350208. Investment and risk management


Title350208. Investment and risk management
Parent3502. Banking, finance and investment

Latest research outputs

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Pre-deal differences in corporate social responsibility and acquisition performance
Hussain, Tanveer and Shams, Syed. 2022. "Pre-deal differences in corporate social responsibility and acquisition performance." International Review of Financial Analysis. 81, pp. 1-17. https://doi.org/10.1016/j.irfa.2022.102083

Article

Asset class return connectedness during the last two global shocks GFC and Covid
Santacruz, Lujer. 2021. "Asset class return connectedness during the last two global shocks GFC and Covid." 2021 Financial Planning Academics Forum. Brisbane, Australia 26 Nov 2021

Paper

Informational content of options around analyst recommendations
Wang, Qingxia, Faff, Robert and Zhu, Min. 2021. "Informational content of options around analyst recommendations." International Journal of Managerial Finance. https://doi.org/10.1108/IJMF-04-2021-0168

Article

Investigating Entrepreneurial Performance as a Critical Success Factor for Private Small-to-Medium Enterprise (SME) Healthcare Entrepreneurs and Managers in Tanzania: A Hermeneutic Phenomenological Study
Abson, Simon. 2022. Investigating Entrepreneurial Performance as a Critical Success Factor for Private Small-to-Medium Enterprise (SME) Healthcare Entrepreneurs and Managers in Tanzania: A Hermeneutic Phenomenological Study. Doctorate other than PhD Doctor of Business Administration. University of Southern Queensland. https://doi.org/10.26192/q7q99

Doctorate other than PhD

Corporate Carbon Performance and Access to Finance: Empirical Evidence from Asia-Pacific Countries
Al-Fakir Al Rabab'a, Eltayyeb. 2022. Corporate Carbon Performance and Access to Finance: Empirical Evidence from Asia-Pacific Countries. PhD by Publication Doctor of Philosophy. University of Southern Queensland. https://doi.org/10.26192/q7q7z

PhD by Publication

Drivers of corruption risk and stock market effects: evidence from the defence industry
Pensiero, Domenico, Velayutham, Eswaran and Krishnamurti, Chandrasekhar. 2017. "Drivers of corruption risk and stock market effects: evidence from the defence industry." 8th Conference on Financial Markets and Corporate Governance (FMCG)2017. Wellington, New Zealand 19 - 21 Apr 2017 United States. https://doi.org/10.2139/ssrn.2903053

Paper

The influence of board committee structures on voluntary disclosure of greenhouse gas emissions: Australian evidence
Krishnamurti, Chandrasekhar and Velayutham, Eswaran. 2018. "The influence of board committee structures on voluntary disclosure of greenhouse gas emissions: Australian evidence." Pacific-Basin Finance Journal. 50 (S1), pp. 65-81. https://doi.org/10.1016/j.pacfin.2017.09.003

Article

Optimal hedging position
Watanabe, Taiji. 2000. "Optimal hedging position." 2000 Annual Asia-Pacific Futures Research Symposium. Hong Kong, China Feb 2000

Paper

Hedging behavior and speculative position
Watanabe, Taiji. 2000. "Hedging behavior and speculative position." 2000 Pacific Basin Finance Meeting. Bangkok, Thailand Jun 2000

Paper

The generalized futures market model
Watanabe, Taiji. 2000. "The generalized futures market model." 2000 Allied Social Sciences Assoication meetings (AARES 2000). Boston, Massachusetts, USA Jan 2000

Paper

An empirical analysis of volatility, information, and double auction versus Walrasian Auction Pricing in US and Japanese futures markets
Dhillon, U. S., Lasser, D. J. and Watanabe, T.. 1995. "An empirical analysis of volatility, information, and double auction versus Walrasian Auction Pricing in US and Japanese futures markets." Western Finance Association Meetings (1995). Jackson Hole, United States Jun 1995

Paper

Volatility, information, and double auction versus Walrasian Auction Pricing in US and Japanese futures markets
Dhillion, U., Lasser, D. and Watanabe, T.. 1995. "Volatility, information, and double auction versus Walrasian Auction Pricing in US and Japanese futures markets." Financial Management Association Meetings (1995). Chicago, United States Oct 1995

Paper

Welfare effect of futures market
Watanabe, Taiji. 1996. "Welfare effect of futures market." 1996 Northern Financial Association Meetings. Quebec, Canada Sep 1996

Paper

Hedging and speculation dichotomy
Watanabe, Taiji. 1998. "Hedging and speculation dichotomy." 1998 Eastern Economic Association Meetings. New York, New York, USA Feb 1998

Paper

Modeling of optimal hedging
Watanabe, Taiji. 1998. "Modeling of optimal hedging." 1998 Southern Economic Association Meetings. Baltimore, Maryland, USA Nov 1998

Paper

Back to the futures: a generalized futures market model
Watanabe, Taiji. 1999. "Back to the futures: a generalized futures market model." 1999 Allied Social Sciences Association Conference. New York, New York, United States of America Jan 1999

Paper

A theory of price bias
Watanabe, Taiji. 1999. "A theory of price bias." 1999 INFORMS Meetings. Cincinnati, United States of America May 1999

Paper

Natural disasters: blessings in disguise?
Koerniadi, Hardjo, Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza. 2011. "Natural disasters: blessings in disguise?" Chervonsky, Liza (ed.) 24th Australasian Finance and Banking Conference: Never Stand Still (AFBC 2011) . Sydney, Australia 14 - 16 Dec 2011 Sydney, Australia. https://doi.org/10.2139/ssrn.1913664

Paper

Strategic asset allocation and portfolio performance
Santacruz, Lujer. 2012. "Strategic asset allocation and portfolio performance." 18th International Business Research Conference. Las Vegas, NV. United States 28 - 30 Oct 2012 Australia.

Paper

How to communicate evaluation work in design science research? An exemplar case study
Shrestha, Anup, Cater-Steel, Aileen and Toleman, Mark. 2014. "How to communicate evaluation work in design science research? An exemplar case study." Tan, Felix and Bunker, Deborah (ed.) 25th Australasian Conference on Information Systems (ACIS 2014). Auckland, New Zealand 08 - 10 Dec 2014 Auckland, New Zealand.

Paper

Prudential regulatory risk governance of IT multi-sourcing strategies within the Australian banking sector
Strong, Brian, Cater-Steel, Aileen and Lane, Michael. 2014. "Prudential regulatory risk governance of IT multi-sourcing strategies within the Australian banking sector." Tan, Felix and Bunker, Deborah (ed.) 25th Australasian Conference on Information Systems (ACIS 2014). Auckland, New Zealand 08 - 10 Dec 2014 Auckland, New Zealand.

Paper

The big end of town meets the local council: the investment habitus of four sets of Australian councils during the GFC
Jones, Greg, Beattie, Claire, Bowrey, Graham and Smark, Ciorstan. 2016. "The big end of town meets the local council: the investment habitus of four sets of Australian councils during the GFC ." Australian Journal of Public Administration. 75 (4), pp. 441-456. https://doi.org/10.1111/1467-8500.12212

Article

Murray Darling Basin Regional Economic Diversification Program: a review of equity capital investment in the development of high value horticulture
Cotter, Julie, Rochecouste, John and Mohsin, Mohd. 2016. Murray Darling Basin Regional Economic Diversification Program: a review of equity capital investment in the development of high value horticulture .

Project report

Financial development, corporate governance and cost of equity capital
Gupta, Kartick, Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza. 2011. "Financial development, corporate governance and cost of equity capital." Marshall, Ben, Triantis, Alex and Young, Martin (ed.) 3rd Annual Asian Conference of the Financial Management Association International (FMA 2011) . Queenstown, New Zealand 06 - 08 Apr 2011 Melbourne, Australia.

Paper

Local council financial management: assessing the impact of policy change and proposed amalgamations
Jones, Greg, Bowrey, Graham, Beattie, Claire and Smark, Ciorstan. 2016. "Local council financial management: assessing the impact of policy change and proposed amalgamations." Australasian Journal of Regional Studies. 22 (3), pp. 355-374.

Article

Asset allocation theory and practice in Australian investment management: reasons for the dichotomy
Santacruz, Lujer. 2016. "Asset allocation theory and practice in Australian investment management: reasons for the dichotomy." The Journal of Wealth Management. 19 (3), pp. 31-48. https://doi.org/10.3905/jwm.2016.19.3.031

Article

Asset allocation theory and practice in Australian investment management
Santacruz, Lujer. 2016. "Asset allocation theory and practice in Australian investment management." The Journal of Wealth Management. 19 (2), pp. 47-67.

Article

No news is not good news: evidence from the intraday return volatility-volume relationship in Shanghai Stock Exchange
Krishnamurti, Chandrasekhar, Tian, Gary, Guo, Mingyuan and Ellis, Craig. 2008. "No news is not good news: evidence from the intraday return volatility-volume relationship in Shanghai Stock Exchange." Time Varying Correlation and Volatility Symposium (2008). Sydney, Australia 28 Nov 2008 Sydney, Australia.

Presentation

Determinants of gross investment in Bangladesh: a time series evidence
Wahid, Abu N. M., Islam, Md. Rabiul and Salahuddin, Mohammad. 2013. "Determinants of gross investment in Bangladesh: a time series evidence." eCanadian Journal of Accounting and Finance. 1 (2), pp. 20-27.

Article

Corporate governance and the variability of stock returns
Koerniadi, Hardjo, Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza. 2014. "Corporate governance and the variability of stock returns." International Journal of Managerial Finance. 10 (4), pp. 494-510. https://doi.org/10.1108/IJMF-08-2012-0090

Article

Prudential risk management of IT sourcing strategies: a case study of an Australian bank
Strong, Brian, Cater-Steel, Aileen and Lane, Michael. 2014. "Prudential risk management of IT sourcing strategies: a case study of an Australian bank." 20th Americas Conference on Information Systems (AMCIS 2014): Smart Sustainability: The Information Systems Opportunity. Savannah, United States 07 - 09 Aug 2014 Atlanta, GA. United States.

Poster

Factors affecting investment in developing countries: a panel data study
Salahuddin, Mohammad and Islam, Md. Rabiul. 2008. "Factors affecting investment in developing countries: a panel data study." Journal of Developing Areas. 42 (1), pp. 21-37.

Article

Saving investment correlation in South Asia - a panel approach
Wahid, Abu N. M., Salahuddin, Mohammad and Noman, Abdullah M.. 2008. "Saving investment correlation in South Asia - a panel approach ." The European Journal of Economics, Finance and Administrative Sciences.

Article

Investment performance of Jakarta Islamic Index (JII) stocks.
Listyaningsih, Erna. 2015. Investment performance of Jakarta Islamic Index (JII) stocks. PhD Thesis Doctor of Philosophy. University of Southern Queensland.

PhD Thesis

Why do Australian firms issue standalone warrants?
Balachandran, Balasingham, Kanapathipillai, Sutharson, Krishnamurti, Chandrasekhar, Theobald, Michael and Velayutham, Eswaran. 2009. "Why do Australian firms issue standalone warrants?" Balachandran, Balasingham (ed.) Inaugural Finance and Corporate Governance Conference (FCGC 2010). Melbourne, Australia 07 - 09 Apr 2010 Melbourne, Australia.

Paper

A conceptual framework on establishing a risk management framework within existing university assessment and evaluation practices
Padro, Fernando F.. 2014. "A conceptual framework on establishing a risk management framework within existing university assessment and evaluation practices." Studies in Learning Evaluation Innovation and Development. 10 (1), pp. 1-13.

Article

Corporate climate change disclosure practices and regulation: the influence of institutional investors
Cotter, Julie and Najah, Muftah. 2013. "Corporate climate change disclosure practices and regulation: the influence of institutional investors." Young, Suzanne and Gates, Stephen (ed.) Institutional investors’ power to change corporate behaviour: international perspectives. Bingley, United Kingdom. Emerald. pp. 81-97

Edited book (chapter)

Investor-state arbitration under bilateral trade and investment agreements: finding rhythm in inconsistent drumbeats
He, Ling Ling and Sappideen, Razeen. 2013. "Investor-state arbitration under bilateral trade and investment agreements: finding rhythm in inconsistent drumbeats." Journal of World Trade. 47 (1), pp. 215-242.

Article

No news is not good news: evidence from the intraday return volatility-volume relationship in Shanghai Stock Exchange
Krishnamurti, Chandrasekhar, Tian, Gary Gang, Xu, Min and Li, Guangchuan. 2013. "No news is not good news: evidence from the intraday return volatility-volume relationship in Shanghai Stock Exchange." Journal of the Asia Pacific Economy. 18 (1), pp. 149-167. https://doi.org/10.1080/13547860.2012.742709

Article

A proposed solution for the chicken-egg dilemma in pricing currency options
Hoque, Ariful and Krishnamurti, Chandrasekhar. 2013. "A proposed solution for the chicken-egg dilemma in pricing currency options." Australasian Accounting Business and Finance Journal. 7 (2), pp. 71-86. https://doi.org/10.14453/aabfj.v7i2.6

Article