دنبال کردن
A. Marshall
A. Marshall
ایمیل تأیید شده در strath.ac.uk
عنوان
نقل شده توسط
نقل شده توسط
سال
Foreign exchange risk management in UK, USA and Asia Pacific multinational companies
AP Marshall
Journal of Multinational Financial Management 10 (2), 185-211, 2000
2132000
Large UK companies and derivatives
K Grant, AP Marshall
European Financial Management 3 (2), 191-208, 1997
1671997
Corporate governance reform and risk-taking: Evidence from a quasi-natural experiment in an emerging market
S Koirala, A Marshall, S Neupane, C Thapa
Journal of Corporate Finance 61, 101396, 2020
1602020
Modelling transparency in disclosure: the case of foreign exchange risk management
A Marshall, P Weetman
Journal of Business Finance & Accounting 34 (5‐6), 705-739, 2007
1462007
Employee layoffs, shareholder wealth and firm performance: Evidence from the UK
D Hillier, A Marshall, P McColgan, S Werema
Journal of Business Finance & Accounting 34 (3‐4), 467-494, 2007
1312007
Are trading bans effective? Exchange regulation and corporate insider transactions around earnings announcements
D Hillier, AP Marshall
Journal of Corporate Finance 8 (4), 393-410, 2002
1282002
Information asymmetry in disclosure of foreign exchange risk management: can regulation be effective?
AP Marshall, P Weetman
Journal of Economics and Business 54 (1), 31-53, 2002
1132002
The market evaluation of information in directors’ trades
D Hillier, AP Marshall
Journal of Business Finance & Accounting 29 (1‐2), 77-110, 2002
1022002
Share price reaction to dividend announcements: Empirical evidence on the signaling model from the Oslo stock exchange
J Capstaff, A Klaeboe, AP Marshall
Multinational Finance Journal 8 (1/2), 115-139, 2004
912004
Foreign direct investment in emerging markets and acquirers’ value gains
L Barbopoulos, A Marshall, C MacInnes, P McColgan
International Business Review 23 (3), 604-619, 2014
792014
International evidence on the determinants of foreign exchange rate exposure of multinational corporations
RW Faff, A Marshall
Journal of International Business Studies 36, 539-558, 2005
752005
The determinants of Norwegian exporters’ foreign exchange risk management
D Davies, C Eckberg, A Marshall
European Journal of Finance 12 (03), 217-240, 2006
732006
An empirical examination of the benefits of international diversification
J Fletcher, A Marshall
Journal of International Financial Markets, Institutions and Money 15 (5 …, 2005
672005
The market reaction to auditor resignations
J Dunn, D Hillier, AP Marshall
Accounting and Business Research 29 (2), 95-108, 1999
611999
Variable reduction, sample selection bias and bank retail credit scoring
A Marshall, L Tang, A Milne
Journal of Empirical Finance 17 (3), 501-512, 2010
582010
Integrating contemporary finance and international business research
M Bowe, I Filatotchev, A Marshall
International Business Review 19 (5), 435-445, 2010
572010
Exchange rate exposure, foreign currency derivatives and the introduction of the euro: French evidence
H Nguyen, R Faff, A Marshall
International review of economics & finance 16 (4), 563-577, 2007
552007
The estimation and determinants of emerging market country risk and the dynamic conditional correlation GARCH model
A Marshall, T Maulana, L Tang
International Review of Financial Analysis 18 (5), 250-259, 2009
502009
Impact of news announcements on the foreign exchange implied volatility
A Marshall, T Musayev, H Pinto, L Tang
Journal of International Financial Markets, Institutions and Money 22 (4 …, 2012
462012
Long‐term performance following rights issues and open offers in the UK
P Ngatuni, J Capstaff, A Marshall
Journal of Business Finance & Accounting 34 (1‐2), 33-64, 2007
442007
سیستم در حال حاضر قادر به انجام عملکرد نیست. بعداً دوباره امتحان کنید.
مقاله‌ها 1–20