Now showing items 1-16 of 16

    Issue DateTitleAuthor(s)
    21 February 2011Are European equity markets efficient? New evidence from fractal analysis  Onali, E; Goddard, J
    22 July 2016Can we predict dividend cuts?  Onali, E
    1 September 2015CEO power, government monitoring, and bank dividends  Onali, E; Galiakhmetova, R; Molyneux, P; et al.
    20 December 2021Corporate Diversification and Stock Risk: Evidence from a Global Shock  Onali, E; Mascia, DV
    4 November 2018Debt priority structure, market discipline, and bank conduct  Danisewicz, P; McGowan, D; Onali, E; et al.
    12 May 2020Debtholder monitoring incentives and bank earnings opacity  Danisewicz, P; McGowan, D; Onali, E; et al.
    13 April 2020Do stress tests affect bank liquidity creation?  Nguyen, TVH; Ahmed, S; Chevapatrakul, T; et al.
    9 January 2020Does gender diversity on banks’ boards matter? Evidence from public bailouts  Onali, E; Cardillo, G; Torluccio, G
    27 May 2017How should we estimate value-relevance models? Insights from European data  Onali, E; Ginesti, G; Vasilakis, C
    10 January 2017Investor reaction to IFRS for financial instruments in Europe: The role of firm-specific factors  Onali, E; Ginesti, G; Ballestra, LV
    3 February 2016Long memory and multifractality: A joint test  Goddard, J; Onali, E
    4 March 2018Market reaction to bank liquidity regulation  Bruno, B; Onali, E; Schaeck, K
    11 May 2021Market Reaction to the Expected Loss Model in Banks  Onali, E; Ginesti, G; Cardillo, G; et al.
    21 October 2021Natural disasters and economic growth: The role of banking market structure  Duqi, A; McGowan, D; Onali, E; et al.
    24 October 2016The real effects of banking supervision: Evidence from enforcement actions  Danisewicz, P; McGowan, D; Onali, E; et al.
    14 February 2022A very British state capitalism: variegation, political connections and bailouts during the COVID-19 crisis  Wood, GT; Onali, E; Grosman, A; et al.