|
Risk management and private debt contracts: the role of weather derivatives
|
International Journal of Accounting and Business Finance |
2024 |
C |
|
Equity analysts' recommendation revisions and corporate bond price reactions
|
International Review of Finance |
2022 |
A |
|
Options listings and loan contract terms: information versus risk-shifting
|
Journal of Financial Markets |
2022 |
A* |
|
The effect of lenders’ dual holding on loan contract design: evidence from performance pricing provisions
|
Journal of Banking & Finance |
2022 |
A* |
|
Is drought risk priced in private debt contracts?
|
International Review of Finance |
2021 |
A |
|
Co-opted directors, covenant intensity, and covenant violations
|
Journal of Corporate Finance |
2020 |
A* |
|
When are dividend increases bad for corporate bonds?
|
Accounting and Finance |
2020 |
A |
|
The additional cost of hedging in foreign currency loans
|
Australian Journal of Management |
2018 |
A |
|
Liquidity shock management: Lessons from Australian banks
|
Australian Journal of Management |
2017 |
A |
|
Factors affecting the birth and fund flows of CTAs
|
Australian Journal of Management |
2016 |
A |
|
Empirical tests on the liquidity-adjusted capital asset pricing model
|
Pacific-Basin Finance Journal |
2015 |
A |
|
Local versus foreign banks: A home market advantage in loan syndications
|
International Review of Financial Analysis |
2015 |
A |
|
Should Australian syndicated loan contracts be standardised?
|
JASSA: The Finsia Journal of Applied Finance |
2014 |
B |
|
Does the 2008 short sale ban affect the enforcement of the Law of One Price? Evidence from Australia
|
Accounting and Finance |
2012 |
A |
|
The informational content of oil and natural gas prices in energy fund performance
|
International Journal of Global Energy Issues |
2012 |
C |
|
Performance persistence in hedge funds: Australian evidence
|
Journal of International Financial Markets, Institutions and Money |
2010 |
A |
|
The effects of reputation and relationships on lead banks' certification roles
|
Journal of International Financial Markets, Institutions and Money |
2010 |
A |
|
Do Australian hedge fund managers possess timing abilities?
|
Applied Financial Economics |
2009 |
B |
|
Correlated Trading in Concentrated Market
|
Journal of International Finance and Economics |
2008 |
C |
|
An empirical analysis of hedge fund performance: the case of Australian hedge funds industry
|
Journal of Multinational Financial Management |
2005 |
B |