A©t-Sahalia, Y., & Jacod, J. (2014). High-frequency financial econometrics. Princeton University Press. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=3039447590002418&institutionId=2418&customerId=2415
Ackert, L. F., & Deaves, R. (2010). Behavioral finance: psychology, decision-making, and markets (International ed). South-Western Cengage Learning.
Arnold, G. (2013). Corporate financial management (5th ed). Pearson. https://primo.aber.ac.uk/view/action/uresolver.do?operation=resolveService&package_service_id=4810149420002418&institutionId=2418&customerId=2415
Baker, H. K., & Kiymaz, H. (2013). Market Microstructure in Emerging and Developed Markets: Vol. Robert W. Kolb Series. Wiley. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=2570167380002418&institutionId=2418&customerId=2415
Blake, D. (2000). Financial market analysis (2nd ed). Wiley.
Buckle, M. J., & Thompson, J. L. (2004). The UK financial system: theory and practice (4th ed). Manchester University Press.
Copeland, T. E., Weston, J. F., & Shastri, K. (2014). Financial theory and corporate policy: Vol. Pearson custom library (Fourth edition, Pearson new international edition). Pearson. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=3037299980002418&institutionId=2418&customerId=2415
Duffie, D. (2005). Dynamic Asset Pricing Theory. New Age International Pvt Ltd Publishers.
Durenard, E. A. (2013). Professional automated trading: theory and practice: Vol. Wiley trading series. Wiley. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=3039313050002418&institutionId=2418&customerId=2415
Fabozzi, F. J., Modigliani, F., & Jones, F. J. (2010). Foundations of financial markets and institutions (4th ed). Pearson Education.
Forbes, W. (2009). Behavioural finance. Wiley.
Howells, P. G. A., & Bain, K. (2008). The economics of money, banking and finance: a European text (4th ed). Prentice Hall Financial Times.
Hull, J. (2015). Options, futures, and other derivatives (Ninth edition). Pearson.
Madura, J. (2010). Financial institutions and markets (9th ed. (Int. ed.)). South-Western.
Mishkin, F. S., & Eakins, S. G. (2018). Financial markets and institutions (Ninth edition, Global edition). Pearson.
O’Hara, M. (1995). Market microstructure theory. Blackwell Publishers.
Pilbeam, K. (2010). Finance & financial markets (3rd ed). Palgrave Macmillan. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=3037228910002418&institutionId=2418&customerId=2415
Romeu, R. (2004). Puzzle of Microstructure Market Maker Models. International Monetary Fund. http://eu.alma.exlibrisgroup.com/view/action/uresolver.do?operation=resolveService&package_service_id=2570167430002418&institutionId=2418&customerId=2415
Saunders, A., & Cornett, M. M. (2014). Financial institutions management: a risk management approach (Eighth edition). McGraw-Hill Education.