Recent Publications


Kabir, R, Li, H & Veld-Merkoulova, Y., 2018, “Do managers act opportunistically towards the end of their career?”,Journal of International Financial Markets, Institutions and Money.


Byrne, JP, Ibrahim, BM & Sakemoto, R., 2017, “Common Information in Carry Trade Risk Factors”, Journal of International Financial Markets, Institutions and Money.

Byrne, JP, Ibrahim, BM & Sakemoto, R., 2017, “The Time-Varying Risk Price of Currency Carry Trades”, MPRA Working Paper, no. 80788.

Byrne, JP, Ibrahim, BM & Sakemoto, R., 2017,“Carry Trades and Commodity Risk Factors”, MPRA Working Paper, no. 80789.

Danbolt, J., Hirst, I. and Jones, E., 2017, “Gaming the FTSE 100 index”, The British Accounting Review.

Kiefer, M., Jones, E. & Adams, A., 2017, “Shareholders and Managers as Principal-Agent Hierarchies and Cooperative Teams”, Qualitative Research in Financial Markets, 9(1), 48-71 24.

Leitch, D. & Sherif, M., 2017, “Twitter Mood, CEO Succession Announcements and Stock Returns”, Journal of Computational Science21, 1-10.

Morrow, S. & Adams, A., 2017, “Changing boundaries and evolving organizational forms in football: Novelty and variety among Scottish clubs”, Journal of Sport Management.

Sheng, X, Brzeszczynski, J & Ibrahim, B.M., 2017, “International Stock Return Co-movements and Trading Activity” Finance Research Letters.

Sherif, M., 2017, “ Family Takaful in Developing Countries: the Case of Middle East and North Africa (MENA)”, International Journal of Islamic and Middle Eastern Finance and Management.

Sherif, M., 2017, “Sukuk and Conventional Bonds: Shareholder Wealth Perspective”, Journal of Islamic Accounting and Business Research . 8(4), 347-374.

Sherif, M., 2017, “Shariah-Compliant Investment and Stock Returns: Evidence from the Indonesian Stock Market”, Journal of Islamic Accounting and Business Research.

Xu, B., Nayak, A., Gray, D. & Ouenniche, J., 2016, “Assessing Energy Business Cases Implemented in the North Sea Region and Strategy Recommendations”, Applied Energy, 172, 360-371.


Baum, C. F., Caglayan, M. & Talavera, O., 2016, “R&D expenditures and geographical sales diversification”, Manchester School, 84(2), 197-221.

Caglayan, M., Kocaaslan, O. K. & Mouratidis, K., 2016, “Regime dependent effects of inflation uncertainty on real growth: a markov switching approach”, Scottish Journal of Political Economy, 63(2), 135-155.

Caglayan, M. & Xu, B., 2016, “Sentiment volatility and bank lending behavior”,  International Review of Financial Analysis,  45, 107-120.  

Caglayan, M. & Xu, B., 2016, “Inflation Volatility Effects on the Allocation of Bank Loans”, Journal of Financial Stability, 24, 27-39.

Caglayan, M., Jehan, Z. & Mouratidis, K., 2016, “Asymmetric Monetary Policy Rules for an Open Economy: Evidence from Canada and the UK”, International Journal of Finance and Economics, 21(3), 279–293.

Caglayan, M., Kandemir Kocaaslan, O. & Mouratidis, K., 2016, “Financial Depth and the Asymmetric Impact of Monetary Policy”, Oxford Bulletin of Economics and Statistics.

Chen, J. & Sherif, M., 2016, “Illiquidity premium and expected stock returns in the UK: A new approach”, Physica A: Statistical Mechanics and its Applications, 458, 52–66.

Curtis, H. C. & Jones, E., 2016, “Will I clear my feet? Perspectives on a Fishing Vessel Scrapping Scheme in Scotland”, Marine Policy, 71, 94–105.

Eross, A., Urquhart, A. & Wolfe, S., 2016, “Propagation of endogenous liquidity shocks within the interbank market”, Journal of International Money and Finance.

Eross, A., Urquhart, A. & Wolfe, S., 2016, “An early warning indicator for liquidity shortages in the interbank market: a regime switching approach”.

Eross, A., Urquhart, A. & Wolfe, S., (2016), “Liquidity risk contagion in the Interbank Market”,  Journal of International Financial Markets, Institutions and Money, 45, 142–155.

Holden, R., Xu, B., Greening, P., Piecyk, M. & Dadhich, P., 2016, “Towards a common measure of greenhouse gas related logistics activity using data envelopment analysis”,  Transportation Research Part A: Policy and Practice, 91, 105-119.

Komenkul, K., Sherif, M. & Xu, B., 2016, “IPOs’ signalling effects for speculative stock detection: evidence from the Stock Exchange of Thailand”, Applied Economics, 49(31), 3067-3085.

Lusyana, D. & Sherif, M., 2016, “Do mergers create value for high-tech firms? The hounds of dotcom bubble”, Journal of High Technology Management Research, 27(2), 196-213.

Salhin, A. F. S., Sherif, M. & Jones, E., (2016), “Managerial Sentiment, Consumer Confidence and Sector Returns”, International Review of Financial Analysis, 47, 24–38.

Sherif, M., 2016, “Ethical Dow Jones indexes and investment performance: international evidence”, Investment Management and Financial Innovations. 13(2).

Sherif, M. & Elsayed, M., 2016, “The impact of intellectual capital on corporate performance: evidence from the Egyptian insurance market”, International Journal of Innovation Management, 20(3).

Sherif, M., Komenkul, K. & Xu, B., 2016, “Prospectus disclosure and the stock market performance of initial public offerings (IPOs): the case of Thailand”, Investment Management and Financial Innovations, 13(4), 146-159.


                                                                                                                                        Updated as at 20th March 2018