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: 39.

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 & 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]

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

F

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

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.

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.

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 and Michie, Jonathan (2022) 'Measuring Corporate Diversity in Financial Services: A Diversity Index.' International Review of Applied Economics, 2022 (July). (Forthcoming)

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 Sat Aug 13 03:00:43 2022 BST.