Bangor Business School

  1. Published

    Relationship Marketing in SME Technology Firms: A Conjoint Analysis Approach.

    Parry, S., Kupiec-Teahan, B., Jones, R. & Khammash, M., 1 Jan 2009.

    Research output: Contribution to conferencePaper

  2. Published

    Relationship Marketing in SME Technology Firms: A Conjoint Analysis Approach.

    Parry, S., Kupiec-Teahan, B., Jones, R. & Khammash, M., 1 Jan 2009.

    Research output: Contribution to conferencePaper

  3. Published

    Exploring marketing and relationships in software SMEs: A mixed methods approach

    Parry, S., Kupiec-Teahan, B. & Rowley, J., 1 Jan 2011, In : Management Research Review. 35, 1, p. 52 - 68

    Research output: Contribution to journalArticle

  4. Published

    Critical success factors of SMEs in the software sector.

    Parry, S., Jones, R., Rowley, J. & Kupiec-Teahan, B., 1 Jan 2009.

    Research output: Contribution to conferencePaper

  5. Published

    'Customer Expectations in B2B Relationships: A study in the software industry.

    Parry, S. & Jones, R., 1 Jan 2010.

    Research output: Contribution to conferencePaper

  6. E-pub ahead of print

    The European Bank Recovery and Resolution Directive: A market assesment

    Pancotto, L., ap Gwilym, O. & Williams, J., 27 Jul 2019, In : Journal of Financial Stability.

    Research output: Contribution to journalArticle

  7. Accepted/In press

    Market reactions to the implementation of the Banking Union in Europe

    Pancotto, L., ap Gwilym, O. & Williams, J., 21 Aug 2019, (Accepted/In press) In : European Journal of Finance.

    Research output: Contribution to journalArticle

  8. Published

    Creditor concentration: An empirical investigation

    Ongena, S. R., Tumer-Alkan, G. & Westernhagen, N. V., 1 May 2012, In : European Economic Review. 56, 4, p. 830-847

    Research output: Contribution to journalArticle

  9. Published

    “When the cat's away the mice will play”: Does regulation at home affect bank risk-taking abroad?

    Ongena, S. R., Popov, A. & Udell, G., 1 Jun 2013, In : Journal of Financial Economics. 3, p. 727-750

    Research output: Contribution to journalArticle

  10. Published

    How should we estimate value-relevance models? Insights from European data

    Onali, E., Ginesti, G. & Vasilakis, C., Sep 2017, In : British Accounting Review. 49, 5, p. 460-473

    Research output: Contribution to journalArticle

  11. Published

    Dividend policy, agency costs and risk in European banks.

    Onali, E., 1 Jan 2009.

    Research output: Contribution to conferencePaper

  12. Published

    CEO power, government monitoring, and bank dividends

    Onali, E., Galiakhmetova, R., Molyneux, P. & Torluccio, G., Jul 2016, In : Journal of Financial Intermediation. 27, July 2016, p. 89-117

    Research output: Contribution to journalArticle

  13. Published

    Assessing the value relevance of accounting data after IFRS introduction in Europe.

    Onali, E., Magarini, R. & Devalle, A., 6 Feb 2009.

    Research output: Contribution to conferencePaper

  14. Published

    Assessing the value relevance of accounting data after IFRS introduction in Europe,

    Onali, E., Magarini, R. & Devalle, A., 6 Feb 2009.

    Research output: Contribution to conferencePaper

  15. Published

    Dividends and risk in banks.

    Onali, E., 1 Jan 2010.

    Research output: Contribution to conferencePaper

  16. Published

    Are European equity markets efficient? New evidence from fractal analysis.

    Onali, E. & Goddard, J. A., 1 Apr 2011, In : International Review of Financial Analysis. 20, 2, p. 59-67

    Research output: Contribution to journalArticle

  17. Published

    La politica dei dividendi delle banche italiane: un'analisi empirica.

    Onali, E., 1 Jan 2004, In : Annali della Facoltà di Economia di Cagliari. 20, 1

    Research output: Contribution to journalArticle

  18. Published

    Unifractality and multifractality in the Italian stock market.

    Onali, E. & Goddard, J., 27 May 2008.

    Research output: Contribution to conferencePaper

  19. Published

    Moral hazard, dividends, and risk in banks

    Onali, E., 13 Jan 2014, In : Journal of Business Finance and Accounting. 41, 1-2

    Research output: Contribution to journalArticle

  20. Published

    Unifractality and multifractality in the Italian stock market.

    Onali, E. & Goddard, J. A., 1 Sep 2009, In : International Review of Financial Analysis. 18, 4, p. 154-163

    Research output: Contribution to journalArticle

  21. Published

    Are European stock markets efficient? New evidence from fractal analysis.

    Onali, E. & Goddard, J., 1 Jan 2010.

    Research output: Contribution to conferencePaper

  22. Published

    Pre-adoption market reaction to IFRS 9: A cross-country event-study

    Onali, E. & Ginesti, G., 30 Aug 2014, In : Journal of Accounting and Public Policy. 33, 6, p. 628–637

    Research output: Contribution to journalArticle

  23. Published

    Earnings management and managerial ownership in private firms.

    O'Callaghan, S., Ashton, J. & Hodgkinson, L., 2018, In : Journal of Applied Accounting Research. 19, 4, p. 648-668

    Research output: Contribution to journalArticle

  24. Published

    Forecasting With The Theta Method: Theory and Applications

    Nikolopoulos, K. I. & Thomakos, D. D., Dec 2018, Wiley.

    Research output: Book/ReportBook

  25. Published

    Forecasting Branded and Generic Pharmaceuticals

    Nikolopoulos, K., Buxton, S., Khammash, M. & Stern, P., 1 Apr 2016, In : International Journal of Forecasting. 32, 2, p. 344-357

    Research output: Contribution to journalArticle

  26. Published

    Forecasting for big data: does suboptimality matter?

    Nikolopoulos, K. & Petropoulos, F., Oct 2018, In : Computers and Operations Research. 98, p. 322-329

    Research output: Contribution to journalArticle

  27. E-pub ahead of print

    On the M4.0 forecasting competition: Can you tell a 4.0 earthquake from a 3.0?

    Nikolopoulos, K., Thomakos, D. D., Katsagounos, I. & Alghassab, W., 3 Sep 2019, In : International Journal of Forecasting.

    Research output: Contribution to journalArticle

  28. Published

    Forecasting Supply Chain sporadic demand with Nearest Neighbor approaches

    Nikolopoulos, K., Babai, M. Z. & Bozos, K., Jul 2016, In : International Journal of Production Economics. 177, July 2016, p. 139-148

    Research output: Contribution to journalArticle

  29. Published

    An aggregate-disaggregate intermittent demand approach (ADIDA) to forecasting: an empirical proposition and analysis.

    Nikolopoulos, K., Syntetos, A. A., Boylan, J. E., Petropoulos, F. & Assimakopoulos, V., 1 Mar 2011, In : Journal of the Operational Research Society. 62, 3, p. 544-554

    Research output: Contribution to journalArticle

  30. Published

    The future of credit unions in the United States: evidence from quantitative extrapolations.

    Nikolopoulos, K. & Handrinos, M. C., 1 May 2008, In : Applied Financial Economics Letters. 4, 3, p. 177-182

    Research output: Contribution to journalArticle

  31. Published

    ADIDA: an aggregate/disaggregate approach for intermittent demand forecasting.

    Nikolopoulos, K., Syntetos, A., Boylan, J., Petropoulos, F. & Assimakopoulos, V., 1 Jan 2008.

    Research output: Contribution to conferencePaper

  32. Published

    Forecasting with quantitative methods: the impact of special events in time series.

    Nikolopoulos, K., 1 Mar 2010, In : Applied Economics. 42, 8, p. 947-955

    Research output: Contribution to journalArticle

  33. Published

    Relative performance of methods for forecasting special events

    Nikolopoulos, K., Litsa, A., Petropoulos, F., Bougioukos, V. & Khammash, M., 29 Mar 2015, In : Journal of Business Research. 68, 8, p. 1785-1791

    Research output: Contribution to journalArticle

  34. Published

    Forecasting the effectiveness of policy implementation strategies.

    Nicolas, S. & Nikolopoulos, K., 1 Jan 2010, In : International Journal of Public Administration. 33, 2, p. 88-97

    Research output: Contribution to journalArticle

  35. Published

    El sistema financiero en Asia y Australia.

    Nguyen, N. & Williams, J. M., 1 Jan 2006, In : Papeles de Economica Espanola. 10, p. 116-144

    Research output: Contribution to journalArticle

  36. Published

    Accounting, Intangible Assets, Stock Market Activity, and Measurement and Disclosure Policy-Views From the U.K.

    Mouselli, S. H., Dedman, E., Mouselli, S., Shen, Y. & Stark, A. W., 1 Sep 2009, In : Abacus. 45, 3, p. 312-341

    Research output: Contribution to journalArticle

  37. Published

    Corporate governance, accruals quality and stock returns: evidence from the UK

    Mouselli, S., Abdulraouf, R. & Jaafar, A., 1 Jan 2014, In : Corporate Governance. 14, 1, p. 32-44

    Research output: Contribution to journalArticle

  38. Published

    Accruals quality, stock returns and asset pricing: Evidence from the UK

    Mouselli, S., Jaafar, A. & Goddard, J. A., 1 Dec 2013, In : International Review of Financial Analysis. 30, p. 203-213

    Research output: Contribution to journalArticle

  39. Published

    Accruals quality vis-à-vis disclosure quality: Substitutes or complements?

    Mouselli, S., Jaafar, A. & Hussainey, K., 1 Mar 2012, In : British Accounting Review. 44, 1, p. 36-46

    Research output: Contribution to journalArticle

  40. Published

    Bank Margins and Profits in a World of Negative Rates

    Molyneux, P., Reghezza, A. & Xie, R., Oct 2019, In : Journal of Banking and Finance. 107, 105613.

    Research output: Contribution to journalArticle

  41. E-pub ahead of print

    Did negative interest rates improve bank lending?

    Molyneux, P., Reghezza, A., Thornton, J. & Xie, R., 30 Jul 2019, In : Journal of Financial Services Research.

    Research output: Contribution to journalArticle

  42. Published

    Developments in European Banking

    Molyneux, P. & Wilson, J. O., 1 Jul 2007, In : Journal of Banking and Finance. 31, 7, p. 1907-1910

    Research output: Contribution to journalArticle

  43. Published

    Bank efficiency in Latin America

    Molyneux, P., Williams, J. M. & Pasiouras, F. (ed.), 26 Apr 2013, Efficiency and Productivity Growth: Modelling in the Financial Services Industry. 2013 ed. Wiley-Blackwell, p. 1-18

    Research output: Chapter in Book/Report/Conference proceedingChapter

  44. Published

    'Too Systemically Important To Fail’ in Banking – Evidence from Bank Mergers and Acquisitions

    Molyneux, P., Schaeck, K. & Zhou, T. M., 2 Apr 2014, In : Journal of International Money and Finance. 49, part B, p. 258–282

    Research output: Contribution to journalArticle

  45. Published

    Foreign bank entry in South East Asia

    Molyneux, P., Nguyen, L. H. & Xie, R., 1 Dec 2013, In : International Review of Financial Analysis. 30, December, p. 26-35

    Research output: Contribution to journalArticle

  46. Published

    Earnings Management, Forecast Guidance and the Banking Crisis

    Molyneux, P., Beccalli, E., Bozzolan, S. & Menini, A. M., 20 Jun 2013, In : European Journal of Finance. 21, 3, p. 242-268

    Research output: Contribution to journalArticle

  47. Published

    Frontiers of Banks in a Global Economy

    Molyneux, P. (ed.) & Vallelado, E. (ed.), 1 Jan 2007, 2007 ed. Palgrave Macmillan.

    Research output: Book/ReportBook

  48. Published

    The Productivity of European Co-operative Banks.

    Molyneux, P. & Williams, J. M., 1 Jan 2005, In : Managerial Finance. 31, 11, p. 26-35

    Research output: Contribution to journalArticle

  49. Published

    An Introduction to Global Financial Markets

    Molyneux, P. & Valdez, S., 6 Nov 2015, Palgrave Macmillan.

    Research output: Book/ReportBook

  50. Published

    Bank Efficiency and Shareholder Value in Asia Pacific

    Molyneux, P., Fu, X. & Lin, Y., 23 Aug 2014, In : Journal of International Financial Markets, Institutions and Money. 33, p. 200-222

    Research output: Contribution to journalArticle

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