eCite Digital Repository

Author: Raghavan, MV (Dr Mala Raghavan)

Number of items: 16

Journal Article
Bhalli, MT and Raghavan, MV, Financial Inclusion Index: A comprehensive measure, World Economics, 21, (4) pp. 139-170. ISSN 1468-1838 (2020) [Refereed Article]
Raghavan, M and Devadason, ES, How resilient is ASEAN-5 to trade shocks? A comparison of regional and global shocks, Global Journal of Emerging Market Economies, 12, (1) pp. 93-115. ISSN 0974-9101 (2020) [Refereed Article] 
Majumder, MK and Raghavan, M and Vespignani, J, Oil curse, economic growth and trade openness, Energy Economics, 91 ISSN 0140-9883 (2020) [Refereed Article] 
Raghavan, M, An Analysis of the Global Oil Market Using SVARMA Models, Energy Economics ISSN 0140-9883 (2019) [Refereed Article] 
Raghavan, M and Athanasopoulos, G, Analysis of shock transmissions to a small open emerging economy using a SVARMA model, Economic Modelling, 77 pp. 187-203. ISSN 0264-9993 (2019) [Refereed Article] 
Dungey, M and Khan, F and Raghavan, M, International trade and the transmission of shocks: the case of ASEAN-4 and NIE-4 economies, Economic Modelling, 72 pp. 109-121. ISSN 0264-9993 (2018) [Refereed Article] 
Raghavan, M and Athanasopoulos, G and Silvapulle, P, Canadian monetary policy using a structural VARMA model, Canadian Journal of Economics, 49, (1) pp. 347-373. ISSN 0008-4085 (2016) [Refereed Article] 
Raghavan, M and Dungey, M, Should ASEAN-5 monetary policy-makers act preemptively against stock market bubbles?, Applied Economics, 47, (11) pp. 1086-1105. ISSN 0003-6846 (2015) [Refereed Article] 
Dungey, MH and Osborn, DR and Raghavan, MV, International Transmissions to Australia: The Roles of the USA and Euro Area, Economic Record, 90, (291) pp. 421-446. ISSN 1475-4932 (2014) [Refereed Article] 
Raghavan, M and Silvapulle, P and Athanasopoulos, G, Structural VAR models for Malaysian monetary policy analysis during the pre- and post- 1997 Asian crisis periods, Applied Economics, 44, (29) pp. 3841-3856. ISSN 0003-6846 (2012) [Refereed Article] 
Raghavan, MV and Dark, J and Maharaj, E, Impact of capital control measures on the Malaysian stock market : a multiresolution analysis, International Journal of Managerial Finance, 6, (2) pp. 116-127. ISSN 1743-9132 (2010) [Refereed Article] 
Raghavan, MV and Dark, J, Return and Volatility Spillovers Between the Foreign Exchange Market and the Australian all Ordinaries Index, The IUP Journal of Applied Finance, 14, (1) pp. 41-48. ISSN 0972-6861 (2008) [Refereed Article] 
Raghavan, MV, The Impact of Asian Financial Crisis and the Spillover Effects on Three Pacific-Basin Stock Markets - Malaysia, Singapore and Hong Kong, The ICFAI Journal of Applied Finance, 14, (5) pp. 5-16. ISSN 0972-5105 (2008) [Refereed Article]
Conference Publication
Alshamari, A and Raghavan, M and Shantapriyan, P, An Analysis of A-IFRS in foreign investment inflows to Australia using structural break tests, Virtual AFAANZ, 5-7 July 2020, online (2020) [Conference Extract]
Hwa, TB and Raghavan, M and Huey, TT, Macroeconomic surveillance of portfolio flows and its real effects: Malaysia's experience, Statistical implications of the new financial landscape, 8-9 September, pp. 1-13. (2016) [Conference Extract]
Other Public Output
Raghavan, M, There's hope for Tasmania in the post -mining boom era, The Conversation, The Conversation Media Group Ltd, Australia, 23 November (2016) [Magazine Article]

This list was generated on Sat May 8 11:26:36 2021.