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Dr Tomoe Moore
Honorary Senior Lecturer

Marie Jahoda 250

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Fidrmuc, J., Gaibulloev, K., Mirzaei, A. and Moore, T. (2024) 'The effect of capital inflows on the imports of capital goods in developing countries'. Journal of Corporate Finance, 84 (February 2024). pp. 1 - 21. ISSN: 0929-1199

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Igan, D., Mirzaei, A. and Moore, T. (2023) 'A Shot in the Arm: Economic Support Packages and Firm Performance during COVID-19'. Journal of Corporate Finance, 78. pp. 1 - 29. ISSN: 0929-1199

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Igan, D., Mirzaei, A. and Moore, T. (2022) 'Does macroprudential policy alleviate the adverse impact of COVID-19 on the resilience of banks?'. Journal of Banking and Finance, 147. pp. 1 - 16. ISSN: 0378-4266

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Mirzaei, A. and Moore, T. (2020) 'Do the macro-prudential policies jeopardise banking competition?'. International Review of Finance, 21 (4). pp. 1511 - 1518. ISSN: 1369-412X

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Mirzaei, A. and Moore, T. (2019) 'Real effect of bank efficiency: Evidence from disaggregated manufacturing sectors'. Economica, 86 (341). pp. 87 - 115. ISSN: 1468-0335

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Shaddady, A. and Moore, T. (2018) 'Investigation of the effects of financial regulation and supervision on bank stability: The application of CAMELS-DEA to quantile regressions'. Journal of International Financial Markets, Institutions and Money, 58. pp. 96 - 116. ISSN: 1042-4431

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Igan, D., Mirzaei, A. and Moore, T. (2018) 'How do regulations of entry and credit access relate to industry competition? International evidence'. IMF Working Paper, WP/18/84.

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Mirzaei, A. and Moore, T. (2016) 'Banking performance and industry growth in an oil-rich economy: Evidence from Qatar'. The Quarterly Review of Economics and Finance, 60. pp. 58 - 69. ISSN: 1062-9769

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Moore, T. and Mirzaei, A. (2014) 'The impact of the global financial crisis on industry growth'. Manchester School, 84 (2). pp. 159 - 180. ISSN: 1463-6786

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Mirzaei, A. and Moore, T. (2014) 'What are the driving forces of bank competition across different income groups of countries?'. Journal of International Financial Markets, Institutions and Money, 32 (1). pp. 38 - 71. ISSN: 1042-4431

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Moore, T. and Wang, P. (2014) 'Dynamic linkage between real exchange rates and stock prices: Evidence from developed and emerging Asian markets'. International Review of Economics & Finance, 29. pp. 1 - 11. ISSN: 1059-0560

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Wang, P. and Moore, T. (2014) 'The determinants of vulnerability to currency crises: country-specific factors versus regional factors'. Empirica, 41 (4). pp. 619 - 640. ISSN: 0340-8744

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Mirzaei, A., Moore, T. and Liu, G. (2013) 'Does market structure matter on banks’ profitability and stability? Emerging vs. advanced economies'. Journal of Banking and Finance, 37 (8). pp. 2920 - 2937. ISSN: 0378-4266

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Wang, P. and Moore, T. (2012) 'The integration of the credit default swap markets during the US subprime crisis: Dynamic correlation analysis'. Journal of International Financial Markets, Institutions and Money, 22 (1). pp. 1 - 15. ISSN: 1042-4431

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Mirzaei, A., Liu, G. and Moore, T. (2011) 'Market structure and bank activity in emerging and advanced economies: The impact on risk and returns (1999-2008)'.The European Economic Association. Oslo, Norway. [unpublished]

Conference paper | Cite

Moore, T. and Ghatak, S. (2011) 'Monetary policy rules for transition economies: An empirical approach'. Review of Development Economics, 15 (4). pp. 714 - 728. ISSN: 1363-6669

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Moore, T. (2009) 'Soft budget constraints in EU transition economy enterprises'. International Finance, 12 (3). pp. 411 - 430. ISSN: 1367-0271

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Wang, P. and Moore, T. (2009) 'Sudden changes in volatility: The case of five central European stock markets'. Journal of International Financial Markets, Institutions and Money, 19 (1). pp. 33 - 46. ISSN: 1042-4431

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Moore, T. and Green, CJ. (2008) 'Flow of funds and the impact of financial controls on bank portfolio behaviour: A study of India'. European Journal of Finance, 14 (7). pp. 641 - 661. ISSN: 1351-847X

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Mallick, S. and Moore, T. (2008) 'Foreign capital in a growth model'. The Review of Development Economics, 12 (1). pp. 143 - 159. ISSN: 1363-6669

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Wang, P. and Moore, T. (2008) 'Stock market integration for the transition economies: Time-varying conditional correlation approach'. Manchester School, 76 (s1). pp. 116 - 133. ISSN: 1463-6786

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Moore, T. and Wang, P. (2007) 'Volatility in stock returns for new EU member states: Markov regime switching model'. International Review of Financial Analyses, 16 (3). pp. 282 - 292. ISSN: 1057-5219

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Moore, T. (2007) 'Has the entry to the EU altered the dynamic link of the stock returns for the emerging markets?'. Applied Financial Economics, 17 (17). pp. 1431 - 1446. ISSN: 0960-3107

Journal article | Cite

Moore, T. and Green, CJ. (2007) 'A portfolio approach to firms’ financing decision: evidence from India using the Almost Ideal Demand System', inResearch in Accounting in Emerging Economies. , 7. pp. 355 - 377.

Book chapter | Cite

Moore, T. (2007) 'India's emerging financial market: A flow of funds model'. Routledge, Taylor & Francis. ISSN 13: 9780415434096

Book | Cite

Moore, T. and Pentecost, EJ. (2006) 'An investigation into the sources of fluctuation in real and nominal wage rates in eight EU countries: A structural VAR approach'. Journal of Comparative Economics, 34 (2). pp. 357 - 376. ISSN: 0147-5967

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Pentecost, EJ. and Moore, T. (2006) 'Financial liberalization in India and a new test of the complementarity hypothesis'. Economic Development and Cultural Change, 54 (2). pp. 487 - 502. ISSN: 0013-0079

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Moore, T., Green, CJ. and Murinde, V. (2006) 'Financial sector reforms and stochastic policy simulation: A flow of funds model for India'. Journal of Policy Modeling, 28 (3). pp. 319 - 333. ISSN: 0161-8938

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Moore, T., Green, CJ. and Murinde, V. (2005) 'Portfolio behaviour in a flow of funds model for the household in India'. The Journal of Development Studies, 41 (4). pp. 675 - 702. ISSN: 0022-0388

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Mallick, S. and Moore, T. (2005) 'Impact of World Bank lending in an adjustment-led growth model'. Economic Systems, 29 (4). pp. 366 - 383. ISSN: 0939-3625

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

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