Collection's Items (Sorted by Submit Date in Descending order): 41 to 60 of 306
Issue Date | Title | Author(s) | Editor(s) | Type |
Jun-2022 | To sell or not to sell? Pricing strategies of newly-graduated artists | Lee, Boram; Fraser, Ian; Fillis, Ian | - | Journal Article |
2022 | Revisiting volatility spillovers in the Gulf Cooperation Council | Ziadat, Salem; AlKhouri, Ritab | - | Journal Article |
Feb-2022 | Mandatory CSR expenditure and stock market liquidity | Roy, Partha P; Rao, Sandeep; Zhu, Min | - | Journal Article |
17-Jan-2022 | Virtual Teaching Experience Amidst the Pandemic: A Perspective from the Middle East | Alexander, Rhoda | - | Journal Article |
26-Feb-2022 | Ethical Disputes, Coordinating Acts and NGO Accountability: Evidence from an NGO river-care programme in Malaysia | Ang, Soon Yong; Wickramasinghe, Danture | - | Journal Article |
Jan-2022 | The Time-Varying Relation between Stock Returns and Monetary Variables | McMillan, David G | - | Journal Article |
Mar-2022 | Oil shocks and equity returns during bull and bear markets: The case of oil importing and exporting nations | Ziadat, Salem Adel; McMillan, David; Herbst, Patrick | - | Journal Article |
18-Oct-2021 | Herding in Imperial Russia: Evidence from the St. Petersburg Stock Exchange (1865-1914) | Gavriilidis, Konstantinos; Kallinterakis, Vasileios | - | Journal Article |
14-Jan-2022 | The Predictive Ability Of Stock Market Factors | Elgammal, Mohammed; Ahmed, Fatma; McMillan, David | - | Journal Article |
15-Sep-2021 | Capital Structure and Political Connections: Evidence from GCC Banks and the Financial Crisis | McMillan, David; Ahmed, Fatma | - | Journal Article |
Sep-2021 | Forecasting Realised Volatility: Does the LASSO approach outperform HAR? | Ding, Yi; Kambouroudis, Dimos; McMillan, David | - | Journal Article |
Oct-2021 | Forecasting realized volatility: The role of implied volatility, leverage effect, overnight returns, and volatility of realized volatility | Kambouroudis, Dimos; McMillan, David; Tsakou, Katerina | - | Journal Article |
Dec-2021 | Multiscale Stock-Bond Correlation: Implications for Risk Management | Alrababa'a, Abdel; Alomari, Mohammad; McMillan, David | - | Journal Article |
Jul-2021 | Forecasting Sector Stock Market Returns | McMillan, David | - | Journal Article |
May-2021 | When and Why Do Stock and Bond Markets Predict US Economic Growth? | McMillan, David | - | Journal Article |
Mar-2021 | Savings goals and wealth allocation in household financial portfolios | Changwony, Frederick Kibon; Campbell, Kevin; Tabner, Isaac T | - | Journal Article |
2020 | The Covid-19 Stock Market Puzzle and Money Supply in the US | Humpe, Andreas; McMillan, David | - | Journal Article |
Mar-2021 | The Role of Oil as a Determinant of Stock Market Interdependence: The Case of the USA and GCC | McMillan, David; Ziadat, Salem; Herbst, Patrick | - | Journal Article |
2021 | Significance, relevance and explainability in the machine learning age: an econometrics and financial data science perspective | Hoepner, Andreas G F; McMillan, David; Vivian, Andrew; Wese Simen, Chardin | - | Journal Article |
2020 | Explaining the stock-stock, bond-bond and stock-bond correlation across countries | McMillan, David G | - | Journal Article |
Collection's Items (Sorted by Submit Date in Descending order): 41 to 60 of 306