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Australia 31 Australien 31 Theorie 18 Theory 18 Pension fund 15 Pensionskasse 15 Portfolio selection 15 Portfolio-Management 15 Regulation 13 Regulierung 13 Welt 12 World 12 Financial crisis 11 Finanzkrise 11 Bank 10 Bank regulation 9 Bankenregulierung 9 Financial market regulation 9 Finanzmarktregulierung 9 Financial market 8 Finanzmarkt 8 Systemic risk 7 Systemrisiko 7 Bank risk 6 Bankrisiko 6 Corporate disclosure 6 Financial sector 6 Finanzsektor 6 Unternehmenspublizität 6 Altersvorsorge 5 Basel Accord 5 Basler Akkord 5 Investition 5 Investment 5 Retirement provision 5 Auskunftspflicht 3 Bank liquidity 3 Bankenliquidität 3 Capacity planning 3 China 3
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Free 109
Type of publication
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Book / Working Paper 109
Language
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English 109
Author
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Warren, Geoff 18 Ramsay, Ian 12 Gilligan, George 8 Godwin, Andrew 7 Gallagher, David R. 6 Ali, Paul 5 Donald, M. Scott 5 Schmidt, Camille 5 Thorp, Susan 5 Ainsworth, Andrew 4 Buckley, Ross P. 4 Chen, Zhe 4 Hedges, Jasper 4 Lee, Adrian D. 4 Moshirian, Fariborz 4 O'Neill, Michael 4 Parwada, Jerry T. 4 Raftery, Adrian 4 Ruenzi, Stefan 4 Walter, Terry S. 4 Zhang, Bohui 4 Akhtar, Shumi M. 3 Bateman, Hazel 3 Bird, Helen 3 Bird, Ron 3 Butt, Adam 3 Corbett, Adam James 3 Dixon, Peter B. 3 Dungey, Mardi H. 3 Foster, F. Douglas 3 Jones, Kingsley 3 Kingston, Geoffrey 3 Loudon, Geoffrey 3 Malady, Louise 3 Menzies, Gordon Douglas 3 Rimmer, Maureen T. 3 Scheule, Harald (Harry) 3 Schmulow, Andrew 3 Trück, Stefan 3 Anand, Kartik 2
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CIFR Paper 109
Source
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ECONIS (ZBW) 109
Showing 51 - 60 of 109
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An Empirical Analysis of the Use of Enforceable Undertakings by the Australian Securities and Investments Commission between 1 July 1998 and 31 December 2015
Bird, Helen - 2016
This paper analyses enforceable undertakings or formally negotiated settlement agreements between the Australian Securities and Investments Commission (ASIC) and regulated firms and individuals. It reports the findings of an empirical study of 414 enforceable undertakings accepted by ASIC from 1...
Persistent link: https://www.econbiz.de/10012994382
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Measuring Financial Integration : The Network Approach
Xu, Ying - 2015
While deeper financial integration is often considered conducive to the efficient allocation of resources and risk sharing, an increasingly important policy concern is whether it brings greater vulnerability to shocks. To address the latter concern, this paper uses a different approach to...
Persistent link: https://www.econbiz.de/10013021103
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The Rise of Foreign State Ownership in East Asia : Domestic Political Determinants and Stabilizing Effects
Carney, Richard W. - 2015
Since the Asian Financial Crisis of 1997, the prevalence and transparency of state ownership – both domestic and foreign -- has exhibited considerable variance across the region. To explain this puzzle, I argue that a tight focus on two dimensions of politics yields a remarkable degree of...
Persistent link: https://www.econbiz.de/10013021214
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Do Franking Credits Matter? Exploring the Financial Implications of Dividend Imputation
Ainsworth, Andrew - 2015
We examine the implications of the imputation system for stock prices and returns, cost of capital, project evaluation, capital structure, payout policy and investor portfolios. We also discuss potential impacts if the imputation system was dismantled or adjusted, perhaps in conjunction with a...
Persistent link: https://www.econbiz.de/10013021802
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Dividend Imputation or Low Company Tax?
Kingston, Geoffrey - 2015
Recent OECD data offer limited support for the proposition that our company tax rate could be cut substantially with little or no loss of tax revenue. Treasury‐type analysis suggests otherwise: our headline rate could be cut to 20 per cent if abolishing dividend imputation were used to finance...
Persistent link: https://www.econbiz.de/10013022236
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Bank Custodians and Systemic Risk in the Australian Superannuation System
Donald, M. Scott - 2015
Custodians play an integral role in the administration of Australia's superannuation system. This article considers the way in which the small number of custodians, and the increasingly diverse set of services they provide to superannuation funds, gives rise to systemic risk within the...
Persistent link: https://www.econbiz.de/10013023676
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Portfolio Construction and Performance Evaluation for Long-term Investors
Warren, Geoff - 2015
An integrated approach to portfolio construction and performance evaluation is developed to support investment programs based around long-term cash flow projections and associated expected returns. Performance is evaluated by attributing realized returns into components reflecting the initial...
Persistent link: https://www.econbiz.de/10013026220
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Approaches to Financial System Regulation : An International Comparative Survey
Schmulow, Andrew - 2015
This article provides an analysis of the four systems of financial system regulation currently in use internationally, with case studies illustrating each system. Analysis is provided of the strengths and weaknesses of each. Research indicates that the ‘Twin Peaks' system is the superior...
Persistent link: https://www.econbiz.de/10013029375
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The Financial Sector Regulation Bill in South Africa : Lessons from Australia
Godwin, Andrew - 2015
The proposed reforms to financial regulation in South Africa, as embodied in the Financial Sector Regulation Bill, (second draft, 10 December, 2014) (‘FSR Bill'), represent the most important reforms to South Africa's financial regulatory architecture since the 1987 de Kock Commission. The...
Persistent link: https://www.econbiz.de/10013029377
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Measuring the Effectiveness of Australia's Statutory-Backed Continuous Disclosure Policy on ‘Innovative’ Investment Disclosures
Harford, Jarrad - 2015
We examine the impact of the introduction in 1994 (and subsequent amendments) of the statutory-backed continuous disclosure policy (SBCDP) in Australia. Our analysis measures impact by focusing on the investment disclosure propensity, and investment announcement abnormal returns of more...
Persistent link: https://www.econbiz.de/10013030454
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