Browse by Fields of Research (ANZSRC 2008)

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Number of items at this level: 63.

Petruzzi, Christopher R. and Elston, Frank A. (2014) Moore's law and the regulation of securities markets. International Research Journal of Applied Finance, 5 (2). pp. 161-168. ISSN 2229-6891

Zarook, Tarek and Rahman, Mohammad Mafizur and Khanam, Rasheda (2013) The impact of demographic factors on accessing finance in Libya's SMEs. International Journal of Business and Management, 8 (14). pp. 55-65. ISSN 1833-3850

Sain, Mohamed Rosli Mohamed and Rahman, Mohammad Mafizur and Khanam, Rasheda (2013) The role of Islamic finance in improving financial inclusion: an exploratory case study of Australian Muslims. In: 20th International Business Research Conference 2013: Research for Progress, 4-5 Apr 2013, Dubai, UAE.

Santacruz, Lujer (2013) The importance of strategic asset allocation. Journal of Business and Economics, 4 (3). pp. 242-247. ISSN 2155-7950

Besley, Scott and Bringham, Eugene F. and Henry, Darren and Watanabe, Taiji (2013) Corporate finance: the essentials, Asia-Pacific edition. Cengage Learning Australia, Melbourne, Australia. ISBN 9780170210362

Balachandran, Balasingham and Krishnamurti, Chandrasekhar and Theobald, Michael and Vidanapathirana, Berty (2012) Dividend reductions, the timing of dividend payments and information content. Journal of Corporate Finance, 18 (5). pp. 1232-1247. ISSN 0929-1199

Santacruz, Lujer (2012) Strategic asset allocation and portfolio performance. In: 18th International Business Research Conference: Research for Change, 28-30 Oct 2012, Las Vegas, NV. United States.

Viney, Christopher and Phillips, Peter (2012) A modern financial system: an overview. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 4-43. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Commercial banks. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 44-92. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Government debt, monetary policy and the payments system. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 394-425. ISBN 9780071012416

Burton, D. and Best, P. and Fairweather, H. and Mushtaq, S. (2012) Insurance innovations and incentives for adaptation using weather reanalysis tools for contract pricing. In: Climate Adaptation in Action 2012: Sharing Knowledge to Adapt (NCCARF 2012), 26-28 Jun 2012, Melbourne, Australia.

Adeyinka, A. and Krishnamurti, C. and Maraseni, T. N. and Chantarat, S. (2012) Rainfall index insurance as an approach to manage climate change induced drought. In: Climate Adaptation in Action 2012: Sharing Knowledge to Adapt (NCCARF 2012), 26-28 Jun 2012, Melbourne, Australia.

Phillips, Peter J. (2011) Sin stocks in self managed superannuation funds. Australasian Accounting Business and Finance Journal, 5 (2). pp. 39-51. ISSN 1834-2000

Phillips, Peter J. (2011) Will self-managed superannuation fund investors survive? Australian Economic Review, 44 (1). pp. 51-63. ISSN 0004-9018

Santacruz, Lujer (2011) Strategic asset allocation and portfolio performance. Journal of Management Research, 1 (2).

Santacruz, Lujer (2010) Dealer group or financial planning group? A case for changing the industry terminology. In: 13th International Business Research Conference: Research for Change, 22-24 Nov 2010, Melbourne, Australia.

Simoni, Marvin C. (2010) A decision model for real estate portfolio valuation and optimisation under consideration of real estate physical characteristics. [Thesis (PhD/Research)] (Unpublished)

Jayamaha, Ariyarathna and Mula, Joseph M. (2010) Financial practices and efficiency of cooperative rural banks in Sri Lanka. In: 1st International Conference on Business and Information: Researching Realities of Management Phenomenon (ICBI 2010), 6 June 2010, Colombo, Sri Lanka.

Elston, Frank (2010) An overview of corporate governance in China. International Journal of Accounting Information Science and Leadership, 3 (5). pp. 52-64. ISSN 1940-9524

Balachandran, Balasingham and Krishnamurti, Chandrasekhar and Theobald, Michael and Vidanapathirana, Berty (2010) Dividend reductions and signalling in an imputation environment. In: FCGC 2010: Inaugural Finance and Corporate Governance Conference, 7-9 Apr 2010, Melbourne, Australia.

Hoque, Ariful and Manzur, Meher and Poitras, Geoffrey (2010) Put-call parity, transactions costs and PHLX currency options: intra-daily tests. In: MFA 2010: 59th Midwest Finance Association Annual Conference, 24-27 Feb 2010, Las Vegas, USA.

Santacruz, Lujer and Phillips, Peter J. (2009) Are benchmark asset allocations for Australian private investors optimal? The Journal of Wealth Management, 12 (2). pp. 60-70. ISSN 1534-7524

Phillips, Peter J. (2009) Are larger self managed superannuation funds riskier? Asian Journal of Finance and Accounting, 1 (1). pp. 54-75. ISSN 1946-052X

Phillips, Peter J. and Baczynski, Michael P. and Teale, John (2009) Can self-managed superannuation fund trustees earn the equity risk premium? Accounting Research Journal, 22 (1). pp. 27-45. ISSN 1030-9616

Rashid, Afzalur (2009) Board composition, board leadership structure and firm performance: evidence from Bangladesh. In: 2009 Accounting & Finance Association of Australia and New Zealand Conference (AFAANZ 2009), 5-7 July 2010, Adelaide, Australia.

Phillips, Peter J. (2009) Applying modern portfolio theory to the analysis of terrorism: computing the set of attack method combinations from which the rational terrorist group will choose in order to maximise injuries and fatalities. Defence and Peace Economics, 20 (3). pp. 193-213. ISSN 1024-2694

Phillips, Peter J. and Baczynski, Michael P. and Teale, John (2009) Self managed superannuation funds and the bear market of 2007-2008. Australasian Accounting Business and Finance Journal, 3 (1). pp. 38-56. ISSN 1834-2000

Santacruz, Lujer and Lukashenok, Aleksej (2009) Personal financial planning in Australia: an industry analysis. In: AsianFA 2009: Asian Finance Association International Conference, 30 Jun-3 Jul 2009, Brisbane, Australia.

Santacruz, Lujer (2009) Effect of general economic mood on investor risk tolerance - implications for financial planning. JASSA: The Finsia Journal of Applied Finance, 2009 (1). pp. 35-42. ISSN 0313-5934

Phillips, Peter J. (2009) A study of the diffusion of asset prices: the determinants of asset price diffusion and a practical model of asset price diffusion for use in portfolio management. Working Paper. Unpublished. (Unpublished)

Best, Peter and Mushtaq, Shahbaz and Stone, Roger (2009) Agricultural resilience to extreme weather events: taking stock of and reanalysing dependencies and history in climate risk management. In: 2009 International Workshop on the Content, Communication and Use of Weather and Climate Products and Services to Sustainable Agriculture (WMO 2009), 18-20 May 2009, Toowoomba, Australia. (Unpublished)

Krishnamurti, Chandrasekhar and Subrahmanyam, Avanidhar and Thong, Tiong Yang (2009) Can liquidity shifts explain the lockup expiration effect in stock returns? In: EFA 2009: European Finance Association (Bergen Meeting), 19-27 Aug 2009, Bergen, Norway.

Rashid, Afzalur and Rahman, A. Z. M. Anisur (2008) Dividend policy and stock price volatility: evidence from Bangladesh. Journal of Applied Business and Economics, 8 (4). pp. 71-81. ISSN 1499-691X

Mujeri, Mustafa K. and Shahiduzzaman, Md. (2008) Navigating the global financial storm: challenges for Bangladesh. Technical Report. Bangladesh Bank, Dhaka, Bangladesh.

Mishra, Anil V. (2008) Australia's equity home bias and real exchange rate volatility. In: 16th Annual Conference on Pacific Basin Finance, Economics, Accounting and Management (PBFEAM 2008), 2-4 July 2008, Brisbane, Australia.

Mishra, Anil V. (2008) Australia's equity home bias. Australian Economic Papers, 47 (1). pp. 53-73. ISSN 0004-900X

Vishwanath, S. R. and Krishnamurti, Chandrasekhar (2008) Design of consideration in acquisitions: cash and stock offers. In: Mergers, acquisitions and corporate restructuring. Sage Publications, New Delhi, India, pp. 146-159. ISBN 978-0-7619-3586-5

Vishwanath, S. R. and Krishnamurti, Chandrasekhar (2008) Value drivers and target valuation. In: Mergers, acquisitions and corporate restructuring. Sage Publications, New Delhi, India, pp. 56-90. ISBN 978-0-7619-3586-5

Phillips, Peter J. and Cathcart, Alex and Teale, John (2007) The diversification and performance of self managed superannuation funds. Australian Economic Review, 40 (4). pp. 339-352. ISSN 0004-9018

Mishra, Anil V. (2007) Australia's equity home bias and corporate governance. In: 12th Finsia-Melbourne Centre for Financial Studies Banking and Finance Conference: Developments in Financial Services: Theory Meets Practice, 24-25 Sept 2007, Melbourne, Australia.

Balachand, Bala and Krishnamurti, Chandrasekhar and Vidanapathirana, Berty (2007) The impact of dividend reduction on shareholders wealth: evidence from Australia. In: 20th Australasian Finance and Banking Conference (AFBC 2007) , 12-14 Dec 2007, Sydney, Australia.

Hovey, Martin and Naughton, Tony (2007) A survey of enterprise reforms in China: the way forward. Economic Systems, 31 (2). pp. 138-156. ISSN 0939-3625

Mishra, Anil V. (2007) International investors' home bias in portfolio equity investment. In: 14th Global Finance Conference, 1-4 April 2007, Melbourne.

Hovey, Martin (2007) Ownership structures and the leverage of listed firms in China. In: 14th Annual Global Finance Conference (GFC2007), 2-5 April 2007, Melbourne, Australia.

Santacruz, Lujer and Phillips, Peter J. (2007) Optimality of financial planning clients' strategic asset allocation. In: 20th Australasian Finance and Banking Conference (AFBC 2007) , 12-14 Dec 2007, Sydney, Australia.

Mishra, Anil and Daly, Kevin (2006) Multi-country empirical investigation into international financial integration. In: 3rd Financial Markets Asia-Pacific Conference, 26-27 May 2005, Sydney, Australia.

Daly, Kevin and Mishra, Anil V. (2006) International comparisons of Australia's investment and trading position. Journal of Investment Strategy, 1 (3). pp. 45-50. ISSN 1833-1041

Mishra, Anil V. (2006) Australian investors' home bias in portfolio equity investment. In: 35th Australian Conference of Economists (ACE 2006), 25-27 Sept 2006, Perth, Australia.

Shahiduzzaman, Md (2006) A measure of core inflation in Bangladesh. Working Paper. Bangladesh Bank, Dhaka, Bangladesh.

Cheng, Eugene C. M. and Courtenay, Stephen M. and Krishnamurti, Chandrasekhar (2006) The impact of increased voluntary disclosure on market information asymmetry, informed trading and uninformed trading. Journal of Contemporary Accounting and Economics, 2 (1). pp. 33-72. ISSN 1815-5669

Mishra, Anil and Daly, Kevin (2006) Where do Australians invest? Australian Economic Review, 39 (1). pp. 47-59. ISSN 1467-8462

Roome, William (2005) South African equities as inflation hedges: a note. In: 10th AIBF Banking and Finance Conference, 29-30 Sept 2005, Melbourne, Australia.

Mishra, Anil V. (2005) International investment patterns: evidence using a new dataset. In: The 3rd Financial Markets Asia Pacific Conference, 26-27 May 2005, Sydney.

Beal, Diana and Delpachitra, Sarath and Grundy, Bruce (2005) Disclosure, hidden charges and indexed pensions. Agenda: a journal of policy analysis and reform , 12 (1). pp. 33-46. ISSN 1322-1833

Krishnamurti, Chandrasekhar and Sevic, Aleksandar and Sevic, Zeljko (2005) Market microstructure study on seven US stock exchanges: panel vs. VAR methodology. Managerial Finance, 31 (12). pp. 79-108. ISSN 0307-4358

Mishra, Anil V. and Daly, Kevin (2004) Where do Australians invest? In: 4th International Business Research Conference, 15-16 Nov 2004, Melbourne, Australia.

Watanabe, Taiji (2004) An application of auction theories to price-trading volume correlations. Atlantic Economic Journal, 32 (1). p. 67.

Boolaky, Pran Krishansing (2004) Lifting the veil of GDP and re-defining the concept of development in the context of accounting. IUP Journal of Applied Economics, 3 (6). pp. 60-75.

Delpachitra, Sarath and Beal, Diana (2002) Factors influencing planning for retirement. Economic Papers: a Journal of Applied Economics and Policy, 21 (3). pp. 1-13. ISSN 0812-0439

Layton, Allan P. and Katsuura, Masaki (2001) Examining similarities among phases of business cycles: is the 1990's US expansion similar to the 1960's? Journal of the Japan Statistical Society, 31 (2). pp. 129-152. ISSN 1882-2754

Cotter, Julie and Stokes, Donald and Wyatt, Anne-Marie (1998) An analysis of factors influencing asset writedowns. Accounting and Finance, 38 (2). pp. 157-179. ISSN 0810-5391

Khanam, Rasheda and Rahman, Mohammad Mafizur (1995) The causative factors of inflation in Bangladesh - an econometric study. Chittagong University Studies, Social Science, XVI (1). pp. 100-116.

This list was generated on Sun Dec 21 03:36:44 2014 EST.