Nottingham University Business School
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Recent publications

The following lists journal articles, books and book chapters published by current members of Nottingham University Business School staff from 2014 to the present day. Please note that whilst other types of publication are excluded, these can be accessed from the academic staff pages.

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TypeYearPublicationDepartmentTag
Journal article2025Ahmed, W.; Taffler, R.; Tosun, O. (2025)., "Executive Compensation and the Credibility of Share Buyback Announcements" Review of Quantitative Finance and Accounting, forthcomingFinance, Risk and Banking
Journal article2025Akyildirim, E.; Corbet, S.; Nicolau, J. L.; Oxley, L. (2025)., "Understanding reputational disaster during economic crises: Evaluating aviation sector response differentials." Tourism ManagementFinance, Risk and Banking
Journal article2025Akyildirim, E.; GAmbara, M., Teichmann, J.; Zhou, S. (2025)., "Randomized signature methods in optimal portfolio selection" Quantitative FinanceFinance, Risk and Banking
Journal article2025Golder, U., Barua, S., Abedin, M. Z., Adu, D. A., and Ren, B. (2025)., "Determinants of FinTech Equity Funding Flows: Evidence from a Global Perspective" International Journal of Finance and Economics, forthcomingAccounting
Journal article2025Hasselgren, Anton; Hou, Ai Jun; Suardi, Sandy; Xu, Caihong; Ye, Xiaoxia (2025)., "Do Oil Price Forecast Disagreement of Survey of Professional Forecasters Predict Crude Oil Return Volatility?" International Journal of Forecasting, Vol. 41, pp.141-152Finance, Risk and Banking
Journal article2025Iris Li, Erdinc Akyildirim, Thomas Conlon, Shaen Corbet (2025)., "Corporate reputational dynamics and their impact on global commodity markets" Journal of Commodity MarketsFinance, Risk and Banking
Journal article2025Joura, E.; Gerged, A.M.; Qiao, Q.; Ullah, S (2025)., "The impact of Say-on-Pay on firm efficiency in Anglo-Saxon economies - Do CEO personal traits and CG mechanisms matter?" International Journal of Finance and Economics, forthcomingAccounting
Journal article2025Li, J., Kim, J. and Adegbite, E (2025)., "Green credit policy and environmental outcomes in China: The critical role of local banks in pollution reduction and innovation" International Journal of Finance and Economics, 1-17Accounting
Journal article2025Park, S. (2025)., "Income Disaster Model with Optimal Consumption" Economic Theory, forthcomingFinance, Risk and Banking
Journal article2024Akyildirim, E.; Aysan, A. F.; Cepni, O.; Serbest, O. (2024)., "Sentiment matters: the effect of news-media on spillovers among cryptocurrency returns" European Journal of FinanceFinance, Risk and Banking
Journal article2024Akyildirim, E.; Conlon, T.; Corbet, S.; Oxley, L. (2024)., "'Take Back Control': The implications of Brexit uncertainty on investor perception of ESG reputational events." European Financial ManagementFinance, Risk and Banking
Journal article2024Akyildirim, E.; Conlon, T.; Corbet, S.; Hou, Y (G). (2024)., "HACKED: Understanding the stock market response to cyberattacks" Journal of International Financial Markets, Institutions and MoneyFinance, Risk and Banking
Report for external body2024Ataullah, A, Le, H (2024)., "The relationship between disability, long-term illness and financial wellbeing", in https://maps.org.uk/en/publications/research/2024/disabilities-long-term-illness-and-financial-wellbeingFinance, Risk and Banking
Journal article2024Bai, Y; Banerji, S; Wang, Z: Zhang, W, (2024)., "Can Participation in IMF Program Facilitate Sovereign Debt Rescheduling? The Role of Program Size" Journal of International Money and Finance, Vol. 144, 103079, forthcomingFinance, Risk and Banking
Chapter in book2024Beatson, S.; Ball, P. (2024)., "Sovereign Wealth Funds in Europe and Asia" H. Kent Baker and Ghiyath F. Nakshbendi ed, Palgrave, forthcomingFinance, Risk and Banking
Journal article2024Bensoussan, A.; Park, S. (2024)., "Optimal Consumption and Investment with Independent Stochastic Labor Income" Mathematics of Operations Research, forthcomingFinance, Risk and Banking
Journal article2024Bitar, M,; Khan, M.H.; Tarazi, A.; Hassan, A.; Fraz, A. (2024)., "Corruption and Bank Risk-Taking in Dual Banking Systems" Corporate Governance: An International ReviewFinance, Risk and Banking
Journal article2024Bitar, M.; Benlemlih, M.; El Ouadghiri, M.; Peillex, J. (2024)., "Financial Analyst Coverage and Corporate Environmental Disclosure" British Journal of ManagementFinance, Risk and Banking
Journal article2024Bitar, M.; Peillex, J.; El Ouadghiri, I.; & Obeid, H. (2024)., "Women's political empowerment, economic development, and democracy around COVID-19: a cross-country analysis" Applied EconomicsFinance, Risk and Banking
Journal article2024Chen, J; Haboub, A; Khan, A; Mahmud, S (2024)., "Investor Clientele and Intraday Patterns in the Cross Section of Stock Returns" Review of Quantitative Finance and AccountingFinance, Risk and Banking
Journal article2024Chen, J; Khan, A; Haboub, A (2024)., "Limits of arbitrage and their impact on market efficiency: Evidence from China" Global finance journal, Vol. 59, 100916Finance, Risk and Banking
Journal article2024Chen, J.; Mishra, T.; Song, W.; Zhang, Z.; Zhang, Q. (2024)., "The Impact of Bank Mergers on Corporate Tax Aggressiveness" Journal of Corporate Finance, Vol. 84, 102540Finance, Risk and Banking
Conference Contribution/ Proceedings2024Dedman, E.; Metwally, T.; Stark, A. (2024)., "Audit Committee Diversity and the Asymmetric Timeliness of Earnings", at Annual Conference of British Accounting and Finance Association (BAFA), Portsmouth, UKAccounting
Journal article2024Ding, S.; Du, M.; Cui, T.; Zhang, Y.; Duygun, M. (2024)., "Impact of board diversity on Chinese firms' cross-border M&A performance: An artificial intelligence approach" International Review of Economics and Finance, Vol. 92, 1321-1335Finance, Risk and Banking
Journal article2024Eid, N.; Yang, J.; Duygun, M. (2024)., "Bridging the Credit Gap: The Influence of Regional Bank Structure on the Expansion of Peer-to-Peer Lending" British Accounting Review, 101448, forthcomingFinance, Risk and Banking
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