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Number of items at this level: 105.

Too, Eric G. and Weaver, Patrick (2013) The management of project management: a conceptual framework for project governance. International Journal of Project Management . ISSN 0263-7863 (In Press)

Povey, David and Peach, Neil (2013) Understanding and implementing strategic asset management at the University of Southern Queensland. Facilities, 31 (7/8). pp. 343-356. ISSN 0263-2772

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

Krishnamurti, Chandrasekhar and Tian, Gary Gang and Xu, Min and Li, Guangchuan (2013) No news is not good news: evidence from the intraday return volatility-volume relationship in Shanghai Stock Exchange. Journal of the Asia Pacific Economy, 18 (1). pp. 149-167. ISSN 1354-7860

Hoque, Ariful and Krishnamurti, Chandrasekhar (2013) A proposed solution for the chicken-egg dilemma in pricing currency options. Australasian Accounting Business and Finance Journal , 7 (2). pp. 71-86. ISSN 1834-2000

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

He, Ling Ling and Sappideen, Razeen (2013) Investor-state arbitration under bilateral trade and investment agreements: finding rhythm in inconsistent drumbeats. Journal of World Trade, 47 (1). pp. 215-242. ISSN 1011-6702

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

Byrne, Nick and Cotter, Julie (2012) Sustainable investment: a tool for decision makers. Working Paper. University of Southern Queensland, Australian Centre for Sustainable Business and Development, Brisbane, Australia.

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.

Rashid, Afzalur and De Zoysa, Anura and Lodh, Sudhir and Rudkin, Kathy (2012) Reply to 'Response: board composition and firm performance: evidence from Bangladesh - a sceptical view'. Australasian Accounting Business and Finance Journal, 6 (3). pp. 121-131. ISSN 1834-2000

Hoque, Ariful and Krishnamurti, Chandrasekhar (2012) Modeling moneyness volatility in measuring exchange rate volatility. International Journal of Managerial Finance, 8 (4). pp. 365-380. ISSN 1743-9132

Cotter, Julie and Tarca, Ann and Wee, Marvin (2012) IFRS adoption and analysts' earnings forecasts: Australian evidence. Accounting and Finance, 52 (2). pp. 395-419. ISSN 0810-5391

Shahbaz, Muhammad and Rahman, Mohammad Mafizur (2012) The dynamic of financial development, imports, foreign direct investment and economic growth: cointegration and causality analysis in Pakistan. Global Business Review, 13 (2). pp. 201-219. ISSN 0972-1509

Viney, Christopher and Phillips, Peter (2012) An introduction to risk management and derivatives. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 582-611. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Futures contracts and forward rate agreements. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 612-643. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Interest rate swaps, cross-currency swaps and credit default swaps. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 683-709. ISBN 9780071012416

Viney, Christopher and Phillips, Peter (2012) Options. In: Financial institutions, instruments & markets, 7th ed. McGraw-Hill Australia, Sydney, Australia, pp. 644-682. ISBN 9780071012416

Watanabe, Taiji (2012) A note on CAPM betas under the carbon tax regime. Atlantic Economic Journal, 40 (2). pp. 213-214. ISSN 0197-4254

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.

Mayanja, James (2012) Restricting foreign acquisitions of Australian enterprises: who benefits? Australian Business Law Review, 40. pp. 398-409. ISSN 0310-1053

Slaughter, G. J. and Mulo, S. (2012) Strategies for investment in the Australian macadamia industry: Development and evaluation of an objective investment appraisal software model. AFBM Journal (Agricultural Business Management and Farming Systems), 9 (2). pp. 57-69. ISSN 1449-5937

Gupta, Kartick and Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza (2011) Financial development, corporate governance and cost of equity capital. In: 3rd Annual Asian Conference of the Financial Management Association International (FMA 2011) , 6-8 Apr 2011, Queenstown, New Zealand.

Lento, Camillo and Kozyra, James (2011) A survey of short selling in Canada. In: Handbook of short selling. Elsevier (Academic Press), Waltham, MA. United States, pp. 125-135. ISBN 978-012387724-6

Rahman, Mohammad Mafizur and Shahbaz, Muhammad (2011) Foreign direct investment-economic growth link: the role of domestic financial sector development in Bangladesh. Academy of Taiwan Business Management Review, 7 (2). pp. 104-112. ISSN 1813-0534

Rashid, Afzalur (2011) Largest blockholding and firm performance: evidence from an emerging economy. International Research Journal of Finance and Economics (65). pp. 25-34. ISSN 1450-2887

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

Chadee, Doren and Roxas, Banjo (2011) Does relational capital mediate the effects of export knowledge on firm performance? In: 10th International Research Conference on Quality, Innovation and Knowledge Management: Aligning Innovation in Developed and Emerging Economies (QIK 2011), 15-18 Feb 2011, Kuala Lumpur, Malaysia.

Moores, Ken and Mula, Joseph (2011) Assessing 'strategic conservatism' of Australian family firms: an examination of strategies and funding for growth. In: Understanding family enterprise: a book of readings. Colloquium Series . Bond University Press, Gold Coast, Australia, pp. 295-308. ISBN 9780980618747

Blake, Martin (2011) Beyond regulatory compliance! An opportunity to reduce carbon emissions, generate savings and benefit local communities. In: Cifal Findhorn: Revitalising Local Economies, 8 Feb 2011, Forres, Scotland.

Blake, Martin and Strong, David and Lydiard-Wilson, Jonathan (2011) Financial modelling of carbon reduction investment strategies 'marginal abatement cost MAC curves'. In: How to reduce costs, business risks, energy usage and carbon emission while maximising investment returns, 11 May 2011, London, England.

Hoque, Ariful and Krishnamurti, Chandrasekhar (2011) Modeling moneyness volatility in measuring exchange rate volatility. In: CIFEr 2011: IEEE Symposium on Computational Intelligence for Financial Engineering and Economics , 11-15 Apr 2011, Paris, France.

Koerniadi, Hardjo and Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza (2011) Natural disasters: blessings in disguise? In: 24th Australasian Finance and Banking Conference: Never Stand Still (AFBC 2011) , 14-16 Dec 2011, Sydney, Australia.

Kung, Fan-Hua and James, Kieran and Cheng, Chia-Ling (2011) Overseas listing and accounting conservatism: evidence from Chinese H-share companies. Asian Review of Accounting, 19 (3). pp. 266-278. ISSN 1321-7348

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

Moores, Ken and Mula, Joe (2011) Strategy diversity in Australian family owned businesses: impact of environment induced constraints. In: Understanding family enterprise: a book of readings. Colloquium Series . Bond University Press, Gold Coast, Australia, pp. 309-319. ISBN 9780980618747

Cadman, Timothy (2011) The legitimacy of ESG standards as an analytical framework for responsible investment. In: Responsible investing in times of turmoil. Issues in Business Ethics (31). Springer Science+Business Media, Dordrecht, Heidelberg, London, New York, pp. 35-53. ISBN 978-90-481-9318-9; e-ISBN 978-90-481-9319-6

Paudyal, Ratna and Abraham, Anne (2010) The impact of political instability on economic and social sustainability: the case of Nepal. In: Accounting Pioneers, Mentors and Explorers , 9-10 Dec 2010, Sydney, Australia.

Rashid, Afzalur (2010) CEO duality and firm performance: evidence from a developing country. Corporate Ownership and Control, 8 (1). pp. 163-175. ISSN 1727-9232

Hoque, Ariful (2010) Is implied volatility sensitive to the choice of currency options maturity period? Academy of Taiwan Business Management Review, 6 (3). pp. 102-109. ISSN 1813-0534

Ku, H. S-L. and Mustapha, U. and Goh, S. (2010) Literature review of past and present performance of Nigerian manufacturing sector. In: IMechE 2010: Institution of Mechanical Engineers.

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.

Byrne, Nick and Cotter, Julie (2010) Sustainable investment: a tool for decision makers. In: APC 2010: 22nd Asian-Pacific Conference on International Accounting Issues, 7-9 Nov 2010, Gold Coast, Australia.

Rahman, Mohammad Mafizur (2010) The Australian housing market - understanding the causes and effects of rising prices. Policy Studies, 31 (5). pp. 577-590. ISSN 0144-2872

Too, Eric G. and Betts, Martin and Kumar, Arun (2010) Sustainable infrastructure assets: capability for infrastructure capacity management. In: Rethinking sustainable development: urban management, engineering, and design. IGI Publishing (IGI Global), Hershey, PA. United States, pp. 296-305. ISBN 978-1-61692-022-7

Choi, Daniel and Abeysekera, Vasantha and Ramachandra, Thanuja (2010) Security of final account payments: the case of New Zealand. In: CIB World Congress 2010: Building a Better World, 10-13 May 2010, Salford Quays, United Kingdom.

Koerniadi, Hardjo and Krishnamurti, Chandrasekhar and Tourani-Rad, Alireza (2010) Corporate governance and the variability of stock returns: evidence from New Zealand companies. In: Inaugural Finance and Corporate Governance Conference (FCGC 2010), 7-9 Apr 2010, Melbourne, Australia.

Phillips, Peter J. (2010) Financial crisis of metaphor. Review of Austrian Economics, 23 (3). pp. 223-242. ISSN 0889-3047

Balachandran, Balasingham and Kanapathipillai, Sutharson and Krishnamurti, Chandrasekhar and Theobald, Michael and Velayutham, Eswaran (2010) Issuance of warrants in seasoned equity offerings: evidence from rights offerings. In: FCGC 2010: Inaugural Finance and Corporate Governance Conference, 7-9 Apr 2010, Melbourne, Australia.

Shahbaz, Muhammad and Rahman, Mohammad Mafizur and Ahmad, Khalil (2010) Nominal and real devaluations relationship under flexible exchange rate for Paraguay. African Journal of Business and Economic Research, 5 (2-3). pp. 6-26. ISSN 1750-4554

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.

Seaton, Sheilagh (2010) Measuring return on marketing investment in non-professional sports event organisations. [Thesis (PhD/Research)] (Unpublished)

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.

Duong, Huu Nhan and Kalev, Petko and Krishnamurti, Chandrasekhar (2009) Order aggressiveness of institutional and individual investors. Pacific-Basin Finance Journal, 17 (5). pp. 533-546. ISSN 0927-538X

Rahman, Mohammad Mafizur and Salahuddin, Mohammad (2009) The determinants of economic growth in Pakistan: does stock market development play a major role? In: 38th Australian Conference of Economists (ACE 2009), 28-30 Sep 2009, Adelaide, Australia.

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

James-Overheu, Christina and Cotter, Julie (2009) Corporate governance, sustainability and the assessment of default risk. Asian Journal of Finance and Accounting, 1 (1). pp. 34-53.

Wahab, Effiezal Aswadi Abdul and Zain, Mazlina Mat and James, Kieran and Haron, Hasnah (2009) Institutional investors, political connection and audit quality in Malaysia. Accounting Research Journal, 22 (2). pp. 167-195. ISSN 1030-9616

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

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.

Chancharat, Nongnit and Krishnamurti, Chandrasekhar and Tian, Gary (2009) When the going gets tough: board capital and survival of new economy IPO firms. In: Asian FA 2009: New Knowledge...for Finance, 30 Jun-3 Jul 2009, Brisbane, Australia.

Best, Peter J. and Rikhardsson, Pall and Toleman, Mark (2009) Continuous fraud detection in enterprise systems through audit trial analysis. Journal of Digital Forensics, Security and Law, 4 (1). pp. 39-60. ISSN 1558-7215

Goyen, Michelle (2009) Disaggregating the influences on IPO underpricing in the Australian fixed-price setting. [Thesis (PhD/Research)] (Unpublished)

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

Santacruz, Lujer (2008) Investor risk tolerance and general economic mood. In: 9th International Business Research Conference, 24-26 Nov 2008, Melbourne, Australia.

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

Phillips, Peter J. (2008) Weathering the storm - financial climate change. Brisbane Business News, 4.01.

Johnson Morgan, Melissa and Seaton, Sheilagh and Summers, Jane (2008) Determination of the financial return on marketing investment for sports events in Canada. In: 6th Annual Sport Marketing Association Conference: Bridging the Gap: Bringing the World Down Under 6th Annual Sport Marketing Association Conference (SMA 2008), 16-20 July 2008, Gold Coast, 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) Bankruptcy and reorganization. In: Mergers, acquisitions and corporate restructuring. Sage Publications, New Delhi, India, pp. 333-357. ISBN 978-0-7619-3586-5

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

Krishnamurti, Chandrasekhar and Vishwanath, S. R. (2008) Real options analysis in mergers and acquisitions. In: Mergers, acquisitions and corporate restructuring. Sage Publications, New Delhi, India, pp. 115-145. 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

Santacruz, Lujer (2007) Direct share ownership as a diffusion phenomenon. In: 7th International Business Research Conference, 3-6 Dec 2007, Sydney, Australia.

Shahiduzzaman, Md and Naser, Mahmud Salahuddin (2007) Volatility in the call money rate and efficacy of monetary policy operations in Bangladesh. Working Paper. Bangladesh Bank, Dhaka, Bangladesh.

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.

Mishra, Anil and Daly, Kevin (2007) Effect of quality of institutions on outward foreign direct investment. The Journal of International Trade and Economic Development, 16 (2). pp. 231-244. ISSN 0963-8199

Mayanja, James (2007) Promoting enhanced enforcement of directors' fiduciary obligations: the promise of public law sanctions. Australian Journal of Corporate Law, 20 (2). pp. 157-182. ISSN 1037-4124

Krishnamurti, Chandrasekhar and Narasimhan, M. S. (2007) Dividend taxation, ownership structure and payout policy: evidence from India. Corporate Ownership and Control, 4 (3). pp. 287-302. ISSN 1727-9232

Seelanatha, Senarath (2007) Efficiency, productivity, change and market structure of the banking industry in Sri Lanka. [Thesis (PhD/Research)] (Unpublished)

Yakob, Noor Azuddin and Delpachitra, Sarath (2007) On risk-return relationship: an application of GARCH (p,q)-M model to Asia _ Pacific region. International Journal of Science and Research, 2 (1). pp. 33-39. ISSN 1832-1011

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.

Hemming, Andrew (2007) Roads and Traffic Authority of New South Wales v Dederer: 20/20 hindsight or an accident waiting to happen? A timely opportunity to revisit and reappraise Shirt. James Cook University Law Review (14). pp. 51-79. ISSN 1321-1072

Mishra, Anil V. (2006) International investment patterns: evidence using a new dataset. Research In International Business and Finance, 21 (2). pp. 342-360. ISSN 0275-5319

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

Yi, Ren (2006) Motivation of Chinese investments in Vietnam. Chinese Geographical Science, 16 (1). pp. 41-47. ISSN 1002-0063

Beal, Diana and Goyen, Michelle and Phillips, Peter J. (2005) Why do we invest ethically? The Journal of Investing, 14 (3). pp. 66-77. ISSN 1068-0896

Yakob, Noor Azuddin and Beal, Diana and Delpachitra, Sarath (2005) Risk-return relationship from the Asia Pacific perspective. In: 3rd Financial Markets Asia-Pacific Conference, 26-27 May 2005, Sydney, Australia.

Cotter, Julie and Goyen, Michelle and Hegarty, Sherryl (2005) Offer pricing of Australian industrial initial public offers. Accounting and Finance, 45 (1). pp. 95-125. ISSN 0810-5391

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

McPhail, Janelle and Fogarty, Gerard (2004) Mature Australian consumers' adoption and consumption of self-service banking technologies. Journal of Financial Services Marketing, 8 (4). pp. 302-313. ISSN 1363-0539

Chadee, Doren and Rose, Elizabeth L. (2003) Research on foreign direct investment: introduction to the special issue. Journal of Business Research, 56 (10). pp. 777-778. ISSN 0148-2963

Devenish-Meares, Peter (2003) A strategic analysis of the performance of the telephone banking channel. [Thesis (PhD/Research)] (Unpublished)

Yi, Ren (2003) Motivations for Chinese investment in Vietnam. In: Institutional Challenges for the Global China, 13-14 Nov 2003, Melbourne, Australia.

Hovey, Martin (2002) Is timeshare ownership an investment product? Journal of Financial Services Marketing, 7 (2). pp. 141-160. ISSN 1363-0539

Wright, April and McCarthy, Scott (2002) Does purchasing stock in Australian multinational corporations create international portfolio diversification? Multinational Business Review, 10 (1). pp. 79-83. ISSN 1525-383X

Duns, John and Mason, Rosalind (2001) Consumer insolvency in Australia. International Insolvency Review, 10 (3). pp. 195-228. ISSN 1180-0518

Taylor, Des (2001) Watch your step! National Accountant, 17 (3). pp. 40-43. ISSN 1039-608X

McCarthy, Scott (2000) Managing foreign exchange transaction exposure: the alternatives. National Accountant, 16 (3). pp. 52-55. ISSN 1039-608X

Mason, Rosalind (1998) Inconsistency between cross-border corporate insolvencies. Insolvency Law Journal, 6 (4). pp. 169-170. ISSN 1039-3293

Beal, Diana and Goyen, Michelle (1998) Are ethical investors real? In: The investment research guide to socially responsible investing. Colloquium on Socially Responsible Investing, Center for Investment Research, Plano, Texas.

Beal, Diana and Goyen, Michelle (1998) Putting your money where your mouth is: a profile of ethical investors. Financial Services Review, 7 (2). pp. 129-143. ISSN 1057-0810

Dhillon, Upinder S. and Lasser, Dennis J. and Watanabe, Taiji (1997) Volatility, information, and double auction versus walrasian auction pricing in US and Japanese futures markets. Journal of Banking and Finance , 21 (7). pp. 1045-1061. ISSN 0378-4266

Cotter, Julie (1996) Accrual and cash flow accounting models: a comparison of the value relevance and timeliness of their components. Accounting and Finance, 36 (2). pp. 127-150. ISSN 0810-5391

This list was generated on Tue Sep 2 04:30:32 2014 EST.