Australian Journal of Management
1976 - 2025
From Australian School of Business Bibliographic data for series maintained by SAGE Publications (). Access Statistics for this journal.
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Volume 38, issue 3, 2013
- Editorial: Australian Journal of Management Symposium Special Issue pp. 443-445

- N/a
- Some personal observations on the debate on the link between financial reporting quality and the cost of equity capital pp. 447-473

- Terry Shevlin
- Disclosure quality, diversification and the cost of capital pp. 475-489

- Greg Clinch
- Costs of mandatory international financial reporting standards: Evidence of reduced accrual reliability pp. 491-521

- Cheng Y Lai, Yang Li, Yaowen Shan and Stephen Taylor
- The politics of accounting standard-setting: A review of empirical research pp. 523-551

- Brandon Gipper, Brett J Lombardi and Douglas J Skinner
- The use of financial ratio models to help investors predict and interpret significant corporate events pp. 553-598

- B Korcan Ak, Patricia M Dechow, Yuan Sun and Annika Yu Wang
- A framework for value investing pp. 599-633

- Seungmin Chee, Richard Sloan and Aydin Uysal
Volume 38, issue 2, 2013
- Editorial: August 2013 pp. 219-220

- N/a
- Growth and accounting choice pp. 221-252

- Ilia D Dichev and Feng Li
- Unequal access to analyst research pp. 253-277

- Andrew Lepone, Henry Leung and J George Li
- Chief Executive Officer departures and market uncertainty pp. 279-310

- W Jane Cheung and Andrew B Jackson
- The market response to exploration, resource and reserve announcements by mining companies: Australian data pp. 311-331

- Ron Bird, Matthew Grosse and Danny Yeung
- A re-examination of the empirical performance of the Longstaff and Schwartz two-factor term structure model using real yield data pp. 333-352

- Robert Faff and Sirimon Treepongkaruna
- Dissecting anomalies in the Australian stock market pp. 353-373

- Paul Y Dou, David Gallagher and David H Schneider
- Liquidity in asset pricing: New Australian evidence using low-frequency data pp. 375-400

- Daniel Chai, Robert Faff and Philip Gharghori
- Does portfolio emulation outperform its target funds? pp. 401-427

- Zhe Chen, Frederick Foster, David Gallagher and Adrian Lee
- Determinants of long-term debt issuing decisions: An alternative approach pp. 429-439

- Yushu Zhu
Volume 38, issue 1, 2013
- Editorial pp. 3-5

- Baljit K. Sidhu
- Do alternative methods of reporting non-controlling interests really matter? pp. 7-30

- Ana I Lopes, Isabel Lourenço and Mark Soliman
- The January effect, does options trading matter? pp. 31-48

- Cameron Truong
- Measuring monetary policy expectations pp. 49-65

- Vijay A Murik
- Predicting the directional change in consumer sentiment pp. 67-80

- Juan Yao, Graham Partington and Max Stevenson
- The long- and short-run financial impacts of cross listing on Australian firms pp. 81-98

- Yen Hou Ng, Hue Hwa Au Yong and Robert Faff
- The chicken or the egg? The trade-off between bank fee income and net interest margins pp. 99-123

- Barry Williams and Gulasekaran Rajaguru
- A revolution in finance? pp. 125-146

- Jennifer K Gippel
- Gender perceptions of work-life balance: management implications for full-time employees in Australia pp. 147-170

- Yuka Fujimoto, Fara Azmat and Charmine E.J. Härtel
- Verifying the Miles and Snow strategy types in Australian small- and medium-size enterprises pp. 171-190

- Karen Blackmore and Keith Nesbitt
- Successful entrepreneurs minimize risk pp. 191-215

- Johann Peter Murmann and Deepak Sardana
Volume 37, issue 3, 2012
- Celebrating success: Winners of the 2012 E Yetton Australian Journal of Management Award for papers published in 2011 pp. 329-331

- Baljit K Sidhu
- Reported earnings and analyst forecasts as competing sources of information: A new approach pp. 333-359

- Heather Anderson, Howard Chan, Robert Faff and Yew Kee Ho
- The preferences of private equity investors in selecting target acquisitions: An international investigation pp. 361-389

- Sarah Osborne, Dean Katselas and Larelle Chapple
- Public versus private takeovers of Australian stock exchange listed targets pp. 391-414

- Martin Bugeja and Kosta Sinelnikov
- Retirement savings investment choices in response to the global financial crisis: Australian evidence pp. 415-439

- Paul Gerrans
- Insolvency administration as a strategic response to financial distress pp. 441-459

- James Routledge and David Morrison
- Out-of-sample stock return predictability in Australia pp. 461-479

- Yiwen (Paul) Dou, David Gallagher, David Schneider and Terry Walter
- Corporate governance mechanisms and their impact on company performance: A structural equation model analysis pp. 481-505

- Mohammad Azim
- Evaluation of a perceived organisational performance scale using Rasch model analysis pp. 507-522

- Tracey Shea, Brian K. Cooper, Helen De Cieri and Cathy Sheehan
- Using decision support to manage the influence of cognitive abilities on share trading performance pp. 523-541

- Alex Richardson, Shirley Gregor and Richard Heaney
- Erratum pp. 543-543

- N/a
- Thanks to Reviewers pp. 545-550

- N/a
Volume 37, issue 2, 2012
- Editorial pp. 127-129

- Baljit K Sidhu
- Subject Area Editorial Statements pp. 131-133

- N/a
- The independent effects of environmental, social and governance initiatives on the performance of UK firms pp. 135-151

- Jacquelyn E Humphrey, Darren D Lee and Yaokan Shen
- The market acceptance of corporate social responsibility: a comparison across six countries/regions pp. 153-168

- Ron Bird, Francesco Momenté and Francesco Reggiani
- Institutional investor influence on global climate change disclosure practices pp. 169-187

- Julie Cotter and Muftah M Najah
- Profiling socially responsible investors: Australian evidence pp. 189-209

- Blanca Pérez-Gladish, Karen Benson and Robert Faff
- Do customer satisfaction and reputation mediate the CSR–FP link? Evidence from Australia pp. 211-229

- Jeremy Galbreath and Paul Shum
- Recession fears as self-fulfilling prophecies? Influence on stock returns and output pp. 231-260

- John G Powell and Sirimon Treepongkaruna
- Size and book-to-market factors in Australia pp. 261-281

- Tim Brailsford, Clive Gaunt and Michael A O’Brien
- Capital structure: The case of firms issuing debt pp. 283-295

- Yushu Zhu
- The fluctuating default risk of Australian banks pp. 297-325

- David Allen and Robert Powell
Volume 37, issue 1, 2012
- Editorial: Enhancing the usefulness of management research pp. 3-5

- Baljit Sidhu
- Do trading hours affect volatility links in the foreign exchange market? pp. 7-27

- Sirimon Treepongkaruna, Robert Brooks and Stephen Gray
- Determinants of bond spreads: evidence from credit derivatives of Australian firms pp. 29-46

- Tristan Darwin, Sirimon Treepongkaruna and Robert Faff
- The impact of terrorism on global equity market integration pp. 47-60

- Chris Bilson, Tim Brailsford, Aiden Hallett and Jing Shi
- Share market reaction to the BP oil spill and the US government moratorium on exploration pp. 61-76

- Seyed Amir Hossein Sabet, Marie-Anne Cam and Richard Heaney
- Equity value implications of the SEC Exchange Act Rule 13a-14: a litigation cost perspective pp. 77-98

- Mukesh Garg, Vic Naiker and Farshid Navissi
- Is continuous disclosure associated with board independence? pp. 99-124

- Zoltan Matolcsy, Jonathan Tyler and Peter Wells
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