Browse by ANZSRC Socio-Economic Objective codes
Up a level |
- SEO Codes (55112)
- 90 COMMERCIAL SERVICES AND TOURISM (1357)
- 9001 Financial Services (108)
- 900102 Investment Services (excl. Superannuation) (14)
- 9001 Financial Services (108)
- 90 COMMERCIAL SERVICES AND TOURISM (1357)
Article
Bai, Min, Qin, Yafeng, and Zhang, Huiping (2021) Stock price crashes in emerging markets. International Review of Economics & Finance, 72. pp. 466-482.
Lam, Swee-Sum, Zhang, Huiping, and Zhang, Weina (2020) Does policy instability matter for international equity markets? International Review of Finance, 20 (1). pp. 155-196.
Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2019) The illiquidity premium: further evidence from global and Asia-Pacific markets. NTU Management Review, 29 (1).
Desti, Kannaiah, and Kumar, P. Ashok (2015) Complications faced by women executives in new generation private sector banks in Puducherry State - India. Research Journal of Finance and Accounting, 6 (16). pp. 155-160.
Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2015) The illiquidity premium: international evidence. Journal of Financial Economics, 117 (2). pp. 350-368.
Amihud, Yakov, Hameed, Allaudeen, Kang, Wenjin, and Zhang, Huiping (2015) Stock liquidity and the cost of equity capital in global markets. Journal of Applied Corporate Finance, 27 (4). pp. 68-74.
Kang, Wenjin, and Zhang, Huiping (2014) Measuring liquidity in emerging markets. Pacific-Basin Finance Journal, 27. pp. 49-71.
Kang, Wenjin, and Zhang, Huiping (2013) Limit order book and commonality in liquidity. Financial Review, 48 (1). pp. 97-122.
Liu, Li Xian, and Bogomolov, Timofei (2012) The law of one price and arbitrage on China's dual-listings. International Journal of Banking and Finance, 9 (2). pp. 58-76.
Book Chapter
Li, Siqiwen (2010) Financial fragility and securitisation: the discussions with Australian regulators and bank risk managers. In: Kim, Suk-Joong, and McKenzie, Michael D., (eds.) International Banking in the New Era: Post-Crisis Challenges and Opportunities. International Finance Review, 11 . Emerald, Bingley, UK, pp. 255-269.
Report
Banhalmi-Zakar, Zsuzsa, and Rissik, David (2017) From risk to return: investing in climate change adaptation. Report. Investor Group on Climate Change, Sydney, NSW, Australia.
Conference Item
Banhalmi-Zakar, Zsuzsa (2017) Opportunities and challenges for financing climate change adaptation. In: Proceedings of the 2017 National Sustainability in Business Conference. From: National Sustainability in Business Conference, 22-25 March 2017, Brisbane, QLD, Australia.
Uylangco, Katherine, and Li, Siqiwen (2013) An evaluation of the effectiveness of Value at Risk (VaR) models for Australian banks under Basel III. In: Papers from the World Finance and Banking Symposium . From: World Finance and Banking Symposium, 16-17 December 2013, Beijing, China.
Book
Li, Siqiwen (2014) Emerging Trends in Smart Banking: risk management under Basel II and III. Research Essentials Collection . IGI Global, Hershy, PA, USA.