Faculty of Economics and Commerce Department of Finance

2006 Research Publications

Journal Articles Refereed

  1. Brown C & Davis K. 2006. Credit Markets and the Sons of Gwalia Judgement. Agenda - A Journal of Policy Analysis and Reform. 13 (3): 239-252.
  2. Brown C & Efthim KF. 2006. Effect of Taxation on Equal Access Share Buybacks in Australia. International Review of Finance. 5 (3-4): 199-218.
  3. Brown R. 2006. Mismanagement or mismeasurement? Pitfalls and protocols for DEA studies in the financial services sector. European Journal of Operational Research. 174 (2): 1100-1116.
  4. Chang X, Dasgupta SD & Hilary GH. 2006. Analyst Coverage and Financing Decisions. Journal of Finance. LXI (6): 3009-3048.
  5. Chan HWHC, Brown R & Ho YKH. 2006. Initiation of brokers' recommendations, market predictors and stock returns. Journal of Multinational Financial Management. 16 (3): 213-231.
  6. Coleman L. 2006. Frequency of Man-Made Disasters in the 20th Century. Journal of Contingencies and Crisis Management. 14 (1): 3-11.
  7. Davis K. 2006. Access Regime Design and Required Rates of Return: Pitfalls in Adjusting for Inflation and Tax Effects. Journal of Regulatory Economics. 29 (1): 103-122.
  8. Gharghori PG, Chan H & Faff RF. 2006. Factors or Characteristics? That is the Question. Pacific Accounting Review. 18 (1): 21-46.
  9. Hall ADH, Kofman P & Manaster SM. 2006. Migration of price discovery in semiregulated derivatives markets. The Journal of Futures Markets. 26 (3): 209-241.
  10. Hamerle AH, Liebig TL & Scheule H. 2006. Forecasting credit event frequency - empirical evidence for West German Firms. Journal of Risk. 9 (1): 75-98.
  11. Johnson MN, Malcolm L & O'Connor I. 2006. The Role of Agribusiness Assets in Investment Portfolios. Australasian Agribusiness Review . 14 (11): 1-35.
  12. Lamba A & Ariff MA. 2006. Short selling restrictions and market completeness: the Malaysian experience. Applied Financial Economics. 16 (5/1): 385-393.
  13. Scott C. 2006. Measuring Contagion in the South-East Asian Economic Crisis: An Exploration Using Artifical Neural Networks. Accounting Research Journal. 19 (2): 139-152.

 
Unrefereed Journal Articles

  1. Coleman L. 2006. It's Time for a National Risk Strategy. Quadrant. 50 (1-2): 40-43.
  2. Davis K & Fowler J. 2006. The Future of Australian Banking: Introduction and Overview. Economic Papers. 25 (4): 1-5.

 

Authored Research Books

  1. Coleman L. 2006. Why Managers and Companies Take Risks. Heidelberg, United States: Physica-Verlag.

 
Research Book Chapters

  1. Kofman P & Nini GPN. 2006. Asymmetric Learning in Insurance Markets. In Chiappori PAC & Gollier CG (eds), Competitive Failures in Insurance Markets" Theory and Policy Implications. Cambridge, United States: MIT Press, pp. 283-313.

Thesis Passed for Higher Degrees

  1. Chen ET. 2006. To Invest or not to Invest? Theory and Evidence on Stock Holdings over the Life-Cycle.

  2. Wong G. 2006. Risk aversion and conservatism.

 

 

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