Items where Subject is "15 COMMERCE, MANAGEMENT, TOURISM AND SERVICES > 1502 Banking, Finance and Investment > 150201 Finance"

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Number of items at this level: 23.

A

Adegbite, Emmanuel, Guney, Yilmaz, Kwabi, Frank, and Tahir, Suleiman (2018) Financial and corporate social performance in UK listed firms: the relevance of non-linearity and lag effects. Review of Quantitative Finance and Accounting. (In Press)

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.

Al-Shboul, Mohammad (2008) An investigation into the effects of the use of financial and operational hedges on Australian corporate foreign currency risk exposure. PhD thesis, James Cook University.

Al-Shboul, Mohammad, and Alison, Stewart (2007) Translation exposure and firm value, evidence from Australian multinational corporations. In: Proceedings of the Fifth International Business Research Conference 2007: strands of development. From: Fifth International Business Research Conference 2007: strands of development, 26-27 April 2007, Dubai, United Arab Emirates.

B

Banhalmi-Zakar, Zsuzsa, Ware, Daniel, Edwards, Ian, Becken, Susanne, Cox, Ron, and Kelly, Katrina (2016) Mechanisms to finance climate change adaptation in Australia - the supply and demand for climate change adaptation finance in Australia and potential adaptation finance mechanisms. Report. National Climate Change Adaptation Research Facility, Gold Coast, QLD, Australia.

D

Desti, Kannaiah, Masvood, Yaaseen, and Choudary, Y. Lokesh (2017) Growth of Islamic banking in India: discriminant analysis approach. Banks and Bank Systems, 12 (4). pp. 175-188.

Desti, Kannaiah, and Murty, T. Narayana (2017) Exchange rate intervention and trade openness on the global economy with reference to BRICS countries. Investment Management and Financial Innovations, 14 (3). pp. 339-352.

Dzator, Janet, and Li, Siqiwen (2010) Minsky and economic policy: safeguarding against instability in capitalist economies. In: Presentations from Hyman P. Minsky Summer Seminar and Conference. From: Hyman P. Minsky Summer Seminar and Conference, June 19-29 2010, New York, NY, USA. (Unpublished)

G

Gallo-Cajiao, E., Archibald, C., Friedman, R., Steven, R., Fuller, R.A., Game, E.T., Morrison, T.H., Ritchie, E.G., and UNSPECIFIED (2018) Crowdfunding biodiversity conservation. Conservation Biology, 32 (6). pp. 1462-1435.

Goyal, Mahendra K., and Beg, A.B.M. Rabiul Alam (2002) Forecasting cash flow model. International Journal of Finance, 14 (3). pp. 2363-2373.

J

Jacobsen, Ben, Kofoed, Jenny, Martin, Tony, and Shimeld, Sonia (2007) Innovations in teaching undergraduate finance at Australian universities: three examples. In: Accounting and Finance Association of Australia and New Zealand Annual Conference 2007. From: 2007 AFAANZ Conference, 1-3 July 2007, Gold Coast, QLD, Australia.

K

Kang, Wenjin, Li, Nan, and Zhang, Huiping (2019) Information uncertainty and the pricing of liquidity. Journal of Empirical Finance, 54. pp. 77-96.

Kwabi, Frank O., Boateng, Agyenim, and Adegbite, Emmanuel (2018) International equity portfolio investment and enforcement of insider trading laws: a cross-country analysis. Review of Quantitative Finance and Accounting. (In Press)

Kwabi, Frank O., Boateng, Agyenim, and Adegbite, Emmanuel (2018) The impact of stringent insider trading laws and institutional quality on the cost of capital. International Review of Financial Analysis, 60. pp. 127-137.

Kwabi, Frank O., Thapa, Chandra, Paudyal, Krishna, and Adegbite, Emmanuel (2017) Biases in international portfolio allocation and investor protection standards. International Review of Financial Analysis, 53. pp. 66-79.

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.

L

Liu, Li Xian, and Li, Jun (2019) Corporate governance and listing location of Chinese firms: the bonding theory revisited. Journal of the Asia Pacific Economy. (In Press)

Liu, Li Xian, Jiang, Fuming, and Sathye, Milind (2017) Does bonding really bond? Liability of foreignness and cross-listing of Chinese firms on international stock exchanges. Research in International Business and Finance, 41. pp. 109-124.

Liu, Li Xian, and Sathye, Milind (2016) The impact of foreign ownership and off-shore investing on technical efficiency: evidence from Chinese managed funds industry. The Journal of Wealth Management, 18 (4). pp. 138-151.

Li, Siqiwen (2012) The Australian capital market reaction to natural catastrophes: an empirical analysis using event study method. In: Proceedings of Global Accounting, Finance and Economics Conference. 329. pp. 1-19. From: Global Accounting, Finance and Economics Conference, 20-21 February 2012, Melbourne, VIC, Australia.

R

Reddy Paramati, Sudharshan, and Nguyen Pham Thien, Thanh (2018) Does financial market growth improve income distribution? A comparison of developed and emerging market economies of the global sample. International Journal of Finance & Economics.

W

Ware, Daniel, and Banhalmi-Zakar, Zsuzsa (2017) Funding coastal protection in a changing climate: lessons from three projects in Australia. Report. National Climate Change Adaptation Research Facility, Sydney, NSW, Australia.

This list was generated on Mon Nov 18 22:42:49 2019 AEST.