Loughborough University
Leicestershire, UK
LE11 3TU
+44 (0)1509 263171
Loughborough University

Loughborough University Research Publications


Publications for Christopher Green

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Journal Articles

Qin, J, Green, C, Sirichand, K (2019) Determinants of Nikkei futures mispricing in international markets: dividend clustering, currency risk, and transaction costs, Journal of Futures Markets, 39(10), pp.1269-1300, ISSN: 0270-7314. DOI: 10.1002/fut.22038.

Green, C, Bai, Y, Murinde, V, Ngoka, K, Maana, I, Tiriongo, S (2016) Overnight interbank markets and the determination of the interbank rate: A selective survey, International Review of Financial Analysis, 44, pp.149-161, ISSN: 1057-5219. DOI: 10.1016/j.irfa.2016.01.014.

Hudson, Y and Green, CJ (2015) Is investor sentiment contagious? International sentiment and UK equity returns, Journal of Behavioral and Experimental Finance, 5, pp.46-59, ISSN: 2214-6350. DOI: 10.1016/j.jbef.2015.02.004.

Camilleri, SJ and Green, CJ (2014) Stock market predictability: Non-synchronous trading or inefficient markets? Evidence from the national stock exchange of India, Studies in Economics and Finance, 31(4), pp.1086-7376, ISSN: 1086-7376. DOI: 10.1108/SEF-06-2012-0070.

Tao, J and Green, CJ (2013) Transactions costs, index arbitrage and non-linear dynamics between ftse100 spot and futures: A threshold cointegration analysis, International Journal of Finance and Economics, 18(2), pp.175-187, ISSN: 1076-9307. DOI: 10.1002/ijfe.463.

Xu, Y and Green, CJ (2013) Asset pricing with investor sentiment: Evidence from chinese stock markets*, Manchester School, 81(1), pp.1-32, ISSN: 1463-6786. DOI: 10.1111/j.1467-9957.2011.02260.x.

Bai, Y, Green, CJ, Leger, L (2012) Industry and country factors in emerging market returns: Did the Asian crisis make a difference?, Emerging Markets Review, 13(4), pp.559-580, ISSN: 1566-0141. DOI: 10.1016/j.ememar.2012.09.006.

Tao, J and Green, CJ (2012) Asymmetries, causality and correlation between FTSE100 spot and futures: A DCC-TGARCH-M analysis, International Review of Financial Analysis, 24, pp.26-37, ISSN: 1057-5219. DOI: 10.1016/j.irfa.2012.07.002.

Manos, R, Murinde, V, Green, CJ (2012) Dividend policy and business groups: Evidence from Indian firms, INTERNATIONAL REVIEW OF ECONOMICS & FINANCE, 21(1), pp.42-56, ISSN: 1059-0560. DOI: 10.1016/j.iref.2011.05.002.

Tao, J and Green, CJ (Accepted for publication) Asymmetries, causality and correlation between FTSE100 spot and futures: A DCC-TGARCH-M analysis, International Review of Financial Analysis, ISSN: 1057-5219. DOI: 10.1016/j.irfa.2012.07.002.

Bai, Y and Green, CJ (2011) Determinants of cross-sectional stock return variations in emerging markets, EMPIRICAL ECONOMICS, 41(1), pp.81-102, ISSN: 0377-7332. DOI: 10.1007/s00181-010-0437-9.

Green, CJ, Manos, R, Murinde, V, Suppakitjarak, N (2010) Share liquidity and market microstructure reform: the case of screen-based trading in Mumbai, Asia-Pacific Journal of Financial Studies, 39(3), pp.Pp.361-395, ISSN: 2041-6156. DOI: 10.1111/j.2041-6156.2010.01014.x.

Bai, Y and Green, CJ (2010) International diversification strategies: Revisited from the risk perspective, Journal of Banking & Finance, 34, pp.Pp.236-245, ISSN: 0378-4266. DOI: 10.1016/j.jbankfin.2009.07.026.

Green, CJ, Prasad, S, Murinde, V (2009) Capital Structure and Ownership: A New Approach with Comparative Evidence from Malaysia and Thailand, Journal of Financial Decision-Making, 5(1), pp.39-50, ISSN: 1790-4870.

Green, CJ and Camilleri, SJ (2009) The Impact of the Suspension of Opening and Closing Call Auctions: Evidence from the National Stock Exchange in India, International Journal of Banking, Accounting and Finance, 1(3), pp.257-284, ISSN: 1755-3830. DOI: 10.1504/IJBAAF.2009.022716.

Cheng, Y and Green, CJ (2008) Taxes and capital structure: A study of European companies, Manchester School, 76(, Annual Supplement), pp.85-115, ISSN: 1463-6786. DOI: 10.1111/j.1467-9957.2008.01082.x.

Bai, Y and Green, CJ (2008) The Euro: Did the Markets Cheer or Jeer?, Journal of Policy Modelling, 30, pp.431-446, ISSN: 0161-8938. DOI: 10.1016/j.jpolmo.2006.10.004.

Green, CJ and Murinde, V (2008) The impact of tax policy on corporate debt in a developing economy: A study of unquoted Indian companies, European Journal of Finance, 14(7): Special Issue), pp.583-607, ISSN: 1351-847X. DOI: 10.1080/13518470701705702.

Green, CJ (2008) Editor's Introduction: Financial Reform in Emerging Markets, European Journal of Finance, 14(7): Special Issue), pp.541-544, ISSN: 1351-847X. DOI: 10.1080/13518470802173537.

Green, CJ and Moore, T (2008) Flow of funds, and the impact of financial controls on bank portfolio behaviour: a study of India, European Journal of Finance, 14(7): Special Issue), pp.641-661, ISSN: 1351-847X. DOI: 10.1080/13518470801890800.

Green, CJ, Manos, R, Murinde, V (2007) Leverage and business groups: Evidence from Indian firms, Journal of Economics and Business, 59, pp.443-465, ISSN: 0148-6195. DOI: 10.1016/j.jeconbus.2007.04.006.

Green, CJ, Kimuyu, P, Manos, R, Murinde, V (2007) How do Small Firms in Developing Countries Raise Capital? Evidence from a Large-Scale Survey of Kenyan Micro and Small Scale Enterprises, Advances in Financial Economics, 12, pp.379-404, ISSN: 1569-3732. DOI: 10.1016/S1569-3732(07)12015-6.

Moore, T and Green, CJ (2007) A Portfolio Approach to Firms' Financing Decisions: Evidence from India using the Almost Ideal Demand System, Research in Accounting in Emerging Economies, 7, pp.Pp.347-368, ISSN: 1479-3563. DOI: 10.1016/S1479-3563(06)07017-4.

Green, CJ, Moore, T, Murinde, V (2006) Financial Sector Reforms and Stochastic Policy Simulations: A Flow of Funds Model for India, Journal of Policy Modelling, 28(3), pp.319-333, ISSN: 0161-8938. DOI: 10.1016/j.jpolmod.2005.12.002.

Green, CJ, Kirkpatrick, CH, Murinde, V (2006) Finance for Small Enterprise Growth and Poverty Reduction in Developing Countries, Journal of International Development, 18(7), pp.1017-1030, ISSN: 0954-1748. DOI: 10.1002/jid.1334.

Green, CJ, Moore, T, Murinde, V (2005) Portfolio Behaviour in a Flow of Funds Model for the Household Sector in India, Journal of Development Studies, 41(4), pp.675-702, ISSN: 0022-0388. DOI: 10.1080/00220380500092846.

Green, CJ and Tong, GQ (2005) Pecking Order or Trade-off Hypothesis? Evidence on the Capital Structure of Chinese Companies, Applied Economics, 37, pp.2179-2189, ISSN: 0003-6846.

Green, CJ and Moore, T (2005) Other Financial Institutions' Portfolio Behaviour and Policy Implications: A Study of India, International Economic Journal, 19(4), pp.543-561, ISSN: 1016-8737.

Green, CJ, Murinde, V, Nikolov, I (2004) The Efficiency of Foreign and Domestic Banks in Central and Eastern Europe: Evidence on Economies of Scale and Scope, Journal of Emerging Markets Finance, 3(2), pp.175-205, ISSN: 0972-6527.

Green, CJ and Mutenheri, E (2003) Financial Reform and Financing Decisions of Listed Firms in Zimbabwe, Journal of African Business, 4(2), pp.155-170, ISSN: 1522-8916.

Green, CJ and Murinde, V (2003) Flow of Funds: Implications for Research on Financial Sector Development and the Real Economy, Journal of International Development, 15, pp.1015-1036, ISSN: 0954-1748.

Green, CJ, Murinde, V, Suppakitjarak, J (2003) Corporate Financial Structures in India, South Asian Economic Journal (special issue on financial liberalization, corporate financial structuring and governance), 4(2), pp.245-274, ISSN: 1391-5614.

Green, CJ, Ngugi, RW, Murinde, V (2003) How Have the Emerging Stock Exchanges in Africa Responded to Market Reforms? Journal of African Business, 4(2), pp.89-128, ISSN: 1522-8916.

Green, CJ, Evans, AD, Murinde, V (2002) Human Capital and Financial Development in Economic Growth: New Evidence Using the Translog Production Function, International Journal of Finance and Economics, 7(2), pp.123-140, ISSN: 1076-9307. DOI: 10.1002/ijfe.182.

Green, CJ, Ngugui, RW, Murinde, V (2002) Does the Revitalisation Process Really Enhance Stock Market Microstructure? Evidence from the Nairobi Stock Exchange, The African Finance Journal, 4(1), pp.32-63.

Green, CJ and Kirkpatrick, CH (2002) Finance and Development: An Overview of the Issues, Journal of International Development, 14(2), pp.207-209, ISSN: 0954-1748.

Green, CJ and Murinde, V (2002) The Flow of Funds as Policy Device for Developing Countries, Insights Development Research, pp.1-4.

Green, CJ, Murinde, V, Moore, T (2002) The Flow of Funds and Macroeconomic Policy Analysis for Developing Countries, Finance and Development Policy Briefings, (June), pp.1-4.

Green, CJ, Holmes, MJ, Kowalski, T (2001) Poland: A Successful transition to Budget Sustainability?, Emerging Markets Review, 2(2), pp.161-183, ISSN: 1566-0141. DOI: 10.1016/S1566-0141(01)00015-2.

Prasad, S, Green, CJ, Murinde, V (2001) Company Financing, Capital Structure, Ownership: A Survey and Implications for Developing Economies, SUERF Studies, (12), pp.1-104.

Green, CJ, Lensink, R, Murinde, V (2001) Demand Uncertainty and the Capital-Labour Ratio in Poland, Emerging Markets Review, 2(2), pp.184-197, ISSN: 1566-0141.

Green, CJ, Maggioni, P, Murinde, V (2000) Regulatory Lessons for Emerging Stock Markets from a Century of Evidence on Transactions Costs and Share Price Volatility in the London Stock Exchange, Journal of Banking and Finance, 24, pp.577-601.

Green, CJ and Joujon, E (2000) Unified Tests of Causality and Cost of Carry: The Pricing of the French Stock Index Futures Contract, International Journal of Finance and Economics, 5(2), pp.121-140, ISSN: 1076-9307.

Green, CJ (1999) Banks as Interest Rate Managers, Journal of Financial Services Research, 14(3), pp.189-208, ISSN: 0920-8550.

Green, CJ and Maggioni, P (1999) The Term Structure of Interest Rates on the Ordinary Bonds of the Italian Treasury, Greek Economic Review, 19(1), pp.19-32.

Green, CJ and Diakosavvas, D (1998) Assessing the Impact on Food Security of Alternative Compensatory Financing Schemes: A Simulation Approach with an Application to India, World Development, 26(7), pp.1251-1266.

Green, CJ and Murinde, V (1998) Modelling the Macroeconomic Framework for an Emerging Market Economy, The Manchester School, 66(3), pp.302-330.

Green, CJ, Maggioni, P, Na, S (1995) Market Imperfections and the Capital Asset Pricing Model: Some Results from Aggregate UK Data, Oxford Economic Papers, pp.453-470, ISSN: 0030-7653.

Chowdhury, G, Green, CJ, Miles, DK (1994) An Empirical Model of UK Company Short Term Financial Decisions, The Manchester School, 62(4), pp.395-411, ISSN: 0025-2034.

Green, CJ and Murinde, V (1993) Comparative Aspects of the Potency of Budgetary and Financial Policy Instruments in Developing Countries: The Case of Kenya, Tanzania and Uganda, Journal of Policy Modelling, 15(4), pp.427-462, ISSN: 0161-8938.



Conferences

Diakosavvas, D and Green, CJ (1998) Assessing the impact on food security of alternative compensatory financing schemes: A simulation approach with an application to India. In ESRC Development Economic Study Group Global Conference, WORLD DEVELOPMENT, UNIV BIRMINGHAM, BIRMINGHAM, ENGLAND, pp.1251-1265, DOI: 10.1016/S0305-750X(98)00041-2.



Books

Green, CJ, Pentecost, EJ, Weyman-Jones, TG (ed) (2011) The Financial Crisis and the Regulation of Finance, Edward Elgar Publishing, ISBN: 9781849808705.

Green, CJ, Kirkpatrick, CH, Murinde, V (ed) (2005) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, ISBN: 1 84376 030 4.

Green, CJ and Mullineux, A (ed) (1998) Financial Sector Reform in Central and Eastern Europe: Capital Flows, Bank and Enterprise Restructuring, Edward Elgar.



Chapters

Green, CJ, Pentecost, EJ, Weyman-Jones, TG (2011) Editors' Introduction. In Green, CJ, Pentecost, EJ, Weyman-Jones, TG (ed) The Financial Crisis and the Regulation of Finance, pp.3-8, ISBN: 9781849808705.

Green, CJ (2011) The Day the Music Died: the Financial “Tsunami” of 2007-2009. In Green, CJ, Pentecost, EJ, Weyman-Jones, TG (ed) The Financial Crisis and The Regulation of Finance, pp.9-29, ISBN: 9781849808705.

Green, CJ, Kirkpatrict, CH, Murinde, V (2005) Preface. In Green, , J, D, Kirkpatrick, H, C, Murinde, eds, V (ed) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, pp.xiii-xiv, ISBN: 1 84376 030 4.

Green, CJ, Kirkpatrick, CH, Murinde, V (2005) How Does Finance Contribute to the Development Process and Poverty Reduction?. In Green, , J, C, Kirkpatrick, H, C, Murinde, eds, V (ed) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, pp.1-28, ISBN: 1 84376 030 4.

Green, CJ and Murinde, V (2005) Flow of Funds: The Relationship Between Finance and the Macroeconomy. In Green, , J, C, Kirkpatrick, H, C, Murinde, eds, V (ed) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, pp.62-89, ISBN: 1 84376 030 4.

Green, CJ, Murinde, V, Ngugi, RW (2005) Stock Market Development: What Have We Learned?. In Green, , J, C, Kirkpatrick, H, C, Murinde, eds, V (ed) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, pp.90-153, ISBN: 1 84376 030 4.

Green, CJ, Murinde, V, Prasad, SJ (2005) Company Financial Structure: A Survey and Implications for Developing Economies. In Green, , J, C, Kirkpatrick, H, C, Murinde, eds, V (ed) Finance and Development: Surveys of Theory, Evidence and Policy, Edward Elgar, pp.356-429, ISBN: 1 84376 030 4.

Green, CJ, Murinde, V, Nikolov, I (2004) Are Foreign Banks in Central and Eastern Europe More Efficient than Domestic Banks?. In Balling, M, Lierman, F, Mullineux, eds, A (ed) Financial Markets in Central and Eastern Europe, Routledge, pp.206-224, ISBN: 0-415-34253-8.

Green, CJ, Bahra, P, Murinde, V (1999) Simulation Experiments of the Macroeconomic Effects of Financial Sector Reforms in Poland and Estonia. In Green, CJ and Mullineux, AE (ed) Financial Sector Reform in Central and Eastern Europe: Capital Flows, Bank and Enterprise Restructuring, Edward Elgar, pp.277-304.

Green, CJ and Murinde, V (1998) Flow of Funds and the Macroeconomic Policy Framework for Financial Restructuring in Transition Economies. In Doukas, J, Murinde, V, Wihlborg, eds, C (ed) Financial Sector Reform and Privatisation on Transition Economies, Elsevier Science BV (North Holland), pp.241-279.

Green, CJ, Bahra, P, Murinde, V (1997) Coping with Financial Reforms in Transitional Economics: What have we learnt?. In Kowalski, TE (ed) Financial Reform in Emerging Market Economies, Quantitative and Institutional Issues, Poznan University Press, pp.11-40, ISBN: 83-87152-06-4.

Green, CJ (1996) Adekwatnosc Kapitalowa Zle Kredyty I Stopy Protentowe. In Jance, A and Kowalski, TE (ed) Reformy Finansowe w Krajach Tworzacych Gospodrke Rynkowa, Poznan University Press, pp.7-20, ISBN: 83-85530-89-4.

Green, CJ (1996) The Balance of Payments. In Artis, MJE (ed) The UK Economy,14th edition, Oxford University Press, pp.330-376.

Green, CJ and Murinde, V (1992) The Potency of Budgetary and Financial Policy Instruments in Uganda. In Rayner, AJ and Milner, CRE (ed) Case Studies in Economic Development, Volume 1: Policy Adjustment in Africa, Macmillan, pp.149-172, ISBN: 0 333 54033 6.

Green, CJ (1992) The Flow of Funds. In Newman, P, Milgate, M, Eatwell, eds, J (ed) The New Palgrave Dictionary of Money and Finance, Macmillan, pp.137-140.

Green, CJ (1992) Foreign Trade and the Balance of Payments. In Artis, MJE (ed) Prest and Coppock's UK Economy, Weidenfeld and Nicholson, pp.138-227.



School/Dept Working Papers

Green, CJ and Tong, GQ (2004) Pecking Order or Trade-off Hypothesis? Evidence on the Capital Structure of Chinese Companies.

Green, CJ and Bai, Y (2004) The Euro: Did the Markets Cheer or Jeer?.

Green, CJ and Moore, T (2004) Flow of Funds, and the Impact of Financial Controls on Bank Portfolio Behaviour: A Study of India.

Green, CJ and Murinde, V (2004) The Impact of Tax Policy on Corporate Debt in a Developing Economy: A Study of Unquoted Indian Companies.

Green, CJ and Camilleri, SJ (2004) The Impact of the Suspension of Opening and Closing Call Auctions: Evidence from the National Stock Exchange of India.

Green, CJ, Moore, T, Murinde, V (2003) Porfolio Behaviour in a Flow of Funds Model for the Household Sector in India.

Green, CJ, Murinde, V, Nikolov, I (2003) Are Foreign Banks in Central and Eastern Europe More Efficient than Domestic Banks?.

Manos, R, Murinde, V, Suppakitjarak, J, Green, CJ (2003) The Impact of Microstructure Innovations in Emerging Stock Markets: Evidence from Mumbai, India.

Green, CJ, Murinde, V, Suppakitjarak, J (2002) Corporate Financial Structures in India.

Green, CJ and Mutenheri, E (2002) Financial Reform and Financing Decisions of Listed Firms in Zimbabwe.

Green, CJ, Kimuyu, P, Manos, R, Murinde, V (2002) How do Small Firms in Developing Countries Raise Capital? Evidence from a Large-Scale Survey of Kenyan Micro and Small Scale Enterprises (MSEs).

Green, CJ, Murinde, V, Ndung'u, N (2002) Flow of Funds and Policy Modelling for Kenya.

Green, CJ, Murinde, V, Suppakitjarak, J (2002) Corporate Financial Structures in India.

Green, CJ and Mutenheri, E (2002) Financial Reform and Financing Decisions of Listed Firms in Zimbabwe.

Green, CJ, Manos, R, Murinde, V (2002) How do Small Firms in Developing Countries Raise Capital?.

Manos, R, Green, CJ, Murinde, V (2001) Business Groups and Dividend Policy: Evidence on Indian Firms.

Manos, R, Green, CJ, Murinde, V (2001) Business Groups and Capital Structure: Evidence on Indian Firms.

Prasad, S, Green, CJ, Murinde, V (2001) Corporate Financial Structures in Developing Economies: Evidence from a Comparative Analysis of Thai and Malay Corporations.

Evans, D, Green, CJ, Murinde, V (2001) Does Political Structure Really Matter? Evidence on Political Structure, Financial Development and Economic Growth.

Prasad, S, Green, CJ, Murinde, V (2001) Company Financing, Capital Structure and Ownership: A Survey and Implications for Developing Economies.

Green, CJ, Evans, D, Murinde, V (2000) The Importance of Human Capital and Financial Development in Economic Growth: New Evidence Using the Translog Production Function.

Green, CJ, Zhuang, Y, Maggioni, P (2000) The Great Rebound. The Great Crash and Persistence in British Stock Prices.

Green, CJ, Murinde, V, Ngugi, R (2000) Key Microstructure and Policy Issues for Emerging Stock Markets. What Have We Learned?.

Green, CJ and Murinde, V (2000) Flow of Funds: Implications for Research on Financial Sector Development and the Real Economy.

Green, CJ and Holmes, MJ (2000) Poland: A Successful Transition to Budget Sustainability?.

Kowalski, T, Lensink, R, Green, CJ (1999) Building Financial Markets in Central and Eastern Europe.

Green, CJ and Murinde, V (1999) Flow of Funds: Implications on Financial Sector Development and the Real Economy.

Green, CJ, Maggioni, P, Murinde, V (1998) Regulatory Lessons for Emerging Stock Markets from a Century of Evidence on Transactioons Costs and Share Price Volatility in the London Stock Exchange.

Green, CJ and Joujon, E (1998) Unified Tests of Causality and Cost of Carry: The Pricing of the French Stock Index Futures Contract.

Green, CJ, Lensink, R, Murinde, V (1998) Are Polish Firms Risk-Averting or Risk-Loving? Evidence on Demand Uncertainty and the Capital-Labour Ratio in a Transition Economy.

Green, CJ and Maggioni, P (1997) The Term Structure of Interest Rates: An Analysis of the Primary Market for Italian Treasury Bonds.

Green, CJ (1997) Stock Prices and Returns Over Three Centuries: A Review of Statistical methods and Data Sources.

Green, CJ and Murinde, V (1997) Flow of Funds and the Macroeconomic Policy Framework for Financial Restructuring in Transition Economics.

Green, CJ, Zhuang, Y, Maggioni, P, Bowen, A, Velasco Anton, K (1997) Factors or Fantasies? An Analysis of Stock Returns by Industry.

Green, CJ (1997) Bank Capital Adequacy, Endemic Bad Debts and the Determination of Interest Rates.

Green, CJ and Diakosavvas, D (1997) Assessing the Impact on Food Security of Alternative Compensatory Financing Schemes: A Simulation Approach with an Application to India.

Green, CJ (1997) Banks as Interest Rate Managers.

Bowen, A, Green, CJ, Maggioni, P, Morgan, C (1994) The Measurement and Interpretation of Long-Run Equity Portfolio Returns.

Green, CJ and Joujon, E (1994) Exact Tests of Causality and Cost of Carry: The Pricing of the French Stock Index Futures Contract.

Green, CJ (1993) Banks as Interest Rate Managers.

Green, CJ (1993) Stock Prices and Returns over Three Centuries: A Review of Data Sources and Statistical Methods.



Reports

Green, CJ, de Haan, J, Murinde, V, Vensel, V, Tammeraid, A, Teearu, A, Kowalski, T, Janc, A, Dubauskas, G, Wilhborg, C, Lensink, R, Hermes, N (2002) Foreign Banks and Economic Transition, Final Report, EC Phare/ACE Contract No. P98-1082-R.

Green, CJ, Kirkpatrick, CH, Llewellyn, DT, Murinde, V, Cook, P, Moseley, P, Fitzgerald, V (2002) Effective Financial Sector Policies for Growth, with Poverty Reduction, Final Report, Department of International Development.

Kirkpatrick, CH, Green, CJ, Llewellyn, DT, Murinde, V, Cook, P, Moseley, P, Fitzgerald, V (2001) Effective Financial Sector Policies for Growth, with Poverty Reduction, p.44, Department for International Development.

de Haan, J, Green, CJ, Murinde, V, Vensel, V, Tammeraid, A, Teearu, A, Kowalski, T, Janc, A, Dubauskas, G, Wilhborg, C, Lensink, R, Hermes, N (2001) Foreign Banks and Economic Transition, p.33, EC Phare/ACE.

Green, CJ and Maggioni, P (2001) Financial Companies in the Stock Market, 1825-1962: A Quantitative Study, p.11, The Institute of Actuaries.

Green, CJ and Maggioni, P (2001) Financial Companies in the Stock Market, 1825-1962: A Quantitative Study, p.3, The Institute of Actuaries.

Green, CJ, Kirkpatrick, C, Llewellyn, DT, Murinde, V, Cook, P, Moseley, P, Fitzgerald, V, Heady, C (2000) Effective Financial Sector Policies for Growth, with Poverty Reduction, ?? 2nd Interim Report, Department for International Development.

Green, CJ and Maggioni, P (2000) Financial Companies in the Stock Market, 1825-1962: A Quantitative Study, ?? 4th Report, Institute of Actuaries.

Green, CJ and Maggioni, P (2000) Financial Companies in the Stock Market 1825-1962: A Quantitative Study, p.4, 3rd Interim Report, Institute of Actuaries.

Green, CJ and Maggioni, P (2000) Financial Companies in the Stock Market 1925-1962: A Quantitative Study, p.4, 2nd Interim Report, Institute of Actuaries.

Green, CJ, Kirkpatrick, CH, Llewellyn, DT, Murinde, V, Cook, P, Moseley, P, Mavrotas, G, Fitzgerald, V, Heady, C (1999) Effective Financial Sector Policies for Growth with Poverty Reduction, p.38, 1st Interim Report, Department for International Development.

Green, CJ, Murinde, V, Vensel, V, Tammeraid, A, Teearu, A, Kowalski, T, Janc, A, Dubauskas, G, Wilhborg, C, Lensink, R, Hermes, N (1999) Building Financial Institutions and Markets in the Transition Economies with Special Reference to Estonia, Poland and Lithuania, p.25, Final Report, EU Phare/ACE Programme.

Green, CJ and Maggioni, P (1999) Financial Companies in the Stock Market 1825-1962: A Quantitative Study, p.4, 1st Interim Report, Institute of Actuaries.

Green, CJ (1998) Stock Market Prices and Returns Since 1812: A Quantitative Study, p.33, Final Report, The Leverhulme Trust.

Green, CJ (1998) Stock Market Prices and Returns Since 1812: A Quantitative Study, p.33, Final Report, Inquire.

Green, CJ, Murinde, V, Vensel, V, Tammeraid, A, Teearu, A, Kowalski, T, Janc, A, Dubauskas, G, Wilhborg, C, Lensink, R, Hermes, N (1998) Building Financial Institutions and Markets in the Transition Economies with Special Reference to Estonia, Poland and Lithuania, p.26, Interim Report, EU Phare/ACE Programme.

Green, CJ, Murinde, V, Vensel, V, Tammeraid, A, Teearu, A, Kowalski, T, Janc, A, Wilhborg, C, Lensink, R, Hermes, N (1997) Coping with Financial Reform in Emerging Market Economics: Analytical Tools, Policy Implications, and Case Studies of Estonia and Poland, p.28, Final Report, EU Phare/ACE Programme.

Green, CJ and Maggioni, P (1997) Stock Market Prices and Returns Since 1812: A Quantitative Study, p.21, Second Interim Report to the Leverhulme Trust.

Green, CJ (1994) The Capital Market and Long-Term Economic Performance, p.10, The Leverhulme Trust.



Other

Green, CJ (2008) European Journal of Finance.

Green, CJ and Kirkpatrick, CH (2002) Policy Arena - a Collection of Papers on the theme of 'Finance and Development'.

Green, CJ, Molyneux, P, Altunbas, Y, Gardener, E (1998) Efficiency in European Banking.

Green, CJ (1994) Takagi, S. (ed), ``Japanese Capital Markets''.



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