|Up a level|
Phillips, Peter J. and Pohl, Gabriela (2014) Prospect theory and terrorist choice. Journal of Applied Economics, 17 (1). pp. 139-160. ISSN 1514-0326
Phillips, Peter J. (2013) How to fight terrorism: the relevance of qualitative economics. Applied Economics Quarterly, 59 (3). pp. 197-207. ISSN 1611-6607
Wong, Zoe Y. K. (2013) Progress in industrial ecology: an international journal [Editorial]. Progress in Industrial Ecology , 8 (1/2). pp. 1-3. ISSN 1476-8917
Santacruz, Lujer (2013) The importance of strategic asset allocation. Journal of Business and Economics, 4 (3). pp. 242-247. ISSN 2155-7950
Gussen, Benjamen F. (2013) On the problem of scale: Hayek, Kohr, Jacobs and the reinvention of the political state. Constitutional Political Economy, 24 (1). pp. 19-42. ISSN 1043-4062
Gussen, Benjamen F. (2013) On the problem of scale: Spinozistic sovereignty as the logical foundation of constitutional economics. The Journal of Philosophical Economics, 7 (1). pp. 1-19. ISSN 1843-2298
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) 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
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).
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
Phillips, Peter J. and Cotter, Julie (2010) The technostructure gap: the educational qualifications of executive and non-executive directors. Corporate Ownership and Control, 7 (4). pp. 102-113. ISSN 1727-9232
Phillips, Peter J. (2010) Financial crisis of metaphor. Review of Austrian Economics, 23 (3). pp. 223-242. ISSN 0889-3047
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
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
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)
Layton, Allan P. and Robinson, Tim and Tucker, Irvin B. (2009) Economics for today. 3rd Asia Pacific edition. Cengage Learning Australia, Melbourne, Australia. ISBN 9780170137089
Layton, Allan P. and Smith, Daniel R. (2007) Business cycle dynamics with duration dependence and leading indicators. Journal of Macroeconomics, 29 (4). pp. 855-875. ISSN 0164-0704
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
Di Venuto, Nicholas and Layton, Allan P. (2005) Do the phases of the business cycle die of old age? Australian Economic Papers, 44 (3). pp. 290-305. ISSN 0004-900X
Layton, Allan P. and Valadkhani, Abbas and Pahlavani, Mosayeb (2005) Multiple structural breaks in Australia's macroeconomic data: an application of the Lumsdaine and Papell Test. International Journal of Applied Econometrics and Quantitative Studies, 2 (3). pp. 19-32. ISSN 1698-4153
Valadkhani, Abbas and Layton, Allan P. (2004) Quantifying the effect of GST on inflation in eight Australian cities: an intervention analysis. Australian Economic Review, 37 (2). pp. 125-138. ISSN 0004-9018
Watanabe, Taiji (2004) An application of auction theories to price-trading volume correlations. Atlantic Economic Journal, 32 (1). p. 67.
Hovey, Martin and Li, Larry and Naughton, Tony (2003) The relationship between valuation and ownership of listed firms in China. Corporate Governance (Oxford): An International Review, 11 (2). pp. 112-122. ISSN 0964-8410
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
Layton, Allan P. and Katsuura, Masaki (2001) Comparison of regime switching, probit and logit models in dating and forecasting US business cycles. International Journal of Forecasting, 17 (3). pp. 403-417. ISSN 0169-2070
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
Colebatch, H. K. and Prasser, Scott and Nethercote, J. R., eds. (1997) Business-government relations: concepts and issues. Nelson, Melbourne, Australia. ISBN 0170092216
Phung Tran, K. and Mula, J. M. (1979) Infoterra sources relating to environmental aspects of global modelling. Project Report. AREA Project, Dept. of Science and the Environment, Canberra, Australia.
Phung Tran, K. and Mula, Joseph M. (1979) A bibliographical survey of books, journals and bibliographies on world modelling and future studies. Project Report. AREA Project, Dept. of Science and the Environment, Canberra, Australia.
Mula, Joseph M. (1979) A survey of world and Australian models. Project Report. AREA Project, Dept. of Science and the Environment, Canberra, Australia.