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ISSUE 12
Articles:

  • Ownership Structure and Equity Returns in Japan: Effectiveness of market-oriented corporate governance
    Yosuke Mitsusada
    Asuka Asset Management Ltd, Japan

    Toyohiko Hachiya
    Hitotsubashi University, Japan

  • The Explanatory Power of Policy Asset Allocation
    Tadaaki Komatsubara
    Ibbotson Associates, Japan

  • STRIPS' Debut - A Welcome Move
    T Jyotsna

  • Cos-Benefit Analysis of Listing Thai Beverage Company: The Case Study of Unethical Stock in Thailand
    Yanee Leoywanichjalearn

  • Factors Determinant Stock Market: New evidence of Thai stock market with Multiple Regression
    Yanee Leoywanichjalearn
    Asia Plus Securities Public Company, Thailand

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ISSUE 11
Articles:

  • Application of Liability Driven Investment (LDI) Strategy in Japan – Can it be a solution to bail out defined benefit pension plans?
    Masaharu Usuki
    NLI Research Institute, Japan

  • Continuity of Bias in Management Forecasts and Mispricing
    Yasuhiro Shimizu

  • Attribution Analyses of Value Premium in Japanese Stock Market
    Heita Nishioka
    &Banking Co Ltd, Japan

  • The Superannuation Guarantee, Wealth and Retirement Saving
    Ellis Connolly

  • Calling the End of the Bubble: are there trends in order imbalances?
    Julia Henker and Thomas Henker

  • Microfranchising – a new kid on the block
    N Janardhan Rao and B Suma
    IUP, India

  • Value Creation through Intellectual Asset – Based Management and Business Risk Quantification
    Yoko Ohta
    Nomura Securities Co Ltd, Japan

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ISSUE 10
Articles:

  • China Derivatives and Structured Products
    Chin-Chong Liew, I-Ping Soong and Simon Zhang
    Linklaters, Hong Kong

  • Dividend Policy that Boosts Shareholder Value
    Takashi Suwabe

  • Fiduciary Duties and Conflicts of Interest
    Don Gasper

  • Indian IPOs : Back in Action !
    Y Bala Bharathi and Sanjoy De

  • MiFid: What is it and how does it affect us in Asia?
    Carl Fernandes

  • Size Effect and Firm Size
    - new relationship with the value effect -
    Kengo Okada
    The Sumitomo Trust & Banking Co. Ltd. , Japan

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ISSUE 9
Articles:

  • Factors Driving Correlations Between Fixed Income and Equity Returns
    – Asset Allocation and ALM for Pension Funds –
    Junichi Iwamoto CMA
    Chief Researcher
    Pension Research Institute
    The Sumitomo Trust & Banking Co., Ltd.

  • Evaluating Active Fund Managers Using Time Series of Ex-ante Risk Estimates
    Hideki Nakashima, PhD
    Researcher
    Integrated Risk Management Service Office
    Mizuho Pension Research Institute, Ltd.

  • Sensex – a Bulls’ Day Out….
    Amit Singh Sisodiya, Dy Editor & Sanjoy De, Research Analyst
    The Analyst Magazine Team,
    IUP, India

  • XBRL: The Future of Financial Reporting
    William Gee and Edmund Lee
    PricewaterhouseCoopers

  • How Can the Market be Efficient if Investors are Not Rational?
    John Livanas BSc. (Eng), M.B.A., F.Fin

  • Risk – An Uncommon Deviation
    Scott Donald SA Fin, BEc, LLB, LLM, CFA

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ISSUE 8
Articles:

  • Changes in Nikkei 225 Composite Stocks -
    Trading Simulation and Implication
    Katsuhiko Okada

  • Managing the Investment Firm -
    Investigation of Manager Trading and Herding Using Composition Data of Equity Portfolios
    Nobuhito Asakura
    Yoko Uno

  • Asset-Backed Securities -
    Effects of Valuation Model on RMBS Investment
    Hiroshi Kasari, Chief Researcher
    Atsushi Kaji, Senior Researcher
    Jun Kataoka

  • How good are dividend yield and P/E ratios in making asset allocation decisions?
    Lakshman Alles

  • Investor expectations and beta risk
    Adam Clements and Michael Drew

  • The relationship between technical indicators and the market index
    Maurice Peat, Max Stevenson and Daniel Maroney.

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ISSUE 7
Articles:

  • Asian Economies and Financial Markets - Independence and Interdependence” - Keynote Speech at 2004 ASIF Tokyo Conference (Summary)
    by SAKAKIBARA, Eisuke - Professor, Keio University

  • Financial System Reform in China” - Keynote Speech at 2004 ASIF Tokyo Conference
    by LIU, Hongru - Professor, Peking University, Tsinghua University

  • Active Management and Portfolio Constraints
    Norihiro Sodeyama, Senior Quants Analyst
    Indexing and Quantitative Investment Department
    The Sumitomo Trust & Banking Co., Ltd.
    (Chartered Member of The Securities Analysts Association of Japan)
    and
    Manabu Yano, Senior Researcher
    Pension Research Institute
    The Sumitomo Trust & Banking Co., Ltd.
    (Chartered Member of The Securities Analysts Association of Japan)

  • Individual Investor Behaviour
    Hisashi Kaneko
    Senior Quantitative Analyst
    Financial Knowledge Research Division
    Nomura Research Institute
    (Chartered Member of The Securities Analysts Association of Japan)

  • Indian Primary Market: Insatiable Demand
    BY DG Prasuna

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ISSUE 6
Articles:

  • SECURITIES INSTITUTE OF AUSTRALIA
    by Robert Swinton

  • SAAJ AND ITS FINANCIAL BASE
    by Sei-Ichi Kaneko

  • MANAGEMENT AND OPERATION OF EDUCATION PROGRAMMES AND EXAMINATION SYSTEM
    by Gary Cheung (HKSI)

  • BENCHMARKS FOR ALTERNATIVE INVESTMENTS
    by William Fung and David A. Hsieh

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ISSUE 5
Articles:

  • Sustainable and Responsible Investment
    by Louisa Mitchell

  • Retail Hedge Funds
    by Rory Gallaher and Karen Kaur

  • Using the Internet for Corporate Activism
    David Webb, corporate governance activist, shows how to use the internet

  • Impact of the New Securities and Futures Ordinance on Fund Managers in Hong Kong
    by Martin Rogers and Mark Shipman

  • Global Equity Investment in a Borderless World From Country Factor to Global Industry Factor
    By Takahashi SUWABE

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ISSUE 4
Articles:

  • THE GOODWILL GAME
    by Keith Alfredson and Adrian Murray

  • THE BUSINESS GOALS OF STOCKBROKING FIRMS IN AUSTRALIA, SINGAPORE AND JAPAN
    by Brett L Scarlett

  • EVALUATING INTANGIBLE ASSETS: THE NEW FINANCIAL MANAGEMENT, REPORTING AND ANALYSIS CHALLENGE
    by Zoltan Matolcsy, Donald Stokes and Peter Wells

  • THE INVESTMENT PROCESS AND DECISION MAKING AT PENSION FUNDS
    by Tom Gunn

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ISSUE 3
Articles:

  • UPDATE ON THE CIIA

  • INVESTMENT FUNDS IN CHINA
    by Mr Joseph Silva

  • OVERVIEW OF ONLINE SECURITIES TRADING IN TAIWAN
    by Mr Ted Peng

  • LEGISLATIVE CHALLENGES FACED BY THE INVESTMENT FUNDS INDUSTRY IN CHINA AFTER CHINA'S ACCESSION TO WTO AND ITS RESPONSES
    by Mr Wang Lianzhou

  • YOU WANT ME TO DO WHAT? ETHICAL DILEMMAS IN FINANCIAL PLANNING
    by John Jordan

  • ESTIMATING MARKET RISK PREMIUM
    by Professor Robert G. Bowman

  • PORTFOLIO PERFORMANCE IS NOT THE ONLY CRITERIA
    by John Arbouw

  • PRICE AS A CLUE - ARE CHEAP STOCKS BETTER?
    by Richard B. Boebel and Roger Nicholl

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ISSUE 2
Articles:

  • A NEW FRONTIER?
    An interview with BondsinAsia CEO Albert Cobetto, sourced from the Hong Kong Securities Institute Journal

  • THE HUMAN TOUCH
    Sourced from the Hong Kong Securities Institute Journal

  • OPTIMISING GLOBAL COLLATERAL MANAGEMENT
    By Jessie Pak, sourced from the Hong Kong Securities Institute Journal

  • DO INVESTORS OVERREACT BELOW THE EQUATOR?
    By Richard B Boebel and Clarke Carson A, article appeared in the 2000/2001 edition of ‘The New Zealand Investment Analyst’

  • NEW ECONOMY, NEW WORRIES
    By Steve McClintock, article was sourced from JASSA (The Journal of the Securities Institute of Australia),

  • ASIF CONFERENCE 2001, Hong Kong 3rd-5th December

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ISSUE 1
Articles:

  • NEW ERA FOR ASIAN CAPITAL MARKETS
    By Yi-Hsiung Hsu,

  • THE DEVELOPMENT OF DERIVATIVE PRODUCTS AND ASIAN CAPITAL MARKETS
    By William P. Albrecht

  • THE INTEGRATION OF THE ASIAN CAPITAL MARKETS
    By Shinichiro Takaya

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