Hue Hwa Au Yong - Researcher Profile
Senior Lecturer
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Publications Title Journal Name Year ABDC Ranking
Equity in capital raising? Empirical evidence from structured private placements Journal of Banking & Finance 2024 A*
Greenwashing, carbon emission, and ESG Business Strategy and the Environment 2024 A
Stock market reaction to COVID-19: evidence from U.S. Firms’ international exposure International Review of Financial Analysis 2021 A
Equity-linked executive compensation, hedging and foreign exchange exposure: Australian evidence Australian Journal of Management 2020 A
Rights issues: retail shareholders and their participation decisions International Review of Finance 2020 A
A few good (wo)men? Gender diversity on Australian boards Australian Journal of Management 2017 A
How does the funding status of defined benefit pension plans affect investment decisions of firms in the United States? International Journal of Accounting and Business Finance 2017 C
Tax avoidance in response to a decline in the funding status of defined benefit pension plans Journal of International Financial Markets, Institutions and Money 2017 A
Determinants of the extent of Asia-Pacific banks’ derivative activities Journal of Accounting and Management Information Systems (JAMIS) 2014 C
Is there a banking risk premium in the US stock market? Journal of Financial Management, Markets and Institutions 2014 C
Off-market buybacks in Australia: Evidence of abnormal trading around key dates International Review of Finance 2014 A
The long- and short-run financial impacts of cross listing on Australian firms Australian Journal of Management 2013 A
The association between firm characteristics and the use of a comprehensive corporate hedging strategy: An ordered probit analysis Frontiers in Finance and Economics 2011 C
Derivative activities and Asia-Pacific banks' interest rate and exchange rate exposures Journal of International Financial Markets, Institutions and Money 2009 A
Asia-Pacific banks risk exposures: Pre and post the Asian financial crisis Applied Financial Economics 2008 B
Customer retention by banks in New Zealand Banks and Bank Systems 2007 C
Investigating the determinants of the decision to engage in a corporate hedging strategy Journal for Studies in Economics & Econometrics 2006 B
Macroeconomic variables and stock market interactions: New Zealand evidence Investment Management and Financial Innovations 2006 B
Asia Pacific banks' derivative and risk management disclosures Asian Review of Accounting 2005 B
Cointegration and causality in the Asian and emerging foreign exchange markets: evidence from the 1990s financial crises International Review of Financial Analysis 2004 A