Items where Subject is "H Social Sciences > HG Finance"

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Number of items at this level: 125.

A

Ahmad, Wasim (2015). The impact of lockup period on survival, long-run performance and earnings management of IPOs in UK. University of Birmingham. Ph.D.

Akhand, MD Zakir Hossain (2012). Coercion or persuasion? Making large corporations tax compliant in Bangladesh. University of Birmingham. Ph.D.

Al Hinai, Mansoor Talib (2016). The impact of privatization on company performance, the case of Egypt. University of Birmingham. D.B.A.

Al-Tarawneh, Alaaeddin (2012). Topics on financial crises in emerging countries case of Jordan. University of Birmingham. Ph.D.

AlMohaimmeed, Bader M (2012). Customer behaviour towards internet banking: a study of the dormant users of Saudi Arabia. University of Birmingham. Ph.D.

Alkhataybeh, Ahmad Abdallah (2018). Determinants of research and development on the alternative investment market (AIM). University of Birmingham. Ph.D.

Alsabah, Abdullah Faisal (2023). Essays on information arrival and asset prices. University of Birmingham. Ph.D.

Alshehabi, Ahmad (2016). The impact of national culture and institutions on goodwill-impairment practices across IFRS-adopting nations. University of Birmingham. Ph.D.

Alzaghoul, Esra Fawaz Ahmad (2015). Value- and debt-aware selection and composition in cloud-based service-oriented architectures using real options. University of Birmingham. Ph.D.

Alzugaiby, Basim (2019). Essays on risks in banking. University of Birmingham. Ph.D.

Amar, Amshika (2012). Models of corruption. University of Birmingham. M.Phil.

Ampaabeng, Alexander (2019). Taxing the informal sector in developing countries: the case of Ghana. University of Birmingham. Ph.D.

Anya, Adamu Godwin (2015). Management control systems design under mergers: evidence from the Nigerian banking sector. University of Birmingham. Ph.D.

Appleyard, Lindsey Jemma (2008). Overcoming financial exclusion: Community Development Finance Institutions (CDFIs) and the balancing of financial and social objectives. University of Birmingham. Ph.D.

Ayoush, Maha Diab (2011). Are cross-border mergers and acquisitions better or worse than domestic mergers and acquisitions? The UK evidence. University of Birmingham. Ph.D.

B

Bertram, Heloise Marika (1999). The development of fiscal controls over international transfer pricing. University of Birmingham. M.Sc.

Bhankaraully, Shabneez (2017). Financialisation, institutions and the implications for employment relations. University of Birmingham. Ph.D.

Bian, Huan (2018). Executive ownership, CEO over-confidence and firm policies. University of Birmingham. Ph.D.

C

Cao, Ruanmin (2015). Alternative portfolio methods. University of Birmingham. Ph.D.

Chen, Wei (2009). Three Essays on: Hedging in China's Oil futures market; Gold, Oil and Stock Market Price Volatility links in the USA; and, Currency Fluctuations in S.E. and Pacific Asia. University of Birmingham. Ph.D.

Chen, Yunxu (2023). Three essays on innovation and agency-related issues. University of Birmingham. Ph.D.

Chuang, Chienmin (2012). Multi-asset option pricing problems: a variational approach. University of Birmingham. Ph.D.

Currie, David (2023). The VAT exemption for the management of special investment funds: a review of their design, impact and alternatives. University of Birmingham. M.Sc.

D

Dawood, Mary Hany A. K. (2016). The challenge of predicting financial crises: modelling and evaluating early warning systems. University of Birmingham. Ph.D.

Delamaire, Linda (2012). Implementing a credit risk management system based on innovative scoring techniques. University of Birmingham. Ph.D.

Dimos, Athanasios (2011). IFRS and European commerical banks: value relevance and economic consequences. University of Birmingham. Ph.D.

Du, Jing (2016). Political connections in China: determinants and effects on firms’ exporting behaviour and financial health. University of Birmingham. Ph.D.

E

Edwards, Amy (2017). Financial consumerism: mass investment culture and Thatcherism, c.1958-1995. University of Birmingham. Ph.D.

Egbe, Inya E. (2015). The design and use of management control systems in a multinational enterprise - evidence from an emerging multinational. University of Birmingham. Ph.D.

Evemy, John (2019). The changing role of the Bank of England: 2006-2015. University of Birmingham. Ph.D.

F

Fan, Qimiao (1991). Models of bank portfolio behaviour with reference to commercial banks in the United Kingdom. University of Birmingham. Ph.D.

Freitas de Moura, André Aroldo (2017). The impact of mandatory adoption of International Financial Reporting Standards on accounting quality, analysts' information environment and cost of capital in Latin America. University of Birmingham. Ph.D.

G

Galpin, Charlotte Amy (2015). Euro crisis...identity crisis? The single currency and European identities in Germany, Ireland and Poland. University of Birmingham. Ph.D.

Gao, Ge (2022). Essays on the peer-to-peer lending markets. University of Birmingham. Ph.D.

Gao, Yang (2023). Three essays in corporate finance. University of Birmingham. Ph.D.

Germanos, Georgios (2012). The process of the strategy formulation in small and medium enterprises in Greece and the role of accounting information. University of Birmingham. Ph.D.

Giansoldati, Marco (2017). Trade credit in China: evidence from unlisted companies. University of Birmingham. Ph.D.

Glyptis, Loukas G. (2010). The cost management and control of inter-organisational relationships: a case from the Greek shipping industry. University of Birmingham. Ph.D.

Gokmen, Seyit (2022). Essays on financial intermediation, geography, and regulation. University of Birmingham. Ph.D.

Goodfellow-Smith, Michael ORCID: 0000-0001-7177-9283 (2019). How can finance and insurance institutions help deliver sustainable city infrastructure? University of Birmingham. Ph.D.

Gómez Portaleoni, Claudio (2011). The impact of corporate foresight on strategic decisions – a case of a European bank. University of Birmingham. Ph.D.

H

Haji Mohamad Zubir, Ahmad Shauqi Bin (2018). The tracking, profitability and inflation risk hedging performance of gold ETFs in the UK during 2004 – 2014. University of Birmingham. Ph.D.

Hanif, Tanzeela (2024). Essays on the impact of peer-to-peer lending. University of Birmingham. Ph.D.

Hart, Samantha Leigh (2018). Why do we pay tax? is it because we are good citizens? how tax fits with modern conceptualisations of citizenship. University of Birmingham. Ph.D.

Hong, Songzhi (2024). Three essays in empirical corporate finance. University of Birmingham. Ph.D.

Huang, Cong (2018). Liquidity, corporate policy, and corporate governance. University of Birmingham. Ph.D.

Huang, Ji (2011). Long-term performance of UK IPOs. University of Birmingham. Ph.D.

Huang, Rong (2017). Time-varying performance in the cross-section of mutual fund returns. University of Birmingham. Ph.D.

Huang, Siyu (2022). The impact of corporate governance mechanisms and characteristics of CEOs and directors on corporate outcomes. University of Birmingham. Ph.D.

J

Jenkins, David (2015). The potential for an EU supracapitalism. University of Birmingham. Ph.D.

Jiang, Ye (2014). Testing asset pricing models under non-linear assumptions: evidence from UK firm level panel data. University of Birmingham. M.Sc.

Jiang, Yucen (2023). Three theses on corporate finance. University of Birmingham. Ph.D.

Jin, Yi (2013). An investigation into bank behaviour up to the 2007-08 global financial crisis. University of Birmingham. Ph.D.

Johan, Irni Rahmayani (2018). Financial capability among university students in Indonesia. University of Birmingham. Ph.D.

K

Kaawach, Said (2022). Essays on Peer-to-Peer Lending. University of Birmingham. Ph.D.

Khemmarat, Khemrutai (2010). Community characterisitcs and industrial toxic releases in the United States. University of Birmingham. Ph.D.

Kim, Jung Hoon (2016). Mis-selling of over-the-counter derivatives: a call for more hamornized interplay between private law and financial regulation. University of Birmingham. M.Phil.

Konovalova, Mayya (2020). The impact of global regulations and international relations on the regulatory environment of a “tax haven”: a case study of Seychelles. University of Birmingham. Ph.D.

Kroessin, Ralf (2012). An exploratory study of the discourse of the Islam and development: the case of the Islami Bank Bangladesh. University of Birmingham. Ph.D.

L

Latif, Jibril (2016). Just money and interest: moving beyond Islamic banking by reframing discourses. University of Birmingham. Ph.D.

Le, Chau Ho An (2013). Cross-border financial linkages and international financial contagion: an empirical study of East Asia during the 2007-2011 global financial crisis. University of Birmingham. Ph.D.

Le, Trung Thanh (2012). Essays on multivariate volatility models: an application to emerging financial markets. University of Birmingham. Ph.D.

Lee, Ju Hyun (2010). Selective disclosure: the case of the Korean securities market. University of Birmingham. Ph.D.

Lee, Sungwon (2014). The impact of the Korean preliminary feasibility study on budgetary decisions. University of Birmingham. Ph.D.

Lerskullawat, Polwat (2011). Seasoned equity offerings in an emerging market: evidence from Thailand. University of Birmingham. Ph.D.

Li, Danying (2019). Household finance, consumption and health: evidence from China and European countries. University of Birmingham. Ph.D.

Li, Hang (2019). Special topics in mergers and acquisitions. University of Birmingham. Ph.D.

Li, Junchen (2023). The influence of CEO past experience and connectedness on corporate decision-making. University of Birmingham. Ph.D.

Li, Sheng (2014). Improving the sentiment classification of stock tweets. University of Birmingham. Ph.D.

Li, Xia ORCID: 0000-0003-4300-6595 (2023). Essays on executive compensation. University of Birmingham. Ph.D.

Li, Xiaojun (2009). Financial stability of the banking sector - interbank contagion, market discipline, and macroeconomic roots of crises. University of Birmingham. Ph.D.

Li, Zhe ORCID: 0000-0003-1442-4499 (2021). Three empirical essays on corporate social responsibility. University of Birmingham. Ph.D.

Liu, Bing (2017). The impact of diplomatic visits on China’s international trade and FDI. University of Birmingham. Ph.D.

Liu, Yi (2017). Essays on systemic risk and risk spillovers. University of Birmingham. Ph.D.

Long, Michael John Adrian (2010). Theological reflection on international debt: a critique of the Jubilee 2000 debt cancellation campaign. University of Birmingham. Ph.D.

M

Manik, Hasiando Ginsar (2016). Essays on monetary and macroprudential policies with different models of expectation. University of Birmingham. Ph.D.

Manos, Ronny (2001). Capital structure and dividend policy: evidence from emerging markets. University of Birmingham. Ph.D.

Mao, Wei (2014). The interaction between exchange rates and stock prices. University of Birmingham. Ph.D.

Moss, John Gordon Robert (2015). Personal financial planning advice: barriers to access. University of Birmingham. Ph.D.

Mousa, Nabih Yosef Abdallaf (2010). Monetary policy and the role of exchange rate: the case of Jordan. University of Birmingham. Ph.D.

Muhammad, Zahid (2010). Portofolio behaviour of scheduled banks of Pakistan. University of Birmingham. Ph.D.

Muriu, Peter W (2011). Microfinance profitability. University of Birmingham. Ph.D.

N

Ngo, Trong Vi (2013). Capital structure and microfinance performance: a cross-country analysis and case study of Vietnam. University of Birmingham. Ph.D.

O

Omar, Hisham Farag (2012). Essays on price overreaction and price limits in emerging markets: the case of the Egyptian stock exchange. University of Birmingham. Ph.D.

Omolo, Martha Anyango (2018). Evaluating the effects of fiscal contractionary policies in emerging economies and the UK. University of Birmingham. Ph.D.

Overton, Louise (2012). More than just a home: exploring the role of equity release. University of Birmingham. Ph.D.

Q

Quach, Manh Hao (2005). Access to finance and poverty reduction : an application to rural Vietnam. University of Birmingham. Ph.D.

R

Randalls, Samuel Cecil (2006). Firms finance and the weather: the UK weather derivatives market. University of Birmingham. Ph.D.

Raz, Arisyi Fariza ORCID: 0000-0003-3698-792X (2022). Essays on financial regulations, bank opacity, and bank risks. University of Birmingham. Ph.D.

Rowbottom, Nick (1999). Intangible asset accounting and accounting policy selection in the football industry. University of Birmingham. Ph.D.

Rowe-Haynes, Maxwell David (2017). Micro-finance and small and medium-sized enterprises: the social, economic and environmental impacts of community development finance institutions in the UK. University of Birmingham. M.Phil.

Ryan, Jo-Anne (2011). Exploring the investor relations website: the impact of internet reporting on institutions. University of Birmingham. Ph.D.

S

Sha'ven, Widin Bongasu (2015). A study of accounting and accountability practices in microfinance institutions (MFIs): case evidence from Cameroon. University of Birmingham. Ph.D.

Smith, Barry Peter (2011). Extensible business reporting language: an interpretive investigation of the democratisation of financial reporting. University of Birmingham. Ph.D.

Sun, Chang (2021). Essays on modelling and forecasting stock markets with investor sentiment. University of Birmingham. Ph.D.

Sun, Mingru (2009). Transaction cost, holding period and return volatility: an investigation of the stock market microstructure on the Chinese stock market. University of Birmingham. Ph.D.

Sun, Puyang (2009). Economic development with finance: studies of emerging economies. University of Birmingham. Ph.D.

Syed, Fatima Shaaria (2018). Financial education in schools: policy into practice. University of Birmingham. Ph.D.

T

Tang, Weiqing (2018). Global commodity futures market modelling and statistical inference. University of Birmingham. Ph.D.

Tawfik, Myada (2017). Management control systems in accounting firms: an Egyptian perspective. University of Birmingham. Ph.D.

Thakoor (Vimal), Jeevendranath (2010). Pensions reforms, redistribution and welfare. University of Birmingham. Ph.D.

Tran, Mai Ngoc (2018). Essays on stock market behaviour. University of Birmingham. Ph.D.

Tutuncu, Lokman (2015). Empirical essays on performance of management buyouts. University of Birmingham. Ph.D.

U

Ulpah, Maria (2016). Essays on market imperfections and financing constraints for SME. University of Birmingham. Ph.D.

V

Vasquez Galan, Belem Iliana (2006). The effect of trade liberalisation and foreign direct investment in Mexico. University of Birmingham. Ph.D.

Vu, Chi Thi Cam (2017). Microsavings and performance of microfinance institutions. University of Birmingham. Ph.D.

W

Wang, Bo (2020). Research into executive compensation, risk, and mergers and acquisitions. University of Birmingham. Ph.D.

Wei, Hongxu (2010). Foreign direct investment and economic development in China and East Asia. University of Birmingham. Ph.D.

Wu, Fei (2020). Essays on systemic risk in financial markets. University of Birmingham. Ph.D.

Wu, Wei (2017). Fintech and financial inclusion in Guangdong, China: resources, embeddedness, fraud and routine. University of Birmingham. Ph.D.

X

Xiao, Di (2019). Credit rating, CEO compensation and corporate investment. University of Birmingham. Ph.D.

Xiao, Lianghai (2020). Complementarity and related problems. University of Birmingham. Ph.D.

Y

Yang, Xiaocong (2017). Older people in China: their health and the roles of social capital and household income inequality. University of Birmingham. Ph.D.

Yapa Abeywardhana, Dilrukshi Krishanthi (2012). Financing decision, cost of debt and profitability: evidence from non-financial SMEs in the UK. University of Birmingham. Ph.D.

Yeromonahos, Mallory (2021). Essays on macroeconomic dynamics: learning, uncertainty, and heterogeneity in credit crises. University of Birmingham. Ph.D.

Yin, Tong (2019). The effects of China’s OFDI related policies on China’s OFDI. University of Birmingham. Ph.D.

Yu, Jiejun (2012). Performance evaluation of the UK equity unit trusts: does active management add value? University of Birmingham. Ph.D.

Yu, Xinyu (2019). Empirical essays on government involvement in chinese listed firms. University of Birmingham. Ph.D.

Yuan, Jiayi (2023). Three essays on mergers and acquisitions. University of Birmingham. Ph.D.

Yuan, Zihao (2024). Thesis in corporate policies. University of Birmingham. Ph.D.

Z

Zhang, Jing (2008). Foreign direct investment, governance, and the environment in China: regional dimensions. University of Birmingham. Ph.D.

Zhang, Lei (2010). An empirical study of unit IPOS in the UK: why do firms include warrants in initial public offerings? University of Birmingham. Ph.D.

Zhang, Xiangguo (2023). Heterogeneous information in market microstructure. University of Birmingham. Ph.D.

Zhou, Dan (2015). Performance of UK SMBOS. University of Birmingham. Ph.D.

Zhou, Weifeng (2018). Behaviour of futures markets and implication for portfolio choice. University of Birmingham. Ph.D.

This list was generated on Sat Dec 21 16:34:54 2024 GMT.