Items where Subject is "35 COMMERCE, MANAGEMENT, TOURISM AND SERVICES > 3502 Banking, finance and investment > 350208 Investment and risk management"

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Number of items at this level: 7.

K

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.

L

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.

Loo, Wei Kang (2020) Performing technical analysis to predict Japan REITs' movement through ensemble learning. Journal of Property Investment & Finance, 38 (6). pp. 551-562.

Loo, Wei Kang (2020) Predictability of HK-REITs returns using artificial neural network. Journal of Property Investment & Finance, 38 (4). pp. 291-307.

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.

M

Mushaya, Christina Rutendo, Chaiechi, Taha, and Pryce, Josephine (2022) Integrated risk management, a conduit to building resilient and sustainable local government communities: a scoping review. In: Community Empowerment, Sustainable Cities, and Transformative Economies. pp. 515-533. From: BEMAS: 1st International Conference in Business, Economics, Management, and Sustainability, 2-3 July 2021, Cairns, QLD, Australia.

This list was generated on Wed Jun 29 22:59:59 2022 AEST.