Professor Christopher Green BA, BPhil (Oxford), MSc, MPhil, PhD (Yale)
Professor of Economics and Finance
Deputy Director of Research
Portfolio analysis; financial markets and company finance in industrial and developing countries
Portfolio analysis, financial markets and company finance in industrial and developing countries
Green, C.J., Maggioni, P. and 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, 577-601. ISSN 0378-4266.
Green, C.J. 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, 121-140. ISSN 1076-9307.
Prasad, S.J., Green, C.J. and Murinde, V., 2005. Company financial structure: A survey and implications for developing economies. In C.J. Green, C.H. Kirkpatrick and V. Murinde (eds) Finance and Development: Surveys of Theory, Evidence and Policy, Cheltenham, Edward Elgar, Ch. 12, 356-429. ISBN 1-84376-030-4.
Moore, T. and Green, C.J., 2008. Flow of funds, and the impact of financial controls on bank portfolio behaviour: a study of India. European Journal of Finance Special Issue on Financial Reform in Emerging Markets. 14:7, 641–661. ISSN 1351-847X print/ISSN 1466-4364 online. DOI: 10.1080/13518470801890800
Cheng, Y. and Green, C.J., 2008. Taxes and capital structure: A study of European companies. Manchester School, 76, September Supplement, 85-115. ISSN 1463-6786. DOI: 10.1111/j.1467-9957.2008.01082.x.
Bai, Y. and Green, C.J., 2010. International diversification strategies: Revisited from the risk perspective. Journal of Banking & Finance, 34, 236–245. ISSN 0378-4266. doi:10.1016/j.jbankfin.2009.07.026.