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Items where Subject is "H Social Sciences > HG Finance"

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Number of items at this level: 212.

A

AL-Shawabkeh, Abdallah and Tambyrajah, Antony (2009) Knowledge management in Jordanian banks. International Journal of Knowledge, Culture and Change Management, 9 (9). pp. 105-124. ISSN 1447-9524

Adebanjo, Dotun (2010) Benchmarking tools and techniques. In: Bidgoli, Hossein, (ed.) The Handbook of Technology Management, Volume 1: Core Concepts, Financial Tools and Techniques, Operations and Innovation Management. John Wiley & Sons, Inc., Hoboken, NJ, USA, pp. 1001-1014. ISBN 978-0-470-24947-5

Al-Shawabkeh, Abdallah (2010) Developing a knowledge management approach to support managing credit risk in Jordanian banks. PhD thesis, University of Greenwich.

Antunes, Bethania (2016) Pensions. In: Wilkinson, Adrian and Johnstone, Stewart, (eds.) Encyclopedia of Human Resource Management. Elgar Original Reference Series . Edward Elgar, Cheltenham, pp. 321-322. ISBN 9781783475452 (doi:10.4337/9781783475469)

Arrieta-Paredes, Mary-Paz and Cronin, Bruce (2016) Exponential random graph models for management research: a case study of executive recruitment. European Management Journal, 35 (3). pp. 373-382. ISSN 0263-2373 (doi:10.1016/j.emj.2016.08.002)

Awaworyi, Sefa and Marr, Ana (2012) An empirical study of microfinance social performance. In: The 3rd International Microfinance Conference, 31 Jan 2012, University of Greenwich, London, UK. (Unpublished)

B

Baddevithana, Tanuja Dominick and Stojanovic, Aleksandar (2013) Accounting quality under IFRS during stressed volatility: an examination of UK banks. [Working Paper]

Baddevithana, Tanuja Dulmini Dominick Mahinda (2012) Bank regulation implications for managing accounting quality risk: a Basel and IFRS perspective. PhD thesis, University of Greenwich.

Bartholdy, Jan and Mateus, Cesario (2011) Debt and taxes for private firms. International Review of Financial Analysis, 20 (3). pp. 177-189. ISSN 1057-5219 (doi:10.1016/j.irfa.2011.02.012)

Bartholdy, Jan and Mateus, Cesario (2008) Financing of SME's: an asset side story. In: 5th Conference of the Portuguese Finance Network, 10-12 July 2008, Coimbra, Portugal.

Bartholdy, Jan and Mateus, Cesario (2008) Taxes and corporate debt policy: evidence for unlisted firms of sixteen European countries. Working Paper. Social Science Research Network. (doi:10.2139/ssrn.1098370)

Bartholdy, Jan, Mateus, Cesario and Olson, Dennis (2012) Do Portuguese private firms follow pecking order financing? The European Journal of Finance, 21 (10-11). pp. 848-866. ISSN 1351-847X (Print), 1466-4364 (Online) (doi:10.1080/1351847X.2012.706815)

Bartholdy, Jan, Mateus, Cesario and Olson, Dennis (2012) Do small and medium sized enterprises match their assets and liabilities? Evidence from Portugal. International Journal of Business and Finance Research, 6 (4). pp. 13-31. ISSN 1931-0269 (Print), 2157-0698 (Online)

Benamraoui, Abdelhafid (2003) The effects of globalisation of financial services on banking industry and stock market: an Algerian case study. PhD thesis, University of Greenwich.

Benbouzid, Nadia, Mallick, Sushanta and Pilbeam, Keith (2017) The housing market and the credit default swap premium in the UK banking sector: A VAR approach. Research in International Business and Finance, 44. pp. 1-15. ISSN 0275-5319 (doi:10.1016/j.ribaf.2017.01.009)

Benbouzid, Nadia, Mallick, Sushanta K. and Leonida, Leone (2017) The non-monotonic impact of bank size on their default swap spreads: Cross-country evidence. International Review of Financial Analysis, 55. pp. 226-240. ISSN 1057-5219 (doi:10.1016/j.irfa.2017.09.006)

Bladen, Annie and Decker, Olufemi Sallyanne (2010) Performance measurement and accountability in a British credit union: case study evidence. In: Management Control Association, 8th International Management Control Research Conference, 8 -10 Sep 2010, University of Greenwich, London, UK. (Unpublished)

Botta, Alberto, Caverzasi, Eugenio and Tori, Daniele (2015) Financial-real side interactions in the monetary circuit: loving or dangerous hugs? [Working Paper]

Botta, Alberto, Caverzasi, Eugenio and Tori, Daniele (2018) The macroeconomics of shadow banking. Macroeconomic dynamics. ISSN 1365-1005 (Print), 1469-8056 (Online) (In Press) (doi:10.1017/S136510051800041X)

Bradshaw, Noel-Ann (2008) [BSHM meetings] Topics in the history of financial mathematics: early commerce to chaos in modern stock markets. BSHM Bulletin: Journal of the British Society for the History of Mathematics, 23 (3). pp. 185-187. ISSN 1749-8430 (Print), 1749-8341 (Online) (doi:10.1080/17498430802304057)

Burns, John, Warren, Elizabeth ORCID: 0000-0002-1441-9369 and Oliveira, Joao (2014) Business partnering: Is it all that good? Controlling and Management Review, 58 (2). pp. 36-41. ISSN 2195-8262 (Print), 2195-8270 (Online) (doi:10.1365/s12176-014-0907-6)

Byrne, Alistair, Fletcher, Jonathan and Ntozi-Obwale, Patricia (2006) An exploration of the conditional timing performance of UK unit trusts. Journal Of Business Finance & Accounting, 33 (5-6). pp. 816-838. ISSN 1468-5957 (doi:10.1111/j.1468-5957.2006.00617.x)

C

Cagliesi, Gabriella, Della Bina, Antonio Carlo Francesco and Tivegna, Massimo (2014) Market response to news: rationality and conformism in an euro-dollar exchange rate model. [Working Paper]

Catchpowle, Lesley and Cooper, Christine (1999) No escaping the financial: the economic referent in South Africa. Critical Perspectives on Accounting, 10 (6). pp. 711-746. ISSN 1045-2354 (doi:10.1006/cpac.1998.0257)

Catchpowle, Lesley, Cooper, Christine and Wright, Andrew (2004) Capitalism, states and ac-counting. Critical Perspectives in Accounting, 15 (8). pp. 1037-1058. ISSN 1045-2354 (doi:10.1016/S1045-2354(02)00214-9)

Caverzasi, Eugenio, Botta, Alberto and Capelli, Clara (2018) The endogeneity of money and the securitizing system. Beyond shadow banking. [Working Paper]

Chang, Victor, Wills, Gary and De Roure, David (2010) Towards financial cloud framework - modelling and benchmarking of financial assets in public and private clouds. In: IEEE Cloud 2010, the Third International Conference on Cloud Computing, 5-10 Jul 2010, Miami, Florida, USA. (Unpublished)

Chang, Victor, Wills, Gary, De Roure, David and Chee, Clinton (2010) Investigating the cloud computing business framework - modelling and benchmarking of financial assets and job submissions in clouds. In: UK e-Science All Hands Meeting 2010 "e-Science: novel research, new science and enduring impact", 13-16 Sep 2010, Cardiff, Wales, UK. (Unpublished)

Chen, Jian, Qiulin, Ke and Isaac, David (2006) Board structure as corporate governance mechanism: evidence from China’s real estate stock companies. In: Chen, Jian and Yao, Shujie, (eds.) Globalization, Competition and Growth in China. Routledge Studies on the Chinese Economy Series (20). Routledge / Taylor & Francis Group, London / New York, pp. 15-40. ISBN 978-0-415-35197-3

Chen, Jian and Strange, Roger (2010) Corporate governance, internationalisation and firm value: the case of China. In: The 21st Chinese Economic Association (UK) 2010 Annual Conference and 2nd CEA (Europe) Annual Conference, 12-13 Jul 2010, University of Oxford, Oxford, UK. (Unpublished)

Chen, Pi-Chi and Kim, Young-Chan (2016) US Firms’ Business Competence in the Taiwanese IT Industry. Understanding China . Springer International Publishing. ISBN 978-3-319-32027-4

Chen, Zhizhen, Liu, Frank Hong, Opong, Kwaku and Zhou, Mingming (2016) Short-term safety or long-term failure? Empirical evidence of the impact of securitization on bank risk. Journal of International Money and Finance, 72. pp. 48-74. ISSN 0261-5606 (doi:10.1016/j.jimonfin.2016.12.003)

Chinthalapati, V. L. Raju and Bhatnagar, S. (2006) A Simultaneous Deterministic Perturbation Actor-Critic Algorithm with an Application to Optimal Mortgage Refinancing. In: Decision and Control, 2006 45th IEEE Conference. IEEE Xplore, San Diego, CA, pp. 4151-4156. ISBN 1-4244-0171-2 (doi:10.1109/CDC.2006.376769)

Chinthalapati, V.L.R., Yadati, N. and Karumanchi, R. (2006) Learning Dynamic Prices in Multi-Seller Electronic Retail Markets with Price Sensitive Customers, Stochastic Demands, and Inventory Replenishment. IEEE Transactions on Systems, Man, and Cybernetics, Part C: Applications and Reviews, 36 (1). pp. 92-106. ISSN 1094-6977 (doi:10.1109/TSMCC.2005.860578)

Chukwuemeka, Victor (2013) Are optimum currency area (OCA) theory criteria endogenous to regime change?: the case of the economic and monetary union (EMU) before and after 1999. PhD thesis, University of Greenwich.

Coles, Anne-Marie (2016) The potential for sustainable production and consumption in a technological Society. In: Genus, Audley, (ed.) Sustainable Consumption - Design Innovation and Practice. The Anthropocene: Politik—Economics—Sciety—Science (3). Springer International Publishing, UK, pp. 119-134. ISBN 978-3-319-29663-0 (doi:10.1007/978-3-319-29665-4_8)

Colin, Lizieri, Stephen, Satchell and Qi, Zhang (2007) The underlying return-generating factors for REIT returns: An application of independent component analysis. Real Estate Economics, 35 (4). pp. 569-598. ISSN 1080-8620 (Print), 1540-6229 (Online) (doi:10.1111/j.1540-6229.2007.00201.x)

Coulson-Thomas, Colin (2008) Coping with an economic downturn: positive steps boards can take to secure competitive advantage. In: 9th International Conference on Corporate Governance: Making Capital Markets Work Through Corporate Governance, 18-19 Sep 2008, London, UK. (Unpublished)

Coulson-Thomas, Colin (2016) Embedding CSR in corporate strategy for responsible growth. In: 11th International Conference on Corporate Social Responsibility, 20-21st January 2017, Bengaluru.

Coulson-Thomas, Colin (2014) 'New Leadership' and building an intrapreneurship culture. Effective Executive, XVII (2). pp. 11-19. ISSN 0972-5172

Cozzi, Giovanni (2016) Finance and investment in the Eurozone. In: Cozzi, Giovanni, Newman, Susan and Toporowski, Jan, (eds.) Finance and Industrial Policies: Beyond Financial Regulation in Europe. Oxford University Press, Oxford, UK, pp. 167-180. ISBN 9780198744504 (doi:10.1093/acprof:oso/9780198744504.003.0011)

Cozzi, Giovanni and Griffith-Jones, Stephany (2016) The role of development banks: how they can promote investment. In: Noman, Akbar and Stiglitz, Joseph, (eds.) Efficiency, Finance and Varieties of Industrial Policy: Guiding Resources, Learning, and Technology for Sustained Growth. Columbia University Press, New York, NY, US. ISBN 9780231180504

Cozzi, Giovanni, Newman, Susan and Toporowski, Jan (eds.) (2016) Finance and industrial policy: beyond financial regulation in Europe. In: Cozzi, Giovanni, Newman, Susan and Toporowski, Jan, (eds.) Oxford University Press, Oxford. ISBN 9780198744504

Cuong Ly, Kim, Chen, Zhizhen, Wang, Senyu and Jiang, Yuxiang (2016) The Basel III net stable funding ratio adjustment speed and systemic risk. Research in International Business and Finance, 39 (A). pp. 169-182. ISSN 0275-5319 (doi:10.1016/j.ribaf.2016.07.031)

D

Dafermos, Yannis, Nikolaidi, Maria and Galanis, Giorgos (2016) A stock-flow-fund ecological macroeconomic model. Ecological Economics, 131. pp. 191-207. ISSN 0921-8009 (Print), 1873-6106 (Online) (doi:10.1016/j.ecolecon.2016.08.013)

De Vita, Riccardo and Marr, Ana (2012) Interorganisational networks in the microfinance industry: the case of Peru. In: Sunbelt XXXII International Network for Social Network Analysis Annual Conference, 12-18 Mar 2012, Redondo Beach, CA, USA. (Unpublished)

De Vita, Riccardo and Marr, Ana (2012) Interorganizational networks in microfinance - a comparative study. In: The 3rd International Microfinance Conference, 31 Jan 2012, University of Greenwich, London, UK. (Unpublished)

Decker, O. (2010) Outreach competences of British credit unions and their role in promoting financial inclusion. In: EIASM 5the Workshop on Organisational Change and Development: Core Competences in a Changing World, 23-24 Sep 2010, Vienna, Austria. (Unpublished)

Decker, O. Sallyanne and Jones, Paul A. (2008) Finance for all: British credit unions and the promotion of an inclusive society. In: Bickle, Richard and Scott Cato, Molly, (eds.) New Views of Society Robert Owen for the 21st century. Scottish Left Review Press, Glasgow, Scotland, pp. 29-48. ISBN 9780955036240

Decker, O. Sallyanne and Jones, Paul A. (2007) The development of Southwark Credit Union 1982-2007. Other. School of Applied Social and Community Studies, LJMU, Liverpool, UK. (doi:978-0-9553997-4-9)

Decker, Olufemi (2009) Poverty, exclusion and the access dimension of corporate social responsibility: Exploring the role of microfinance NGOs in Sierra Leone. In: 8th Annual CSR conference of the Social Responsibility Network, 8-10 Sep 2009, Cape Town, UNISA, South Africa. (Unpublished)

Decker, Olufemi (2017) The Public Pedagogy of British Credit Unions: From Financial Diversity and Choice to a Pedagogy of Hierarchy and Discrimination. In: International Conference on Cultural Studies and Education, 4-6 May 2017, University of British Columbia, Vancouver, Canada. (Submitted)

Driver, Ciaran (1984) Investment, growth and government policy in an economy characterised by oligopolistic and competitive sectors. PhD thesis, Thames Polytechnic.

E

Eranova, Mariya and Prashantham, Shameen (2016) Decision making and paradox: Why study China? European Management Journal, 34 (3). pp. 193-201. ISSN 0263-2373 (doi:10.1016/j.emj.2016.03.002)

Esiyok, Bulent (2010) The determinants of foreign direct investment in Turkey: an empirical analysis. PhD thesis, University of Greenwich.

F

Feridun, Mete (2011) Liability dollarization, exchange market pressure and fear of floating: empirical evidence for Turkey. Applied Economics, 44 (8). pp. 1041-1056. ISSN 0003-6846 (Print), 1466-4283 (Online) (doi:10.1080/00036846.2010.534073)

Feridun, Mete, Sawhney, Bansi and Shahbaz, Muhammad (2011) The impact of military spending on economic growth: the case of North Cyprus. Defence and Peace Economics, 22 (5). pp. 555-562. ISSN 1024-2694 (Print), 1476-8267 (Online) (doi:10.1080/10242694.2011.562370)

Fletcher, Jonathan and Ntozi-Obwale, Patricia (2008) Arbitrage bounds and UK unit trust performance. Journal of Business Finance & Accounting, 35 (3-4). pp. 580-600. ISSN 0306-686X (Print), 1468-5957 (Online) (doi:10.1111/j.1468-5957.2008.02077.x)

Fletcher, Jonathan and Ntozi-Obwale, Patricia (2009) Exploring the conditional performance of UK unit trusts. Journal of Financial Services Research, 36 (1). pp. 21-44. ISSN 0920-8550 (Print), 1573-0735 (Online) (doi:10.1007/s10693-009-0061-z)

G

Gama, Ana Paula Matias and Mateus, Cesario (2010) Does trade credit facilitate access to bank finance? An empirical evidence from Portuguese and Spanish small medium size enterprises. International Research Journal of Finance and Economics, 45. pp. 26-45. ISSN 1450-2887

Gao, Xiaowen and Tao, Han (2001) Chinese Listed Firms B Share Investment Guide. China Economics and Science Press. ISBN 978-7505824676

Goda, Thomas, Onaran, Özlem ORCID: 0000-0002-6345-9922 and Stockhammer, Engelbert (2016) Income inequality and wealth concentration in the recent crisis. Development and Change, 48 (1). pp. 3-27. ISSN 0012-155X (Print), 1467-7660 (Online) (doi:10.1111/dech.12280)

Gray, David E. ORCID: 0000-0002-3881-5083, Saunders, Mark N.K. and Goregaokar, Harshita (2013) SME success in challenging times: Bank finance - lost in translation. Project Report. Kingston Smith LLP, London, UK.

Guidi, Francesco and Gupta, Rakesh (2012) Forecasting volatility of the ASEAN-5 stock markets: a nonlinear approach with non-normal errors. Discussion Paper. Griffith University, Brisbane, Australia. (doi:2012-14)

Guidi, Francesco and Marr, Ana (2012) Microfinance institutions: financial sustainability and efficiency. In: The 3rd International Microfinance Conference, 31 Jan 2012, University of Greenwich, London, UK. (Unpublished)

Guidi, Francesco and Ugur, Mehmet ORCID: 0000-0003-3891-3641 (2014) An analysis of South-Eastern European stock markets: evidence on cointegration and portfolio diversification benefits. Journal of International Financial Markets, Institutions & Money, 30. pp. 119-136. ISSN 1042-4431 (doi:10.1016/j.intfin.2014.01.007)

Gunatilaka, Ramani and Marr, Ana (1998) Conditionality and adjustment in South East Asia and Latin America. In: Marr, Ana, Killick, Tony and Gunatilaka, Ramani, (eds.) Aid and the Political Economy of Policy Change. Routledge, London / New York, pp. 53-84. ISBN 978-0-415-18705-3 (paperback), 978-0-415-18704-6 (hardback), 978-0-203-44653-9 (electronic) (doi:10.4324/9780203446539.ch3)

Gunetilleke, Halpege Walter (2009) Role of non-executive directors in corporate governance in the context of the codes on corporate governance. PhD thesis, University of Greenwich.

Guschanski, Alexander and Onaran, Özlem ORCID: 0000-0002-6345-9922 (2016) Determinants of the wage share: a cross-country comparison using sectoral data. [Working Paper]

Guschanski, Alexander and Onaran, Özlem ORCID: 0000-0002-6345-9922 (2018) The labour share and financialisation: Evidence from publicly listed firms. [Working Paper]

Guschanski, Alexander and Stockhammer, Engelbert (2017) Are current accounts driven by competitiveness or asset prices? A synthetic model and an empirical test. [Working Paper]

H

Hall, David (2010) Why we need public spending. Project Report. PSIRU, University of Greenwich, Greenwich, UK.

Hall, David, Corral, Violeta and Niekerk, Sandra van (2010) The impact of the economic crisis on public sector pay. PSIRU Reports. pp. 1-22.

Hall, David and Holland, Ray (2010) The provision of basic services to all segments of the population should remain the responsibility of the public sector. Enterprise Development and Microfinance, 21 (3). pp. 181-184. ISSN 1755-1978 (Print), 1755-1986 (Online) (doi:10.3362/1755-1986.2010.016)

Hall, David and Lobina, Emanuele (2006) Pipe dreams: the failure of the private sector to invest in water services in developing countries. Discussion Paper. PSIRU; World Development Movement, London, UK.

Hashem, Nawar (2012) Firms' degree of internationalisation and the cross-section of stock returns: evidence from multinational listed companies in the U.K. Working Paper. Science Electronic Publishing, Inc., Rochester, NY, USA. (Unpublished) (doi:10.2139/ssrn.2011368)

Hashem, Nawar (2011) Industry concentration and stock returns: evidence from publicly listed firms in the U.K. PhD thesis, University of Greenwich.

Hope-Stone, Hugh William (1985) Profitability determination in the United Kingdom brewing industry. MPhil thesis, Thames Polytechnic.

I

Isaac, David (1994) Property finance. Building and Surveying Series . Macmillan, London, UK. ISBN 0333576810, 9780333576816

Isaac, David (2002) Property valuation principles. Building and Surveying Series . Palgrave Macmillian, Basingstoke, UK. ISBN 9780333921142

Isaac, David (ed.) (1996) Real estate appraisal: Sino British comparisons. School of Land and Construction Management, University of Greenwich, London, UK.

Isaac, David and Dai, Jinping (1999) Real estate markets in the People's Republic of China: Collected papers. Other. University of Greenwich, London, UK.

Isaac, David and O'Leary, John (2013) Property Valuation Techniques. Building and Surveying Series . Palgrave Macmillan, Basingstoke. ISBN 9781137302410

Isaac, David and O'Leary, John (2011) Property investment. Building and Surveying Series . Palgrave Macmillan, London, UK. ISBN 9780230290242

Isaac, David and O'Leary, John (2012) Property valuation principles. Palgrave Macmillan, Basingstoke, UK. ISBN 9780230355804

J

Jackson, Cornell and Marr, Ana (2013) The strength of weak ties in microfinance. In: Basu, Ranajoy, (ed.) Microfinance: A Practitioner's Handbook. Globe Business Publishing Ltd., London, UK, pp. 193-205. ISBN 9781905783977

Jalil, Abdul and Feridun, Mete (2011) Impact of financial development on economic growth: empirical evidence from Pakistan. Journal of the Asia Pacific Economy, 16 (1). pp. 71-80. ISSN 1354-7860 (Print), 1469-9648 (Online) (doi:10.1080/13547860.2011.539403)

Jalil, Abdul and Feridun, Mete (2011) Long-run relationship between income inequality and financial development in China. Journal of the Asia Pacific Economy, 16 (2). pp. 202-214. ISSN 1354-7860 (Print), 1469-9648 (Online) (doi:10.1080/13547860.2011.564745)

Jalil, Abdul and Feridun, Mete (2011) The impact of growth, energy and financial development on the environment in China: a cointegration analysis. Energy Economics, 33 (2). pp. 284-291. ISSN 0140-9883 (doi:10.1016/j.eneco.2010.10.003)

Jalil, Abdul, Feridun, Mete and Ma, Ying (2010) Finance-growth nexus in China revisited: New evidence from principal components and ARDL bounds tests. International Review of Economics & Finance, 19 (2). pp. 189-195. ISSN 1059-0560 (doi:10.1016/j.iref.2009.10.005)

Jalil, Abdul, Feridun, Mete and Sawhney, Bansi L. (2014) Growth effects of fiscal decentralization: empirical evidence from China’s provinces. Emerging Markets Finance and Trade, 50 (4). pp. 176-195. ISSN 1540-496X (Print), 1558-0938 (Online) (doi:10.2753/REE1540-496X500411)

Jones, Tim and Isaac, David (1996) Finance for the smaller building contractor. In: Isaac, David, (ed.) Construction management: issues and perspectives. Greenwich University Press, Dartford, UK, pp. 37-41. ISBN 9781874529873

K

Katic, Pamela and Leigh, Andrew (2015) Top wealth shares in Australia 1915-2012. Review of Income and Wealth, 62 (2). pp. 209-222. ISSN 0034-6586 (Print), 1475-4991 (Online) (doi:10.1111/roiw.12177)

Ke, Qiulin, Jayne, Michael and Isaac, David (2009) Sole agency vs multi-agency: An investigation of agency practice across England and Wales. Property Management, 27 (4). pp. 228-241. ISSN 0263-7472 (doi:10.1108/02637470910979998)

Krkoska, Libor and Teksoz, Utku (2009) How reliable are forecasts of GDP growth and inflation for countries with limited coverage? Economic Systems, 33 (4). pp. 376-388. ISSN 0939-3625 (doi:10.1016/j.ecosys.2009.04.003)

Kuenzel, Sven and Krolikowska, Ewa (2007) Client loyalty: play the loyalty card. Accountancy Age. ISSN 0001-4672 (Print), 0001-4671 (Online)

Kuenzel, Sven and Schlien, Anika (2017) Managing complexity with technology: technology trends within the UK hedge fund industry. The hedgefund journal, 123 (June). ISSN 1756-3453

L

Lai, Choi-Hong (2008) Numerical solutions of certain nonlinear models in European options on a distributed computing environment. In: Ehrhardt, Matthias, (ed.) Nonlinear Models in Mathematical Finance: New Research Trends in Option Pricing. Nova Science Publishers, Inc., Hauppauge, NY, USA, pp. 305-320. ISBN 978-1-60456-931-5

Lethbridge, Jane (2007) Raising the voice of labour. In: The Politics of Everyday Life in Global Politics, 48th Annual International Studies Association Convention, 28 Feb - 3 Mar 2007, Chicago, US. (Unpublished)

Lethbridge, Jane (2007) A global review of the expansion of multinational healthcare companies. Discussion Paper. PSIRU, London, UK.

Leys, Jos, Vandekerckhove, Wim ORCID: 0000-0002-0106-7915 and Van Liederkerke, Luc (2008) A puzzle in SRI: the investor and the judge. Journal of Business Ethics, 84 (2). pp. 221-235. ISSN 0167-4544 (Print), 1573-0697 (Online) (doi:10.1007/s10551-008-9705-4)

Lin, Xinfa (2007) An evaluation of the three periods of China's FDI development: 1978-2000. PhD thesis, University of Greenwich.

Lobina, Emanuele and Hall, David (2009) Thinking inside the box: the World Bank position on the private and public sector. Discussion Paper. PSIRU, London, UK.

Lobina, Emanuele and Hall, David (2010) Thinking inside the box: the World Bank, strategic interest and advocacy coalitions in the water sector. In: Economic Governance Institutions, Economic Outcomes and the Crisis: An International Conference, 4 Jun 2010, University of Greenwich, London UK. (Unpublished)

Lobina, Emanuele and Hall, David (2009) Thinking inside the box: why the World Bank is not learning. Discussion Paper. PSIRU, London, UK.

Lobina, Emanuele and Hall, David (2008) The illusions of competition in the water sector: a response to the OFWAT/Cave consultations on introducing competition in the water sector in England and Wales. Discussion Paper. PSIRU, Greenwich, London, UK.

M

Maditinos, Dimitrios I. (2005) Corporate performance measures and stocks' prices returns: the case of Greece, 1992-2001. PhD thesis, University of Greenwich.

Maditinos, Dimitrios I., Sevic, Zeljko and Theriou, Nikolaos G. (2007) Investors' behaviour in the Athens Stock Exchange (ASE). Studies in Economics and Finance, 24 (1). pp. 32-50. ISSN 1086-7376 (doi:10.1108/10867370710737373)

Maditinos, Dimitrios I., Sevic, Zeljko, Theriou, Nikolaos G. and Dimitriadis, Efstathios D. (2007) The use of traditional and modern value-based performance measures to evaluate companies’ implemented and future strategies in the Greek capital market: the case of EPS and EVA. Journal of International Research Publications : Economy and Business, 2. pp. 35-55. ISSN 1313-8006

Maditinos, Dimitrios I., Sevic, Zeljko, Theriou, Nikolaos G. and Tsinani, Alexandra V. (2007) Individual investors' perceptions towards dividends: the case of Greece. International Journal of Monetary Economics and Finance, 1 (1). pp. 18-31. ISSN 1752-0479 (doi:10.1504/IJMEF.2007.016023)

Mambu Ma Khenzu, Edouard (2003) A modern history of monetary and financial systems of Congo 1885-1995. PhD thesis, University of Greenwich.

Marr, Ana (1996) Conditionality and South-East Asian adjustment. Working Paper. Overseas Development Institute, London, UK. (doi:94)

Marr, Ana (2009) Does transformation enhance or hinder relationships? The struggle between financial and social goals in Peru. Project Report. University of Greenwich, London, UK.

Marr, Ana (2012) Effectiveness of rural microfinance: what we know and what we need to know. Journal of Agrarian Change, 12 (4). pp. 555-563. ISSN 1471-0358 (Print), 1471-0366 (Online) (doi:10.1111/j.1471-0366.2012.00373.x)

Marr, Ana (2004) Institutional approaches to the delivery of business development: A review of recent literature. Technical Report. Natural Resources Institute, Chatham, UK.

Marr, Ana (2007) International [section heading]: interest in microfinance set to grow. Oxford Analytica Daily Brief.

Marr, Ana (2008) [Journal paper peer-review] Financial access and exclusion in Kenya and Uganda. The Journal of Development Studies. ISSN 1743-9140 (electronic) 0022-0388 (paper) (Unpublished)

Marr, Ana (2010) [Journal paper peer-review] The critical role of trust in microfinance success: identifying problems and solutions. World Development. ISSN 0305-750X (Unpublished)

Marr, Ana (2009) Microfinance and its role in the global institutions helping the poor. In: AHRC Research Network on Microfinance, 17 Jan 2009, Birmingham University, UK. (Unpublished)

Marr, Ana (2002) Microfinance and poverty reduction: the problematic experience of communal banking in Peru. Working Paper. School of Oriental and African Studies, London, UK.

Marr, Ana (2008) Microfinance: current and future developments. In: Microfinance Day, 6 Feb 2008, London School of Economics, London, UK. (Unpublished)

Marr, Ana (2007) Microfinance: history, growth potential and effectiveness. Oxford Analytica Daily Brief.

Marr, Ana (2002) Studying group dynamics: an alternative analytical framework for the study of microfinance impacts on poverty reduction. Journal of International Development, 14 (4). 511 - 534. ISSN 1099-1328 (online) (doi:10.1002/jid.890)

Marr, Ana (2002) Studying group dynamics: an alternative analytical framework for the study of microfinance impacts on poverty reduction. Working Paper. School of Oriental and African Studies, London, UK. (doi:121)

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This list was generated on Sat Jul 21 09:12:14 2018 BST.