380107. Financial economics
Title | 380107. Financial economics |
---|---|
Parent | 3801. Applied economics |
Latest research outputs
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A decision model for real estate portfolio valuation and optimisation under consideration of real estate physical characteristics
Simoni, Marvin C.. 2010. A decision model for real estate portfolio valuation and optimisation under consideration of real estate physical characteristics. Doctorate other than PhD Doctor of Business Administation. University of Southern Queensland.Doctorate other than PhD
A measure of core inflation in Bangladesh
Shahiduzzaman, Md. 2006. A measure of core inflation in Bangladesh. Dhaka, Bangladesh. Bangladesh Bank.Working paper
A modern financial system: an overview
Viney, Christopher and Phillips, Peter. 2012. "A modern financial system: an overview." Financial institutions, instruments & markets. Sydney, Australia. McGraw-Hill Australia. pp. 4-43Edited book (chapter)
A study of the diffusion of asset prices: the determinants of asset price diffusion and a practical model of asset price diffusion for use in portfolio management
Phillips, Peter J.. 2009. A study of the diffusion of asset prices: the determinants of asset price diffusion and a practical model of asset price diffusion for use in portfolio management. Unpublished.Working paper
A survey of enterprise reforms in China: the way forward
Hovey, Martin and Naughton, Tony. 2007. "A survey of enterprise reforms in China: the way forward." Economic Systems. 31 (2), pp. 138-156. https://doi.org/10.1016/j.ecosys.2006.09.001Article
Agricultural resilience to extreme weather events: taking stock of and reanalysing dependencies and history in climate risk management
Best, Peter, Mushtaq, Shahbaz and Stone, Roger. 2009. "Agricultural resilience to extreme weather events: taking stock of and reanalysing dependencies and history in climate risk management." 2009 International Workshop on the Content, Communication and Use of Weather and Climate Products and Services to Sustainable Agriculture (WMO 2009). Toowoomba, Australia 18 - 20 May 2009 Geneva, Switzerland .Presentation
An analysis of factors influencing asset writedowns
Cotter, Julie, Stokes, Donald and Wyatt, Anne-Marie. 1998. "An analysis of factors influencing asset writedowns." Accounting and Finance. 38 (2), pp. 157-179. https://doi.org/10.1111/1467-629X.00008Article
An application of auction theories to price-trading volume correlations
Watanabe, Taiji. 2004. "An application of auction theories to price-trading volume correlations ." Atlantic Economic Journal. 32 (1), pp. 67-67. https://doi.org/10.1007/BF02298620Letter
An examination of deficit irrigation in Australian cotton systems using bioeconomic modelling and financial and risk analyses
Shukr, Hanan Hassan. 2021. An examination of deficit irrigation in Australian cotton systems using bioeconomic modelling and financial and risk analyses. PhD Thesis Doctor of Philosophy. University of Southern Queensland. https://doi.org/10.26192/45wn-6a58PhD Thesis
An overview of corporate governance in China
Elston, Frank. 2010. "An overview of corporate governance in China." International Journal of Accounting Information Science and Leadership. 3 (5), pp. 52-64.Article
Analysis of Welfare Effects of South Asia Free Trade Agreement (SAFTA) on Pakistan’s Economy by Using CGE Model
Khoso, Imamuddin, Ram, Nanik, Shah, Asif Ali, Shafiq, Kamran and Shaikh, Faiz M. 2011. "Analysis of Welfare Effects of South Asia Free Trade Agreement (SAFTA) on Pakistan’s Economy by Using CGE Model." Asian Social Science. 7 (1), pp. 92-101. https://doi.org/10.5539/ass.v7n1p92Article
Applying modern portfolio theory to the analysis of terrorism: computing the set of attack method combinations from which the rational terrorist group will choose in order to maximise injuries and fatalities
Phillips, Peter J.. 2009. "Applying modern portfolio theory to the analysis of terrorism: computing the set of attack method combinations from which the rational terrorist group will choose in order to maximise injuries and fatalities." Defence and Peace Economics. 20 (3), pp. 193-213. https://doi.org/10.1080/10242690801923124Article
Are benchmark asset allocations for Australian private investors optimal?
Santacruz, Lujer and Phillips, Peter J.. 2009. "Are benchmark asset allocations for Australian private investors optimal?" The Journal of Wealth Management. 12 (2), pp. 60-70. https://doi.org/10.3905/JWM.2009.12.2.060Article
Are larger self managed superannuation funds riskier?
Phillips, Peter J.. 2009. "Are larger self managed superannuation funds riskier?" Asian Journal of Finance and Accounting. 1 (1), pp. 54-75.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
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.2016.19.3.031Article
Asset allocation: analysis of theory and practice in the Australian investment management industry
Santacruz, Lujer. 2015. Asset allocation: analysis of theory and practice in the Australian investment management industry. PhD Thesis Doctor of Philosophy. University of Southern Queensland.PhD Thesis
Asset allocation: analysis of theory and practice in the Australian investment management industry
Santacruz, Lujer. 2014. "Asset allocation: analysis of theory and practice in the Australian investment management industry." 27th Australasian Finance and Banking Conference (AFBC 2014). Sydney, Australia 16 - 18 Dec 2014 Sydney, Australia.Paper
Australia's equity home bias
Mishra, Anil V.. 2008. "Australia's equity home bias." Australian Economic Papers. 47 (1), pp. 53-73. https://doi.org/10.1111/j.1467-8454.2008.00329.xArticle
Australia's equity home bias and corporate governance
Mishra, Anil V.. 2007. "Australia's equity home bias and corporate governance." Davis, Kevin (ed.) 12th Finsia-Melbourne Centre for Financial Studies Banking and Finance Conference: Developments in Financial Services: Theory Meets Practice. Melbourne, Australia 24 - 25 Sep 2007 Melbourne, Australia.Paper
Australia's equity home bias and real exchange rate volatility
Mishra, Anil V.. 2008. "Australia's equity home bias and real exchange rate volatility." 16th Annual Conference on Pacific Basin Finance, Economics, Accounting and Management (PBFEAM 2008). Brisbane, Australia 02 - 04 Jul 2008 Brisbane, Australia.Paper
Australian investors' home bias in portfolio equity investment
Mishra, Anil V.. 2006. "Australian investors' home bias in portfolio equity investment." MacDonald, Garry (ed.) 35th Australian Conference of Economists (ACE 2006). Perth, Australia 25 - 27 Sep 2006 Curtin University of Technology, Perth, Western Australia.Paper
Board composition, board leadership structure and firm performance: evidence from Bangladesh
Rashid, Afzalur. 2009. "Board composition, board leadership structure and firm performance: evidence from Bangladesh." Segel, Naomi (ed.) 2009 Accounting and Finance Association of Australia and New Zealand Conference (2009 AFAANZ). Adelaide, Australia 05 - 07 Jul 2010 Melbourne, Australia. Accounting & Finance Association of Australia and New Zealand.Paper
Can liquidity shifts explain the lockup expiration effect in stock returns?
Krishnamurti, Chandrasekhar, Subrahmanyam, Avanidhar and Thong, Tiong Yang. 2009. "Can liquidity shifts explain the lockup expiration effect in stock returns?" Miltersen, Kristian R. (ed.) EFA 2009: European Finance Association (Bergen Meeting). Bergen, Norway 19 - 27 Aug 2009 Bergen, Norway.Paper
Can self-managed superannuation fund trustees earn the equity risk premium?
Phillips, Peter J., Baczynski, Michael P. and Teale, John. 2009. "Can self-managed superannuation fund trustees earn the equity risk premium?" Accounting Research Journal. 22 (1), pp. 27-45. https://doi.org/10.1108/10309610910975315Article
CEO promotion, relative performance measures, and institutions in an emerging market: evidence from China’s listed state-owned enterprise
Hu, Fang and Zhang, Yahua. 2016. "CEO promotion, relative performance measures, and institutions in an emerging market: evidence from China’s listed state-owned enterprise." Choi, J. Jay, Powers, Michael R. and Zhang, Tina Xiaotian (ed.) The political economy of Chinese finance. United Kingdom. Emerald. pp. 115-148Edited book (chapter)
Commercial banks
Viney, Christopher and Phillips, Peter. 2012. "Commercial banks." Financial institutions, instruments & markets. Sydney, Australia. McGraw-Hill Australia. pp. 44-92Edited book (chapter)
Corporate finance: the essentials, Asia-Pacific edition
Besley, Scott, Bringham, Eugene F., Henry, Darren and Watanabe, Taiji. 2013. Corporate finance: the essentials, Asia-Pacific edition. Melbourne, Australia. Cengage Learning Australia.Authored book
Corporate risk returns and economic outlook, Australian data
Santacruz, Lujer. 2016. "Corporate risk returns and economic outlook, Australian data." 29th Australasian Finance and Banking Conference (AFBC 2016). Sydney, Australia 14 - 16 Dec 2016 Sydney, Australia.Paper
Dealer group or financial planning group? A case for changing the industry terminology
Santacruz, Lujer. 2010. "Dealer group or financial planning group? A case for changing the industry terminology." Jahan, Nuha (ed.) 13th International Business Research Conference. Melbourne, Australia 22 - 24 Nov 2010 Melbourne, Australia.Paper
Design of consideration in acquisitions: cash and stock offers
Vishwanath, S. R. and Krishnamurti, Chandrasekhar. 2008. "Design of consideration in acquisitions: cash and stock offers." Krishnamurti, Chandrasekhar and Vishwanath, S. R. (ed.) Mergers, acquisitions and corporate restructuring. New Delhi, India. SAGE Publications Ltd. pp. 146-159Edited book (chapter)
Determinants of the Russia and Asia–Pacific energy trade
Taghizadeh-Hesary, Farhad, Rasoulinezhad, Ehsan, Yoshino, Naoyuki, Sarker, Tapan and Mirza, Nawazish. 2021. "Determinants of the Russia and Asia–Pacific energy trade." Energy Strategy Reviews. 38, pp. 1-9. https://doi.org/10.1016/j.esr.2021.100681Article
Disclosure, hidden charges and indexed pensions
Beal, Diana, Delpachitra, Sarath and Grundy, Bruce. 2005. "Disclosure, hidden charges and indexed pensions." Agenda: a journal of policy analysis and reform. 12 (1), pp. 33-46.Article
Dividend policy and stock price volatility: evidence from Bangladesh
Rashid, Afzalur and Rahman, A. Z. M. Anisur. 2008. "Dividend policy and stock price volatility: evidence from Bangladesh." Journal of Applied Business and Economics. 8 (4), pp. 71-81.Article
Dividend reductions and signalling in an imputation environment
Balachandran, Balasingham, Krishnamurti, Chandrasekhar, Theobald, Michael and Vidanapathirana, Berty. 2010. "Dividend reductions and signalling in an imputation environment." Balachandran, Balasingham (ed.) Inaugural Finance and Corporate Governance Conference (FCGC 2010). Melbourne, Australia 07 - 09 Apr 2010 Melbourne, Australia.Paper
Dividend reductions, the timing of dividend payments and information content
Balachandran, Balasingham, Krishnamurti, Chandrasekhar, Theobald, Michael and Vidanapathirana, Berty. 2012. "Dividend reductions, the timing of dividend payments and information content ." Journal of Corporate Finance. 18 (5), pp. 1232-1247. https://doi.org/10.1016/j.jcorpfin.2012.08.002Article
Does foreign bank entry make Chinese banks stronger?
Yin, Yingkai, Zhang, Yahua, Zhang, Xiaotian Tina and Hu, Fang. 2015. "Does foreign bank entry make Chinese banks stronger?" Global Economic Review. 44 (3), pp. 269-285. https://doi.org/10.1080/1226508X.2015.1055779Article
Dynamic connectedness and hedging opportunities of the commodity and stock markets in China: evidence from the TVP-VAR and cDCC-FIAPARCH
Li, Binlin, Haneklaus, Nils and Rahman, Mohammad Mafzur. 2024. "Dynamic connectedness and hedging opportunities of the commodity and stock markets in China: evidence from the TVP-VAR and cDCC-FIAPARCH ." Financial Innovation. 10. https://doi.org/10.1186/s40854-023-00607-xArticle
Dynamics of interest rate pass-through in Bangladesh: an econometric investigation for 2003–2015
Kashem, Mohammad Abul and Rahman, Mohammad Mafizur. 2018. "Dynamics of interest rate pass-through in Bangladesh: an econometric investigation for 2003–2015." Asian Profile. 46 (3), pp. 223-241.Article
Effect of catastrophic disaster in financial market contagion
Siddikee, Md. Noman and Rahman, Mohammad Mafizur. 2017. "Effect of catastrophic disaster in financial market contagion." Cogent Economics and Finance. 5, pp. 1-13. https://doi.org/10.1080/23322039.2017.1288772Article