SOAS Research Online

A Free Database of the Latest Research by SOAS Academics and PhD Students

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Group by: Creators Name | Item Type
Jump to: A | B | C | D | E | F | G | H | J | K | M | N | O | P | R | S | T | Y
Number of items at this level: 46.

A

Alexakis, Christos, Kenourgios, Dimitris, Pappas, Vasileios and Petropoulou, Athina (2021) 'From dotcom to Covid-19: A convergence analysis of Islamic investments.' Journal of International Financial Markets, Institutions and Money, 75 (101423).

B

Barrowclough, Diana and Marois, Thomas (2022) 'Public Banks, Public Purpose, and Early Actions in the Face of Covid-19.' Review of Political Economy, 34 (2). pp. 372-390.

Becchetti, Leonardo, Salustri, Francesco and Scaramozzino, Pasquale (2017) Making Information on CSR Scores Salient: A Randomized Field Experiment. London: Centre for Financial and Management Studies.

Becchetti, Leonardo, Salustri, Francesco and Scaramozzino, Pasquale (2017) Making Information on CSR Scores Salient: A Randomized Field Experiment. Bologna, Italy: AICCON.

Bhatt Hakhu, Antra, Piergallini, Alessandro and Scaramozzino, Pasquale (2016) 'Public Capital Expenditure and Debt Dynamics: Evidence from the EU.' Politica Economica. Journal of Economic Policy, XXXII (3). pp. 555-574.

C

Clark, Gordon L., Fiaschetti, Maurizio and Gerrans, Paul (2019) 'Determinants of advice seeking within defined contribution retirement savings schemes.' Accounting and Finance, 59 (S1). pp. 563-591.

Clark, Gordon L., Fiaschetti, Maurizio, Tufano, Peter and Viehs, Michael (2018) 'Playing with your Future: Who Gambles in Defined-Contribution Pension Plans?' International Review of Financial Analysis, 60. pp. 213-225.

D

Demir, Ayse, Pesque-Cela, Vanesa, Altunbas, Yener and Murinde, Victor (2022) 'Fintech, financial inclusion and income inequality: A quantile regression approach.' The European Journal of Finance, 28 (1). pp. 86-107.

Demir, Ayse, Pesque-Cela, Vanesa and Murinde, Victor (2020) Threshold Effects of Financial Inclusion on Income Inequality. London: SOAS Centre for Global Finance Working Paper Series no. 2/2020.

Driver, Ciaran, Grosman, Anna and Scaramozzino, Pasquale (2020) How investor pressure leads to higher dividend payouts. LSE Business Review [Opinion Pieces / Media / Blogs]

Driver, Ciaran, Grosman, Anna, Scaramozzino, Pasquale and Lesame, Keagile (2023) Dividends Policy and Payouts: Evidence from South Africa. Pretoria: South African Reserve Bank Working Paper Series WP/23/03.

Dyakova, Aneta and Smith, Graham (2013) 'Bulgarian stock market relative predictability: BSE-Sofia stocks and South East European markets.' Applied Financial Economics, 23 (15). pp. 1257-1271.

Dyakova, Aneta and Smith, Graham (2013) 'The evolution of stock market predictability in Bulgaria.' Applied Financial Economics, 23 (9). pp. 805-816.

E

Ercanbrack, Jonathan (2022) Islamic Social Finance and the Sustainable Development Goals. London: Centre of Islamic and Middle Eastern Law (CIMEL) SOAS University of London ; Qatar Financial Centre.

Ercanbrack, Jonathan G (2024) 'Hawala in Criminal Court: the Role of Law and Commercial Culture in Informal Financial Exchange.' Crime, Law and Social Change. (Forthcoming)

Ercanbrack, Jonathan and Bahra, Narita (2019) Hawala Money Transfer Systems: Debunking the Presumption of Illegitimacy. Business Crime and Financial Services [Opinion Pieces / Media / Blogs]

F

Fattouh, Bassam, Pisicoli, Beniamino and Scaramozzino, Pasquale (2023) Debt and Financial Fragility: Italian Non-Financial Companies after the Pandemic. Rome: CEIS Working Paper No. 551.

Fattouh, Bassam, Pisicoli, Beniamino and Scaramozzino, Pasquale (2024) 'Debt and Financial Fragility: Italian Non-Financial Companies after the Pandemic.' Economic Modelling, 131 (106628).

Ferrarini, Benno, Hinojales, Marthe and Scaramozzino, Pasquale (2017) 'Chinese Corporate Leverage Determinants.' Journal of Asian Finance Economics and Business, 4 (1). pp. 5-18.

Ferrarini, Benno, Hinojales, Marthe and Scaramozzino, Pasquale (2017) Leverage and Capital Structure Determinants of Chinese Listed Companies. Manila: Asian Development Bank.

Ferrarini, Benno and Scaramozzino, Pasquale (2015) 'The Product Space Revisited: China’s Trade Profile.' The World Economy, 8 (9). pp. 1368-1386.

G

Gerteis, Christopher and George, Timothy S., eds. (2012) Japan since 1945: from Postwar to Post-Bubble. London and New York: Bloomsbury.

H

Hsiao, Mark (2009) Financial Regulations of Financial Derivatives, Securitizations and Trusts in China. Toronto: Carswell.

J

Jayakody, Shashitha, Morelli, David and Oberoi, Jaideep (2023) 'Political uncertainty, corruption, and corporate cash holdings.' Journal of Corporate Finance, 82. p. 102447.

Jinjarak, Yothin, Scaramozzino, Pasquale and Simms, Jonathan (2013) 'Introduction to Valuation.' London, UK: CeFiMS (Centre for Financial and Management Studies), University of London.

K

Kling, Gerhard, Pesque-Cela, Vanesa, Tian, Lihui and Luo, Deming (2022) 'A Theory of Financial Inclusion and Income Inequality.' The European Journal of Finance, 28 (1). pp. 137-157.

Kling, Gerhard, Volz, Ulrich, Murinde, Victor and Ayas, Sibel (2019) The Impact of Climate Vulnerability on Firms’ Cost of Capital and Access to Finance. London: SOAS Centre for Sustainable Finance.

Kraemer, Moritz and Volz, Ulrich (2024) Mobilising A Trillion Dollars for Climate Mitigation in Poor Countries: A Proposal for a New Finance Facility against Climate Change. London: Centre for Sustainable Finance, SOAS, University of London.

M

Marois, Thomas and Muñoz-Martínez, Hepzibah (2016) 'Navigating the Aftermath of Crisis and Risk in Mexico and Turkey.' Research in Political Economy, 31. pp. 165-194.

Michie, Jonathan and Oughton, Christine (2022) 'Measuring Corporate Diversity in Financial Services: A Diversity Index.' International Review of Applied Economics, 36 (3). pp. 308-337.

Mitrodima, Gelly and Oberoi, Jaideep Singh (2024) 'CAViaR models for Value-at-Risk and Expected Shortfall with long range dependency features.' Journal of the Royal Statistical Society Series C: Applied Statistics, 73 (1). 1 -27.

Mosley, Paul, Harrigan, Jane and Toye, John (1995) Aid and Power: The World Bank and Policy-Based Lending. London: Routledge.

N

Niemczak, Kinga and Smith, Graham (2013) 'Middle Eastern stock markets: absolute, evolving and relative efficiency.' Applied Financial Economics, 23 (3). pp. 181-198.

Nissanke, Machiko and Aryeetey, Ernest (2008) 'Institutional Analysis of Financial Market Fragmentation in sub-saharan Africa: a Risk-Cost Configuration Approach.' In: Mavrotas, George, (ed.), Domestic Resource Mobilization and financial Development. Palgrave Macmillan, pp. 112-116.

O

Oughton, Christine, Pesque-Cela, Vanesa and Tobin, Damian (2018) The Evolution of the Financial System in China: A Diversity Index. In: European Association for Evolutionary Political Economy Annual Conference, 6-8 September, University of Nice Sophia Antipolis (Nice, France).

P

Pesque-Cela, Vanesa, Tian, Lihui, Luo, Deming and Kling, Gerhard (2018) Defining and Measuring Financial Inclusion: Evidence from Cross-Country Datasets and China. In: Stockholm School of Economics and Peking University Joint Conference on Finance, Trade and Political Economy, 23-24 August, Stockholm School of Economics (Stockholm, Sweden).

Pietrelli, Rebecca and Scaramozzino, Pasquale (2019) 'Internal Migration Is an Effective Risk Management Strategy for Households in Rural Tanzania.' N-IUSSP . International Union for the Scientific Study of Population.

R

Robb, Peter (1993) 'Intermediaries and Change in Eighteenth-Century Gujarat: A Note on G.D. Sharma’s View of Credit, Revenue and Commerce.' In: Austin, Gareth and Sugihara, Kaoru, (eds.), Local Suppliers of Credit in the Third World, 1750-1960. London: Macmillan; New York: St. Martin’s Press, pp. 29-35.

S

Saez, Lawrence (2004) Banking Reform in India and China. Basingstoke: Palgrave MacMillan.

Sinha, Subir (2003) 'Breaking the Waves. Reading World Bank and Social Movement Documents on the Global Fisheries.' In: Kumar, Amitava, (ed.), World Bank Literature. Minneapolis: University of Minnesota Press, pp. 111-127.

Smith, Graham and Dyakova, Aneta (2014) 'African stock markets: efficiency and relative predictability.' South African Journal of Economics, 82 (2). pp. 258-275.

Sun, Laixiang (2001) Aggregate Behaviour of Investment in China, 1953-96: An Analysis of Investment Hunger and Fluctuation. Basingstoke: Palgrave and St. Martin's Press.

Sun, Landong, Tian, Zhan, Zou, Huan, Shao, Lanzhu, Sun, Laixiang, Dong, Guangtao, Fan, Dongli, Huang, Xinxing, Frost, Laura and Fox-James, Lewis (2019) 'An Index-Based Assessment of Perceived Climate Risk and Vulnerability for the Urban Cluster in the Yangtze River Delta Region of China.' Sustainability, 11 (7).

T

Toporowski, Jan (2005) Theories of Financial Disturbance. An Examination of Critical Theories of Finance from Adam Smith to the Present Day. Cheltenham: Edward Elgar.

Toporowski, Jan and Levy Orlik, N. (2007) 'Open Market Operations in Emerging Markets. The Mexican Experience.' In: Mayes, D. G. and Toporowski, Jan, (eds.), Open Market Operations and Financial Markets. London: Routledge, pp. 157-177.

Y

Young, Tom and Williams, David (2007) 'The World Bank and the Liberal Project.' In: Moore, David, (ed.), The World Bank Development Poverty Hegemony. Scottsville, South Africa: University of KwaZulu-Natal Press.

This list was generated on Fri Jul 19 03:12:19 2024 BST.