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The dehybridization of social enterprises
Published 2022“…The third paper draws on the same dataset and examines how three exogenous shocks (2007-2008 Financial Crisis, Brexit Vote, and Covid-19 Lockdown) affected the management of hybrid tensions in social enterprises.…”
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2
Market reactions to the announcement of sukuk: evidence from Malaysian market / Muzrifah Mohamed Mohamed
Published 2014“…Consideration is given to investigate the impact of this Islamic debt on stock’s return surrounding the 2007-2008 financial crisis. It specifically studies market reaction using Malaysian listed firms as a setting. …”
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3
The utilisation of online alternative media and its implications towards participatory democracy: a Malaysian case / Azlina Kamaruddin
Published 2015“…Since the enactment of the Communication and Multimedia Act 1999, online alternative media such as Malaysiakini, Malaysia Today, and the Malaysian Insider have played a pivotal role in many political events including the post-Mahathir-Anwar political crisis, the 2008 financial crisis, election campaign, Anwar's sodomy case, and Dr. …”
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4
Identification and Robustness in Central Banking and Supply Chain
Published 2022“…The first two chapters tackle the real-world challenge of financial systemic risk reflected by the 2008 financial crisis, and the proliferation of monetary policy tools thereafter. …”
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Post-Keynesian financial spaces, places, and flows: geographies of finance and financial crisis
Published 2014“…This dissertation is a reaction to the public policy failures that culminated in, prolonged, and exacerbated the 2008 financial crisis in the United States. Between the winter of 2007 and the summer of 2009, the US private economy contracted severely. …”
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Corporate investment and the role of expected profitability: a re-examination
Published 2023“…For the subsample of firms with less volatile stock market valuations, we find significant cash flow sensitivity for periods up to 2007, but no significant cash flow sensitivity for periods after the 2008 financial crisis.</p>…”
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8
Financial market imperfections and their asset pricing implications
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9
Polanyi, China and the environmental impasse: unconscious retrogression and conscious advance
Published 2020“…<p>This thesis re-examines core concepts of Polanyian thought in order to evaluate the contemporary value of Polanyian theory. Since the 2008 financial crisis there has been an increased focus on Polanyi’s double movement and countermovement concepts to help explain the fallout of 2008. …”
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Crisis, credibility, and corruption: how ideas and institutions shape government behaviour in India
Published 2017“…From the American Gilded Age to global demonstrations in the wake of the 2008 financial crisis, these movements seek to combat malfeasance in government and improve accountability. …”
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Placing the production of investment returns: an economic geography of asset management in public pension plans
Published 2017“…<p>Traditionally, asset owners such as pension funds and sovereign wealth funds have relied almost exclusively on financial intermediaries to invest their assets. However, since the 2008 financial crisis the idea of bypassing the industry by insourcing investment functions has gained momentum amongst practitioners and academics alike. …”
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Essays in applied macroeconomics: dynamic effects of monetary and financial shocks
Published 2020“…The decline in the NRI over 1984 to 2016 has predominantly been associated with a persistent decline in the relative price of capital in the US and an increase in population growth in the UK. Since the 2007--2008 financial crisis, the 1.5-2 percentage point fall in the NRI in both economies was largely associated with a decline in productivity growth and heightened economic uncertainty.…”
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