Details about Kathleen Diane Walsh
Access statistics for papers by Kathleen Diane Walsh.
Last updated 2022-11-23. Update your information in the RePEc Author Service.
Short-id: pwa967
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Working Papers
2015
- How prevalent are post-completion audits in Australia
Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney
- Renminbi trade invoicing: Benefits, impediments and tipping points
Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney
2010
- Endogeneity and the corporate governance - performance relation
Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney View citations (151)
See also Journal Article Endogeneity and the corporate governance - performance relation, Australian Journal of Management, Australian School of Business (2010) View citations (126) (2010)
2002
- Using Regression Techniques to Estimate Futures Hedge Ratios Some Results from Alternative Approaches Applied to Australian 10 Year Treasury Bond Futures
Published Paper Series, Finance Discipline Group, UTS Business School, University of Technology, Sydney
Journal Articles
2021
- Pitching research for engagement and impact: a simple tool and illustrative examples
Accounting and Finance, 2021, 61, (2), 3329-3383 View citations (3)
2019
- Liquidity and earnings in event studies: Does data granularity matter?
Pacific-Basin Finance Journal, 2019, 54, (C), 118-131 View citations (6)
- Responsible science: Celebrating the 50-year legacy of Ball and Brown (1968) using a registration-based framework
Pacific-Basin Finance Journal, 2019, 56, (C), 129-150 View citations (4)
2017
- Can foreign banks compete in China?
Accounting and Finance, 2017, 57, (4), 961-980 View citations (10)
- Corporate fraud culture: Re-examining the corporate governance and performance relation
Accounting and Finance, 2017, 57, (2), 597-620 View citations (15)
- Corporate governance and the probability of default
Accounting and Finance, 2017, 57, 235-253 View citations (23)
2015
- The investment horizon and asset pricing models
Australian Journal of Management, 2015, 40, (2), 277-294 View citations (2)
2013
- Why the CAPM is Half-Right and Everything Else is Wrong
Abacus, 2013, 49, 73-78 View citations (16)
2011
- Market timing under multiple economic regimes
Accounting and Finance, 2011, 51, (2), 501-515
2010
- Endogeneity and the corporate governance - performance relation
Australian Journal of Management, 2010, 35, (2), 145-163 View citations (126)
See also Working Paper Endogeneity and the corporate governance - performance relation, Published Paper Series (2010) View citations (151) (2010)
2008
- Monetary Policy Surprises and the Bank Bill Term Premium
Australian Journal of Management, 2008, 33, (2), 231-260 View citations (4)
2006
- Is the Ex Ante Risk Premium Always Positive? Further Evidence
Australian Journal of Management, 2006, 31, (1), 93-113 View citations (3)
2005
- Bond Term Premium Analysis in the Presence of Multiple Regimes
International Review of Finance, 2005, 5, (1‐2), 31-54 View citations (1)
2001
- Equity Market Valuation: Assessing the Adequacy of Value Measures to Predict Index Returns
Australian Journal of Management, 2001, 26, (2), 163-196 View citations (1)
1998
- Assessing estimation error in a tracking error variance minimisation framework
Pacific-Basin Finance Journal, 1998, 6, (1-2), 175-192
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