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Number of items: 9.

Mason, A, Agyei-Ampomah, S and Skinner, F (2015) Realism, Skill & Incentives: Current and Future Trends in Investment Management and Investment Performance International Review of Financial Analysis, 43. pp. 31-40.

Gounopoulos, D (2013) Exchange Rate Risk and the Equity Performance of Financial Intermediaries In: Financial Management, October 2011, U.S.A..

Nandy, M (2012) Do banks value the eco-friendliness of firms in their corporate lending decision? Some empirical evidence International Review of Financial Analysis, 25. pp. 83-93.

Agyei-Ampomah, S, Mazouz, K and Yin, S (2012) The foreign exchange exposure of UK non-financial firms: A comparison of market-based methodologies International Review of Financial Analysis.

Skinner, FS and Mason, A (2011) Covered interest rate parity in emerging markets International Review of Financial Analysis, 20 (5). pp. 355-363.

Petmezas, D (2010) Managerial Overconfidence in High and Low Valuation Markets and Gains to Acquisitions International Review of Financial Analysis, 19 (5). pp. 368-378.

Pasiouras, F, Tanna, S and Zopounidis, C (2009) The impact of banking regulations on banks' cost and profit efficiency: Cross-country evidence International Review of Financial Analysis, 18 (5). pp. 294-302.

Nuri, J and Skinner, F (2007) Hedging emerging market bonds and the rise of credit default swap International Review of Financial Analysis, 16 (5). pp. 452-470.

Pasiouras, F, Tanna, S and Zopounidis, C (2007) The identification of acquisition targets in the EU banking industry: An application of multicriteria approaches International Review of Financial Analysis, 16 (3). pp. 262-281.

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