著者
書誌事項
Working paper series in economics and finance
RMIT, Department of Economics and Finance Faculty of Business
この図書・雑誌をさがす
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1
- Forecasting Australian exchange rate volatility : a comparative study of alternate modelling techniques and the impact of power transformations
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Michael D. Mckenzie
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-10
所蔵館2館
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2
- Numeraire effects in international portolio [i.e. portofolio] investment
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Alan Alford
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-8
所蔵館2館
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3
- Modelling the time-varying correlations between national stock market returns
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Vanitha Ragunathan and Heather Mitchell
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-7
所蔵館2館
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4
- Missing values in vector time series
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Heather Mitchell
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-6
所蔵館2館
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5
- Persistence in fund portfolio performance and the information content of portfolio performance history : an examination of Rollover Funds
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Terrence A. Hallahan
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-9
所蔵館2館
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6
- Using simulations in the training of finance students : a tool to enhance team building, communication and the use of information in real time
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Susan Campbell
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-5
所蔵館2館
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7
- An examination of the effects of major political change on stock market volatility : the South Africa experience
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Robert Brooks, Sinclair Davidson and Robert Faff
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-4
所蔵館2館
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8
- Patterns of Australian state and local government finance, 1969/70 to 1994/95
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Brian Dollery, Mark Stewart and Andrew Worthington
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-3
所蔵館2館
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9
- The effects of financial deregulation on integration : an Australian perspective
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Vanitha Ragunathan
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-2
所蔵館2館
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10
- The right to host the Olympic Games should be auctioned to the highest bidder
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Mark Stewart and C.L. Wu
Department of Economics and Finance, Faculty of Business, RMIT [1997] Working paper series in economics and finance 97-1
所蔵館2館
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11
- Forecasting the S&P 500 : a disequilibrium indicator
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Sinclair Davidson and Steven Meyer
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-5
所蔵館2館
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12
- Further evidence on the relationship between beta stability and the length of the estimation period
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Robert Faff and Robert Brooks
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-10
所蔵館2館
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13
- The stability of arch models across Australian financial futures markets
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Robert Brooks and John Lee
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-9
所蔵館2館
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14
- The use of consumer demand systems to evaluate the determinants of Australian State and local government expenditure
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Mark Stewart
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-6
所蔵館2館
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15
- What's in a name? : evidence on corporate name changes from the Australian capital market
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Thomas Josev and Albert Peker
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-7
所蔵館2館
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16
- The impact of the return interval on the estimation of systematic risk in Australia
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Tim Brailsford and Thomas Josev
Department of Economics and Finance, Faculty of Business, RMIT [1996] Working paper series in economics and finance 96-8
所蔵館2館
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17
- Capital market responses to corporate restructuring
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Geoffrey Blount and Sinclair Davidson
Department of Economics and Finance, Faculty of Business, RMIT [1995] Working paper series in economics and finance 95-10
所蔵館1館
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18
- Autocorrelations, returns and Australian financial futures
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Robert Brooks and Paul Michaelides
Department of Economics and Finance, Faculty of Business, RMIT [1995] Working paper series in economics and finance 95-9
所蔵館1館
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19
- First and second order inefficiency in Australian currency markets
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Gerard Gannon
Department of Economics and Finance, Faculty of Business, RMIT [1995] Working paper series in economics and finance 95-8
所蔵館1館
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20
- Derivative securities : what do directors need to know
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Keith Nathan
Department of Economics and Finance, Faculty of Business, RMIT [1995] Working paper series in economics and finance 95-7
所蔵館1館