Browse by ANZSRC Socio-Economic Objective codes
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- 91 ECONOMIC FRAMEWORK (1312)
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- 9101 Macroeconomics (175)
- 91 ECONOMIC FRAMEWORK (1312)
Article
Huang, He, and Ye, Ye (2021) Rethinking capital structure decision and corporate social responsibility in response to COVID-19. Accounting and Finance, 61 (3). pp. 4757-4788.
Loo, Wei Kang, Ahmad Anuar, Melati, and Ramakrishnan, Suresh (2016) Integration between the Asian REIT markets and macroeconomic variables. Journal of Property Investment & Finance, 34 (1). pp. 68-82.
Loo, Wei Kang, Ahmad Anuar, Melati, and Ramakrishnan, Suresh (2016) Modeling the volatility of Asian REIT markets. Pacific Rim Property Research Journal, 22 (3). pp. 231-243.
Loo, Wei Kang, Ahmad Anuar, Melati, and Ramakrishnan, Suresh (2015) The dynamic linkage among the Asian REITS market. Pacific Rim Property Research Journal, 21 (2). pp. 115-126.
Kumar, K. Senthil, and Desti, Kannaiah (2014) A study on sensitivity analysis of scenarios. International Journal of Business and Administration Research Review, 2 (4). 18. pp. 153-159.
Onwuka, Kevin O., and Chaiechi, Taha (2013) Foreign direct investment, financial markets and growth dynamics in MENA oil producing countries: a panel investigation. Journal of Finance and Investment Analysis, 2 (2). pp. 135-159.
Chaiechi, Taha (2012) Financial development shocks and contemporaneous feedback effect on key macroeconomic indicators: a post Keynesian time series analysis. Economic Modelling, 29 (2). pp. 487-501.
Book Chapter
Chaiechi, Taha (2012) Financial development and economic growth through a Post-Keynesian lens: Hong Kong case study. In: Gnos, Claude, Rochon, Louis-Philippe, and Tropeano, Domenica, (eds.) Employment, growth, and development: a Post-Keynesian approach. New Directions in Modern Economics . Edward Elgar, Chelthenham, UK, pp. 188-209.
Conference Item
Nguyen, Trang, Chaiechi, Taha, Eagle, Lynne, and Low, David (2020) Feedback of macroeconomic indicators to shocks in second-tier stock market development and innovation within Kaleckian framework: Hong Kong case study. In: Advances in Cross-Section Data Methods in Applied Economic Research: 2019 International Conference on Applied Economics. pp. 531-552. From: ICOAE 2019: International Conference on Applied Economics, 4-6 July 2019, Milan, Italy.
Ahmed, Rafiuddin (2015) Capital structure and profitability in the Australian service-sector firms: a panel data analysis. In: Proceedings of World Business, Finance and Management Conference: New Zealand 2015. 330. pp. 1-9. From: World Business, Finance and Management Conference, 14-15 December 2015, Auckland, New Zealand.
Ahmed, Rafiuddin (2015) Determinants of capital structure: some Australian service sector evidence. In: Proceedings of World Business, Finance and Management Conference: New Zealand 2015. 329. pp. 1-12. From: World Business, Finance and Management Conference, 14-15 December 2015, Auckland, New Zealand.
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.
Chaiechi, Taha (2009) Empirical analysis of a post-Keynesian macroeconomic model of financial development. In: Proceedings of the 11th Path to Full Employment / 16th National Unemployment Conference. From: 11th Path to Full Employment / 16th National Unemployment Conference, 3-4 December 2009, Newcastle, NSW, Australia.
Li, Siqiwen, and Juniper, James (2009) Insights into the financial crisis: a Minskyian perspective drawing on interviews with Australian regulators and risk managers. In: Labour Underutilisation, Unemployment and Underemployment: incorporating the 11th Path to Full Employment Conference and 16th Nathional Conference on Unemployment: proceedings - refereed papers. pp. 169-180. From: 11th Path to Full Employment Conference and 16th National Conference on Unemployment, 3-4 December 2009, Newcastle, NSW, Australia.
Li, Siqiwen, and Juniper, James (2008) Adjustments to the Basel-II framework for prudential control as suggested by the current financial crisis. In: Labour Underutilisation, Skills Shortages and Social Inclusion: incorporating the 10th Path to Full Employment Conference and 15th National Conference on Unemployment: proceedings - refereed papers. pp. 93-101. From: 10th Path to Full Employment Conference and the 15th National Unemployment Conference, 4-5 December 2008, Newcastle, NSW, Australia.
Chaiechi, Taha, Juniper, James, and Mitchell, Bill (2006) Dynamic investment and financial development, application of Kaleckian, Post-Keynesian model. In: The Constraints to Full Employment Conference (2006) Papers. pp. 69-82. From: The Constraints to Full Employment Conference, 7-8 December 2006, Newcastle, NSW.
Book
Li, Siqiwen (2014) Emerging Trends in Smart Banking: risk management under Basel II and III. Research Essentials Collection . IGI Global, Hershy, PA, USA.
Chaiechi, Taha (2014) Post-Keynesian Empirical Research and Debate on Financial Market Development. Research Essentials . IGI Global, Hershey, PA, USA.
Thesis
Aftab, Hira (2019) Modelling and forecasting financial asset return and volatility spillovers: theory and applications. PhD thesis, James Cook University.
Li, Siqiwen (2010) Exploring how "smart" the Basel II framework is in the Australian context of banking reform. PhD thesis, The University of Newcastle.