Items where Subject is "35 COMMERCE, MANAGEMENT, TOURISM AND SERVICES > 3502 Banking, finance and investment > 350202 Finance"

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Article

Liu, Li Xian, Sun, Zhiyue, Xu, Kunpeng, and Chen, Chao (2024) AI-Driven Financial Analysis: Exploring ChatGPT’s Capabilities and Challenges. International Journal of Financial Studies, 12 (3). 60.

Liu, Li Xian, and Sun, Zhiyue (2024) Resilience of Organisation Capital on Firm's Performance Amid Crisis. Applied Finance Letters, 13. pp. 110-127.

Wellalage, Nirosha, Reddy, Krishna, and Wallace, Damien (2023) Environmental performance and the role of government support: Evidence from the recent COVID-19 pandemic. Finance Research Letters, 58 (Part A). 104318.

Prasad, Biman, Abraham, Joel, and Narayan, Paresh Kumar (2023) How effective are price regulator's price control measures? Buletin Ekonomi Moneter dan Perbankan, 26 (4). pp. 563-570.

Chen, Xihui Haviour, Tee, Kienpin, and Chang, Victor (2022) Accelerating Innovation Efficiency through Agile Leadership: The CEO Network Effects in China. Technological Forecasting & Social Change, 179. 121602.

Agyekum, Francis K., Reddy, Krishna, Wallace, Damien, and Wellalage, Nirosha H. (2022) Does technological inclusion promote financial inclusion among SMEs? Evidence from South-East Asian (SEA) countries. Global Finance Journal, 53. 100618.

Trinh, Nga Thu, Nguyen, Thanh Pham Thien, and Nghiem, Son Hong (2022) Economic policy uncertainty and other determinants of corporate cash holdings of Australian energy companies. International Journal of Energy Sector Management, 16 (6). pp. 1192-1213.

Shen, Yun, Wallace, Damien, Reddy, Krishna, and Ramiah, Vikash (2022) An investigation of CEO characteristics on firm performance. Accounting and Finance, 62 (3). pp. 3563-3607.

Gerth, Florian, Lopez, Katia, Reddy, Krishna, Ramiah, Vikash, Wallace, Damien, Muschert, Glenn, Frino, Alex, and Jooste, Leonie (2021) The Behavioural Aspects of Financial Literacy. Journal Of Risk And Financial Management, 14 (9). 395.

Danso, Albert, Fosu, Samuel, Owusu-Agyei, Samuel, Ntim, Collins G., and Adegbite, Emmanuel (2021) Capital structure revisited. Do crisis and competition matter in a Keiretsu corporate structure? International Journal of Finance & Economics, 26 (4). pp. 5073-5092.

Liu, Li Xian, and Li, Jun (2020) Corporate governance and listing location of Chinese firms: the bonding theory revisited. Journal of the Asia Pacific Economy, 25 (1). pp. 40-61.

Fosu, Samuel, Danso, Albert, Agyei-Boapeah, Henry, Ntim, Collins G., and Adegbite, Emmanuel (2020) Credit information sharing and loan default in developing countries: the moderating effect of banking market concentration and national governance quality. Review of Quantitative Finance and Accounting, 55. pp. 55-103.

Dao, Nhung Hong, Marisetty, Vijaya Bhaskar, Shi, Jing, and Tan, Monica (2020) Institutional Quality, Investment Efficiency, and the Choice of Public–Private Partnerships. Accounting and Finance, 60 (2). pp. 1801-1834.

Asbi, Ammar, Ramiah, Vikash, Yu, Xi, Wallace, Damien, Moosa, Nisreen, and Reddy, Krishna (2020) The determinants of recovery from the Black Saturday bushfire: demographic factors, behavioural characteristics and financial literacy. Accounting and Finance, 60 (1). pp. 15-46.

Adegbite, Emmanuel, Guney, Yilmaz, Kwabi, Frank, and Tahir, Suleiman (2019) Financial and corporate social performance in UK listed firms: the relevance of non-linearity and lag effects. Review of Quantitative Finance and Accounting, 52 (1). pp. 105-158.

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 (2019) International equity portfolio investment and enforcement of insider trading laws: a cross-country analysis. Review of Quantitative Finance and Accounting, 53 (2). pp. 327-349.

Chuah, Swee-Hoon, Hoffmann, Robert, Liu, Bin, and Tan, Monica (2019) Is Knowledge Cursed When Forecasting the Forecasts of Others? Journal of Behavioral Finance, 20 (1). pp. 66-72.

Liu, Bin, Tan, Monica, and Cam, Marie-Anne (2019) Reinvestigate the bid-ask bounce effect and pricing of idiosyncratic volatility: The case of the Australian Market. Review of Pacific Basin Financial Markets and Policies, 22 (1). 1950004.

Iren, Perihan, and Tee, Kienpin (2018) Boardroom Diversity and Innovation in the UAE Banks. International Journal of Innovation Management, 22 (3). 1850029.

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.

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.

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.

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.

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.

Garas, Samy, Tessema, Abiot, and Tee, Kienpin (2017) The impact of Islamic Financial Services Board Standard No. 3 on corporate governance of listed firms in Kuwait. International Journal of Disclosure and Governance, 14. pp. 251-263.

Tan, Monica, and Liu, Bin (2016) CEO's managerial power, board committee memberships and idiosyncratic volatility. International Review of Financial Analysis, 48. pp. 21-30.

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.

Tan, Monica G.S., and Cam, Marie-Anne (2015) Does governance structure influence pension fund fees and costs? An examination of Australian not-for-profit superannuation funds. Australian Journal of Management, 40 (1). pp. 114-134.

Guo-Sze Tan, Monica, and Marie-Anne, Cam (2013) Explaining Pension Fund Product and Governance Disclosure in Australia. Australasian Accounting Business and Finance Journal, 7 (3). pp. 49-68.

Ang, James, Ding, David K., and Thong, Tiong Yang (2013) Political connection and firm value. Asian Development Review, 30 (2). pp. 131-166.

Nguyen, Thu Thuy Chi, Tan, Monica, and Cam, Marie-Anne (2012) Fund Governance, Fees and Performance in Australian Corporate Superannuation Funds: A Non-Parametric Analysis. Journal of Law & Financial Management, 11 (2). pp. 2-23.

Tan, Monica Guo Sze, and Cam, Marie-Anne (2011) Voluntary Disclosure, Trustee Governance and Background in Australian Superannuation Funds. JASSA: The Journal of the Securities Institute of Australia, 2. pp. 28-35.

Hu, Helen Wei, Tam, On Kit, and Guo-Sze Tan, Monica (2010) Internal governance mechanisms and firm performance in China. Asia Pacific Journal of Management, 27. pp. 727-749.

Krishnamurti, Chandrasekhar, and Thong, Tiong Yang (2008) Lockup expiration, insider selling and bid-ask spreads. International Review of Economics & Finance, 17 (2). pp. 230-244.

Book Chapter

Hu, Helen Wei, and Tan, Monica Guo-Sze (2012) Corporate Governance and Initial Public Offerings in Australia. In: Zattoni, A., and Judge, W., (eds.) Corporate Governance and Initial Public Offerings – An International Perspective. Cambridge University Press, Cambridge, UK, pp. 37-63.

Report

Cam, Marie-Anne, Awan, Obaid, and Jurin, Monica (2018) Superannuation Fund Disclosure: Past, Present and Future. Report. Monash University, Melbourne, VIC, Australia.

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