the limitations of quantative analysis. PhD thesis, Middlesex University.

Franklin, Ellie (2012) My iPad and I. Middlesex Journal of Educational Technology, 2 (1). ISSN 2041-2762

Ghaffari, Firoozeh, Kyriacou, Orthodoxia and Brennan, Ross (2008) Exploring the implementation of ethics in UK accounting programs. Issues in Accounting Education, 23 (2). pp. 183-198. ISSN 0739-3172 (doi:10.2308/iace.2008.23.2.183)

Giannopoulos, Kostas, Clark, Ephraim A. and Tunaru, Radu (2005) Portfolio selection under VaR constraints. Computational Management Science, 2 (2). pp. 123-138. ISSN 1619-697X (doi:10.1007/s10287-004-0030-9)

Gottschalk, Sylvia ORCID: https://orcid.org/0000-0002-8629-7209 (2017) Entropy measure of credit risk in highly correlated markets. Physica A: Statistical Mechanics and its Applications, 478 . pp. 11-19. ISSN 0378-4371 (doi:10.1016/j.physa.2017.02.083)

Gottschalk, Sylvia ORCID: https://orcid.org/0000-0002-8629-7209 (2018) A closed-form formula for pricing bonds between coupon payments. Mathematical Finance Letters, 2018 . pp. 1-16. ISSN 2051-2929 (doi:10.28919/mfl/3650)

Grabski, Severin, Leech, Stewart A. and Sangster, Alan (2009) Management accounting in enterprise resource planning systems. CIMA Publishing. 9781856176798.

Hegazy, Sarah (2015) Exploring the forensic accounting practice in the UK: evidence from the profession. PhD thesis, Middlesex University.

Hussainey, Khaled and Al-Najjar, Basil (2011) Future-oriented narrative reporting: determinants and use. Journal of Applied Accounting Research, 12 (2). pp. 123-138. ISSN 0967-5426 (doi:10.1108/09675421111160691)

Johnston, Roger and Kyriacou, Orthodoxia (2011) Exploring inclusion, exclusion and ethnicities in the institutional structures of U.K. accountancy. Equality, Diversity and Inclusion, 30 (6). pp. 482-497. ISSN 2040-7149 (doi:10.1108/02610151111157701)

Judge, Amrit P. and Clark, Ephraim A. (2003) Risk management disclosure practices of UK non-financial firms after FRS13. Finance Letters, 1 (2). pp. 57-60. ISSN 1740-6242

Khasharmeh, Hussein Ali (1995) The status of financial reporting, accounting education and profession in a developing country: the case of Jordan. PhD thesis, Middlesex University.

Kyriacou, Orthodoxia (2016) Accounting for images of ‘equality’ in digital space: towards an exploration of the Greek accounting professional institute. Critical Perspectives on Accounting, 35 . pp. 35-57. ISSN 1045-2354 (doi:10.1016/j.cpa.2015.05.007)

Kyriacou, Orthodoxia (2000) Of adding machines, bean counters and lion tamers: exploring representations of accountants in films. Working Paper. Middlesex University. . (doi:Accounting & finance, No.8)

Kyriacou, Orthodoxia (2009) On trying to do oral history in accounting research. Accountancy Business and the Public Interest, 8 (2). pp. 44-64. ISSN 1745-7718

Kyriacou, Orthodoxia, Baskaran, Angathevar and Pancholi, Jatin (2008) Exploring the experiences of Indian women accountants in a globalising economy: a pilot study. Working Paper. Middlesex University. .

Kyriacou, Orthodoxia, Baskaran, Angathevar and Pancholi, Jatin (2010) (Re)presentation of women in Indian accountancy bodies' websites. Qualitative Research in Accounting and Management, 7 (3). pp. 329-352. ISSN 1176-6093 (doi:10.1108/11766091011072783)

Kyriacou, Orthodoxia, Baskaran, Angathevar and Pancholi, Jatin (2015) An exploration in visibility: some experiences of Indian women accountants. International Journal of Business Performance Management, 16 (1). pp. 19-39. ISSN 1368-4892 (doi:10.1504/IJBPM.2015.066022)

Kyriacou, Orthodoxia and Johnston, Roger (2006) Accounting for (in)visibilities: resistance, gender and control. Accountancy Business and the Public Interest, 5 (2). pp. 54-88. ISSN 1745-7718

Kyriacou, Orthodoxia and Johnston, Roger (2007) Figuring masculinities: exploring ethnic masculinities in the institutions of U.K accounting. Accountancy Business and the Public Interest, 6 (2). pp. 75-113. ISSN 1745-7718

Kyriacou, Orthodoxia and Johnston, Roger (2001) Inclusion, exclusion and ethnicities: an exploration of the institutional structures of UK accountancy. Working Paper. Middlesex University. . (doi:Accounting & Finance, No.15)

Kyriacou, Orthodoxia and Johnston, Roger (2000) A review of an invisible 'herstory' in Uk accounting : minority ethnic women accountants. Working Paper. Middlesex University. . (doi:Accounting & Finance, No.11)

Kyriacou, Orthodoxia, Pancholi, Jatin and Baskaran, Angathevar (2010) (Re)presentation of women in Indian accountancy bodies’ web sites. Qualitative Research in Accounting & Management, 7 (3). pp. 329-352. ISSN 1176-6093 (doi:10.1108/11766091011072783)

Kyriacou, Orthodoxia, Sikka, Prem, Haslam, Colin and Agrizzi, Dila (2007) Professionalising claims and the state of the UK professional accountancy education: some evidence. Accounting Education, 16 (1). pp. 3-21. ISSN 0963-9284 (doi:10.1080/09639280601150921)

Kyriakidou, Olivia, Kyriacou, Orthodoxia, Özbilgin, Mustafa and Dedoulis, Emmanouil (2016) Editorial: equality, diversity and inclusion in accounting. Critical Perspectives on Accounting, 35 . pp. 1-12. ISSN 1045-2354 (doi:10.1016/j.cpa.2015.12.004)

Lauwo, Sarah, Kyriacou, Orthodoxia and Dedoulis, Emmanouil (2017) When sorry is not an option: CSR reporting and 'face work' in a stigmatised Industry: a case study of Barrick (ACACIA) gold mine in Tanzania. In: BAFA Annual Conference 2017, 10-12 April 2017, Heriot Watt University.

Lauwo, Sarah, Kyriacou, Orthodoxia and Otusanya, Olatunde Julius (2019) When sorry is not an option: CSR reporting and 'face work' in a stigmatized industry - A case study of Barrick (Acacia) gold mine in Tanzania. Critical Perspectives on Accounting . ISSN 1045-2354 (Published online first) (doi:10.1016/j.cpa.2019.102099)

Li, Pingli, Parsa, Sepideh ORCID: https://orcid.org/0000-0003-4135-2865, Tang, Guliang and Xiao, Jason Zezhong (2012) Is there an expectations gap in the roles of independent directors? An explorative study of listed Chinese companies. British Journal of Management, 23 (2). pp. 206-222. ISSN 1045-3172 (doi:10.1111/j.1467-8551.2010.00727.x)

Li, Pingli and Tang, Guliang (2009) Performance measurement design within its organisational context: evidence from China. Management Accounting Research, 20 (3). pp. 193-207. ISSN 1044-5006 (doi:10.1016/j.mar.2009.04.002)

Li, Pingli, Tang, Guliang and Dai, Narisa (2012) Economic value added adoption in China’s state-owned enterprises : a case of evolutionary change. Project Report. Chartered Institute of Management Accountants. .

Li, Pingli, Tang, Guliang, Okano, Hiroshi and Gao, Chen (2011) Management controls in automotive international joint ventures involving Chinese parent companies. Project Report. Chartered Institute of Management Accountants. .

Li, Pingli, Tang, Guliang, Okano, Hiroshi and Gao, Chen (2013) The characteristics and dynamics of management controls in IJVs: evidence from a Sino-Japanese case. Management Accounting Research . ISSN 1044-5005 (doi:10.1016/j.mar.2013.04.002)

Liu, Ju and Baskaran, Angathevar (2009) The university, industry: government relationship of technological innovator networks in different national innovation systems: a comparative case study. African Journal of Science, Technology, Innovation and Development, 1 (2 & 3). pp. 62-88. ISSN 2042-1338

Liu, Ju, Baskaran, Angathevar and Li, Shimming (2009) Building technological-innovation-based strategic capabilities at firm level in China: a dynamic resource-based-view case study. Industry and Innovation, 16 (4-5). pp. 411-434. ISSN 1366-2716 (doi:10.1080/13662710903053706)

Liu, Ju, Baskaran, Angathevar and Muchie, Mammo (2011) Global recession and the National System of Innovation in China:‘a blessing in disguise’? African Journal of Science, Technology, Innovation and Development, 3 (4). pp. 107-140. ISSN 2042-1338

Liu, Ju, Baskaran, Angathevar and Muchie, Mammo (2010) Global recession and the national system of innovation in China: ‘A Blessing in Disguise’? Working Paper. DIR & Department of Culture and Global Studies, Aalborg, Denmark. .

Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Battaggion, Maria Rosa (2015) Technological breadth and depth of knowledge in innovation: the role of mergers and acquisitions in biotech. Industrial and Corporate Change, 24 (2). pp. 383-415. ISSN 0960-6491 (doi:10.1093/icc/dtu013)

Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Nandy, Monomita (2017) Gender inequality and disabled inclusivity in accounting higher education and profession during financial crisis. Industry and Higher Education, 31 (5). pp. 335-347. ISSN 0950-4222 (doi:10.1177/0950422217725227)

Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480, Nandy, Monomita and Chen, Jean (2014) Innovation and family ownership: empirical evidence from India. Corporate Governance: An International Review, 22 (1). pp. 4-23. ISSN 0964-8410 (doi:10.1111/corg.12034)

Lodh, Suman ORCID: https://orcid.org/0000-0002-4513-1480 and Nandy, Monomita (2017) The impact of international financial reporting standards adoption on earnings management: evidence from EU countries. In: Understanding Bankruptcy: Global Issues, Perspectives and Challenges. Ekanem, Ignatius U., ed. Nova Science Publishers, pp. 173-194. 9781536123999.

Mahmuda, Ismat, Baskaran, Angathevar and Pancholi, Jatin (2011) Financing social innovation: a case study of micro financing in Bangladesh. Working Paper. Institute for Economic Research on Innovation, Pretoria. .

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This list was generated on Wed Oct 23 04:49:58 2019 BST.