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Number of items: 16.

Bruno, Brunella, Onali, Enrico and Schaeck, Klaus (2018). Market reaction to bank liquidity regulation. Journal of Financial and Quantitative Analysis, In Pre ,

Danisewicz, Piotr, McGowan, Danny, Onali, Enrico and Schaeck, Klaus (2017). Debt priority structure, market discipline and bank conduct. Review of Financial Studies, In Pre ,

Onali, Enrico, Ginesti, Gianluca and Vasilakis, Chrisovalantis (2017). How should we estimate value-relevance models? Insights from European Data. British Accounting Review, 49 (5), pp. 460-473.

Onali, Enrico, Ginesti, Gianluca and Ballestra, Luca Vincenzo (2017). Investor reaction to IFRS for financial instruments in Europe:the role of firm specific factors. Finance Research Letters, In pre ,

Danisewicz, Piotr, McGowan, Danny, Onali, Enrico and Schaeck, Klaus (2016). The real effects of banking supervision:evidence from enforcement actions. Journal of Financial Intermediation, In pre ,

Onali, Enrico (2016). Can we predict dividend cuts? Economics Letters, 146 , pp. 71-76.

Onali, Enrico, Galiakhmetova, Ramilya, Molyneux, Philip and Torluccio, Giuseppe (2016). CEO power, government monitoring, and bank dividends. Journal of Financial Intermediation, 27 , 89–117.

Onali, Enrico and Goddard, John (2016). Long memory and multifractality:a joint test. Physica A, 451 , 288–294.

Goddard, John and Onali, Enrico (2016). Long memory and multifractality:a joint test. Working Paper. UNSPECIFIED. (Unpublished)

Onali, Enrico and Ginesti, Gianluca (2014). Pre-adoption market reaction to IFRS 9:a cross-country event-study. Journal of Accounting and Public Policy, 33 (6), pp. 628-637.

Kick, Thomas, Onali, Enrico, Ruprecht, Benedikt and Schaeck, Klaus (2014). Wealth shocks, credit-supply shocks, and asset allocation:evidence from household and firm portfolios. Working Paper. European Central Bank, Frankfurt (DE).

Onali, Enrico (2014). Moral hazard, dividends, and risk in banks. Journal of Business Fnance and Accounting, 41 (1-2), pp. 128-155.

Kick, Thomas, Ruprecht, Benedikt, Onali, Enrico and Schaeck, Klaus (2014). Wealth shocks, credit-supply shocks, and asset allocation:evidence from household and firm portfolios. Discussion Paper. Deutsche Bundesbank Eurosystem.

Goddard, John and Onali, Enrico (2012). Self-affinity in financial asset returns. International Review of Financial Analysis, 24 , pp. 1-11.

Onali, Enrico and Goddard, John (2011). Are European equity markets efficient? New evidence from fractal analysis. International Review of Financial Analysis, 20 (2), pp. 59-67.

Onali, Enrico (2010). Moral hazard, dividends and risk in banks. IN: 8th International Eurofidai-AFFI Annual Meeting. 2010-12-16 - 2010-12-17. (Unpublished)

This list was generated on Thu Aug 22 01:48:37 2019 BST.