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  • Search: subject:"Finance and Investment not elsewhere classified"
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Subject
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Banking Finance and Investment not elsewhere classified 11 Banking 10 Finance and Investment not elsewhere classified 10 BUSINESS AND MANAGEMENT 4 Small Business Management 3 Computer-Human Interaction 2 Developmental Psychology and Ageing 2 Douglas 2 Organisational Planning and Management 2 entrepreneurship 2 underpricing 2 Accounting Auditing and Accountability not elsewhere classified 1 Austalia 1 Australia 1 Black-Scholes model 1 Built Environment and Design not elsewhere classified 1 Business and Management not elsewhere classified 1 CPPI 1 Civil Engineering not elsewhere classified 1 Davidsson 1 ECONOMIC 1 Economic Models and Forecasting 1 Economic value 1 Electricity futures 1 Electronic Commerce 1 Environment and Resource Economics 1 Expanding Knowledge in Economics 1 Finance (RFCD: 350301) 1 Finance Services 1 Finance and Investment not elsewhere classified (RFCD: 350399) 1 Financial Literacy 1 Financial Services not elsewhere classified 1 Fitsimmon 1 FoR::150299 - Banking 1 GARCH 1 Global Financial Crisis 1 Hedge Funds 1 Housing Markets Development Management 1 Housing Supply 1 IPOs 1
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Online availability
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Free 22
Type of publication
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Article 15 Book / Working Paper 7
Type of publication (narrower categories)
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Thesis 4 Congress Report 3 Report 3
Language
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Undetermined 18 English 4
Author
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Worthington, Andrew C. 3 Dimovski, William 2 Douglas, Evan J. 2 Adventus, Manlian R. 1 Allen, David 1 Bairagi, Ranajit Kumar 1 Beal, Diana 1 Betts, Martin 1 Bhattacharya, Sukanto 1 Brooks, Robert 1 Bryant, Lyndall 1 Crissman, Kathryn 1 Davidsson, Per 1 Devenish-Meares, Peter 1 Dewobroto, Wiryanto 1 Eliasson, Christian 1 Fitzsimmons, Jason R. 1 Fogarty, Gerard 1 Gallery, Natalie 1 Goyen, Michelle 1 Hardjasaputra, Harianto 1 Higgs, Helen 1 Hovey, Martin 1 Kajewski, Stephen L. 1 Kehal, H. 1 Kumar, Kuldeep 1 Lee, Hee Soo 1 Li, Larry 1 McPhail, Janelle 1 Naughton, Tony 1 Newton, Cameron J. 1 Nguyen, Hoa 1 Palm, Chrisann T. 1 Pamulu, Muhammad Sapri 1 Phillips, Peter J. 1 Rose, Janelle D. 1 Sargeant, Adrian 1 Seelanatha, Senarath 1 Shepherd, Dean 1 Singh, V. 1
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Institution
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Parwada, Jerry, Banking & Finance, Australian School of Business, UNSW 1
Source
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BASE 22
Showing 1 - 10 of 22
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Framework for assessing financial literacy and superannuation investment choice decisions
Gallery, Natalie; Newton, Cameron J.; Palm, Chrisann T. - 2011
There is a worldwide trend towards rapidly growing defined contribution pension funds in terms of assets and membership, and the choices available to individuals. This has shifted the decisionmaking responsibility to fund members for managing the investment of their retirement savings. This...
Persistent link: https://www.econbiz.de/10009438370
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The underpricing of US REIT IPOs : 1996?2010
Bairagi, Ranajit Kumar; Dimovski, William - 2011
This study examines the underpricing cost of 123 US REIT IPOs over the period 1996 until June 2010, including the period of the global financial crisis. The study uses OLS multivariate regression to determine some potential factors behind underpricing. The underpricing cost of raising REIT...
Persistent link: https://www.econbiz.de/10009483975
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Housing supply in Australia : the impact of the availability of development finance
Bryant, Lyndall - 2010
Before the Global Financial Crisis many providers of finance had growth mandates and actively pursued development finance deals as a way of gaining higher returns on funds with regular capital turnover and re-investment possible. This was able to be achieved through high gearing and low presales...
Persistent link: https://www.econbiz.de/10009438259
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EVALUATION OF FINANCIAL RISK OF HEDGE FUNDS AND FUNDS-OF-HEDGE FUNDS
Lee, Hee Soo - 2010
The primary objective of this thesis is to provide models capable of predicting financial distress in individual hedge funds (HFs) and funds-of-hedge funds (FOHFs). Two approaches were used to build these models. The first approach was based on a cross-sectional model while the second one was on...
Persistent link: https://www.econbiz.de/10009480022
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Underpricing, risk management, hot issue and crowding out effects : evidence from the Australian resources sector initial public offerings
Nguyen, Hoa; Dimovski, William; Brooks, Robert - 2010
The main purpose of this paper is to explore the role of risk management, speculative industry competition effect and hot issue markets. We used a sample of 260 initial public offerings (IPOs) in the Australian resource sector for the 1994–2004 period to test the underpricing effect. We do not...
Persistent link: https://www.econbiz.de/10009483901
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Evaluating financial ratios in construction industry : a case study of Indonesian firms
Pamulu, Muhammad Sapri; Kajewski, Stephen L.; Betts, Martin - 2007
This paper presents findings of a pilot study, which evaluates financial ratios in the Indonesian construction Industry. The study is an extension of a larger study that is an attempt to identify the areas of strategic issues for Indonesian construction firms and develop an appropriate strategic...
Persistent link: https://www.econbiz.de/10009437652
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Predicting mature consumers' attitudes towards use of self-service technologies in the financial services context
Rose, Janelle D. - 2007
[Abstract]: The combination of increased numbers of ageing consumers, decreased access to personal services, and reluctance to use self-service technologies (SSTs) among some mature consumers highlighted the need to identify the factors that influence the use of these technologies. In the...
Persistent link: https://www.econbiz.de/10009479836
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Efficiency, productivity, change and market structure of the banking industry in Sri Lanka
Seelanatha, Senarath - 2007
[Abstract]: During the last 27 years, the banking industry in Sri Lanka has undergone a series of changes through financial reforms, advancement of communication and information technologies, globalisation of financial services, and economic development. Those changes should have had a...
Persistent link: https://www.econbiz.de/10009479837
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Dynamically opted protection envelope (DOPE) - A cost-effective strategy of insuring an investment portfolio
Bhattacharya, Sukanto; Kumar, Kuldeep - 2007
Popular ways of hedging downside risk of a stock portfolio is by means of a constant proportion portfolio insurance (CPPI) strategy or by means of an options-based portfolio insurance strategy (OBPI). However both have drawbacks in terms of practical applicability given transaction costs....
Persistent link: https://www.econbiz.de/10009484099
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Outsourcing and Offshoring of Finance Activities
Terjesen, Siri A. - 2006
This chapter focuses on the outsourcing and offshoring of finance activities in the firm from firm, host country and home country perspectives. Globalisation, technology, regulation changes, stakeholder pressures, and firm re-organisation changes present challenges and opportunities to firm...
Persistent link: https://www.econbiz.de/10009437527
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