Follow
Vincent James Hooper BA Hons PhD FAIA (Acad) FHEA
Vincent James Hooper BA Hons PhD FAIA (Acad) FHEA
Professor, Area Head [All Campuses] SPJain School of Global Management based in Dubai
Verified email at spjain.org - Homepage
Title
Cited by
Cited by
Year
Selecting macroeconomic variables as explanatory factors of emerging stock market returns
CM Bilson, TJ Brailsford, VJ Hooper
Pacific-Basin Finance Journal 9 (4), 401-426, 2001
5702001
The explanatory power of political risk in emerging markets
CM Bilson, TJ Brailsford, VJ Hooper
International Review of Financial Analysis 11 (1), 1-27, 2002
2372002
Sovereign rating changes—Do they provide new information for stock markets?
V Hooper, T Hume, SJ Kim
Economic Systems 32 (2), 142-166, 2008
1602008
Governance and stock market performance
V Hooper, AB Sim, A Uppal
Economic Systems 33 (2), 93-116, 2009
1152009
The determinants of capital inflows: Does opacity of recipient country explain the flows?
V Hooper, SJ Kim
Economic systems 31 (1), 35-48, 2007
622007
The psychological impact of coronavirus on university students and its socio-economic determinants in Malaysia
M Irfan, F Shahudin, VJ Hooper, W Akram, RB Abdul Ghani
INQUIRY: The Journal of Health Care Organization, Provision, and Financing …, 2021
582021
Regional integration of stock markets in Latin America
R Heaney, V Hooper, M Jaugietis
Journal of Economic Integration, 745-760, 2002
532002
Quarterly beta forecasting: An evaluation
VJ Hooper, K Ng, JJ Reeves
International Journal of Forecasting 24 (3), 480-489, 2008
312008
Regionalism, political risk and capital market segmentation in international asset pricing
R Heaney, V Hooper
Journal of Economic Integration, 299-312, 2001
312001
World, regional and political risk influences upon Asia Pacific equity market returns
R Heaney, V Hooper
Australian Journal of Management 24 (2), 131-142, 1999
301999
Regional integration of national stock markets
R Heaney, VJ Hooper, M Jaugietis
Curtin University of Technology, 2000
202000
Generalized correlation measures of causality and forecasts of the VIX using non-linear models
DE Allen, V Hooper
Sustainability 10 (8), 2695, 2018
192018
The impact of liberalization and regionalism upon capital markets in emerging Asian economies
C Bilson, V Hooper, M Jaugietis
Asian Financial Crisis Financial, Structural and International Dimensions …, 2001
192001
Multinational financing strategies in high political risk countries
VJ Hooper
Global Risk Assessments. Book 5, 139-154, 2004
112004
Selecting marcoeconomic variables as explanatory factors of emerging stocks market returns. The Australian national university: 2000
CM Bilson, TJ Brailsford, VJ Hooper
Working papers series in finance 00-04, 2000
102000
Multi-national Capital Budgeting and Finance Decisions
V Hooper
Taxation: Critical Perspectives on the World Economy 4, 237, 2002
92002
Washington consensus, emerging economics and company financial reporting: an appraisal
V Hooper, R Morris
Research in accounting in emerging economies, supplement 2, 93-116, 2004
82004
Exchange rate and expropriation risk in multinational capital budgeting: A stochastic approach
J Pointon, V Hooper
International Journal of Business Studies 3 (2), 81-88, 1995
81995
Okun’s law revisited within the context of high eurozone unemployment: a note
VJ Hooper
E-Journal of International and Comparative Labour Studies 6 (2), 2017
72017
Sovereign Rating Changes–Do They Provide New Information for Stock Markets, Working paper, University of New South Wales
V Hooper, T Hume, SK Kim
62005
The system can't perform the operation now. Try again later.
Articles 1–20