Foreign exchange risk management in UK, USA and Asia Pacific multinational companies AP Marshall Journal of Multinational Financial Management 10 (2), 185-211, 2000 | 206 | 2000 |
Large UK companies and derivatives K Grant, AP Marshall European Financial Management 3 (2), 191-208, 1997 | 170 | 1997 |
Modelling transparency in disclosure: the case of foreign exchange risk management A Marshall, P Weetman Journal of Business Finance & Accounting 34 (5‐6), 705-739, 2007 | 147 | 2007 |
Corporate governance reform and risk-taking: Evidence from a quasi-natural experiment in an emerging market S Koirala, A Marshall, S Neupane, C Thapa Journal of Corporate Finance 61, 101396, 2020 | 137 | 2020 |
Employee layoffs, shareholder wealth and firm performance: Evidence from the UK D Hillier, A Marshall, P McColgan, S Werema Journal of Business Finance & Accounting 34 (3‐4), 467-494, 2007 | 125 | 2007 |
Are trading bans effective? Exchange regulation and corporate insider transactions around earnings announcements D Hillier, AP Marshall Journal of Corporate Finance 8 (4), 393-410, 2002 | 122 | 2002 |
Information asymmetry in disclosure of foreign exchange risk management: can regulation be effective? AP Marshall, P Weetman Journal of Economics and Business 54 (1), 31-53, 2002 | 107 | 2002 |
The market evaluation of information in directors’ trades D Hillier, AP Marshall Journal of Business Finance & Accounting 29 (1‐2), 77-110, 2002 | 106 | 2002 |
Share price reaction to dividend announcements: Empirical evidence on the signaling model from the Oslo stock exchange J Capstaff, A Klaeboe, AP Marshall Multinational Finance Journal 8 (1/2), 115-139, 2004 | 88 | 2004 |
Foreign direct investment in emerging markets and acquirers’ value gains L Barbopoulos, A Marshall, C MacInnes, P McColgan International Business Review 23 (3), 604-619, 2014 | 81 | 2014 |
International evidence on the determinants of foreign exchange rate exposure of multinational corporations RW Faff, A Marshall Journal of International Business Studies 36, 539-558, 2005 | 74 | 2005 |
The determinants of Norwegian exporters’ foreign exchange risk management D Davies, C Eckberg, A Marshall European Journal of Finance 12 (03), 217-240, 2006 | 72 | 2006 |
An empirical examination of the benefits of international diversification J Fletcher, A Marshall Journal of International Financial Markets, Institutions and Money 15 (5 …, 2005 | 67 | 2005 |
Variable reduction, sample selection bias and bank retail credit scoring A Marshall, L Tang, A Milne Journal of Empirical Finance 17 (3), 501-512, 2010 | 57 | 2010 |
The market reaction to auditor resignations J Dunn, D Hillier, AP Marshall Accounting and Business Research 29 (2), 95-108, 1999 | 57 | 1999 |
Integrating contemporary finance and international business research M Bowe, I Filatotchev, A Marshall International Business Review 19 (5), 435-445, 2010 | 55 | 2010 |
Exchange rate exposure, foreign currency derivatives and the introduction of the euro: French evidence H Nguyen, R Faff, A Marshall International review of economics & finance 16 (4), 563-577, 2007 | 54 | 2007 |
Impact of news announcements on the foreign exchange implied volatility A Marshall, T Musayev, H Pinto, L Tang Journal of International Financial Markets, Institutions and Money 22 (4 …, 2012 | 49 | 2012 |
The estimation and determinants of emerging market country risk and the dynamic conditional correlation GARCH model A Marshall, T Maulana, L Tang International Review of Financial Analysis 18 (5), 250-259, 2009 | 48 | 2009 |
Long‐term performance following rights issues and open offers in the UK P Ngatuni, J Capstaff, A Marshall Journal of Business Finance & Accounting 34 (1‐2), 33-64, 2007 | 46 | 2007 |