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Elizabeth Sheedy
Elizabeth Sheedy
Applied Finance Centre, Macquarie University
Verified email at mafc.mq.edu.au
Title
Cited by
Cited by
Year
Developing a stress testing framework based on market risk models
C Alexander, E Sheedy
Journal of Banking & Finance 32 (10), 2220-2236, 2008
2222008
Risk governance, structures, culture, and behavior: A view from the inside
E Sheedy, B Griffin
Corporate Governance: An International Review 26 (1), 4-22, 2018
1512018
The professional risk managers' handbook: A comprehensive guide to current theory and best practices
C Alexander, E Sheedy
University of Sussex, 2004
1342004
A framework and measure for examining risk climate in financial institutions
EA Sheedy, B Griffin, JP Barbour
Journal of Business and Psychology 32, 101-116, 2017
662017
Risk governance in the insurance sector—determinants and consequences in an international sample
S Magee, C Schilling, E Sheedy
Journal of Risk and Insurance 86 (2), 381-413, 2019
572019
Marketing derivatives: a question of trust
E Sheedy
International Journal of Bank Marketing 15 (1), 22-31, 1997
541997
The role of risk climate and ethical self-interest climate in predicting unethical pro-organisational behaviour
E Sheedy, P Garcia, D Jepsen
Journal of Business Ethics 173 (2), 281-300, 2021
512021
The influence of risk governance on risk outcomes-international evidence
A Lingel, EA Sheedy
Macquarie Applied Finance Centre Research Paper, 2012
502012
Incentives and culture in risk compliance
E Sheedy, L Zhang, KCH Tam
Journal of Banking & Finance 107, 105611, 2019
322019
Empirical analysis of risk culture in financial institutions: Interim report
E Sheedy, B Griffin
Sydney, Australia: Macquarie University, 2014
312014
Correlation in currency markets a risk-adjusted perspective
E Sheedy
Journal of International Financial Markets, Institutions and Money 8 (1), 59-82, 1998
301998
Risk management behaviour in banking
E Sheedy, M Lubojanski
Managerial Finance 44 (7), 902-918, 2018
292018
Corporate use of derivatives in Hong Kong and Singapore: A survey
EA Sheedy
Macquarie Applied Finance Centre Research Paper, 2001
242001
Applying an agency framework to operational risk management
EA Sheedy
Centre for Studies in Money, Banking and Finance, Macquarie University, 1999
221999
Asset‐allocation decisions when risk is changing
E Sheedy, R Trevor, J Wood
Journal of Financial Research 22 (3), 301-315, 1999
211999
Corporate risk management in Hong Kong and Singapore
E Sheedy
Managerial Finance 32 (2), 89-100, 2006
192006
Model-based stress tests: linking stress tests to var for market risk
C Alexander, EA Sheedy
MAFC Research Paper, 2008
172008
International compliance with new Basel Accord principles for risk governance
S Wright, E Sheedy, S Magee
Accounting & Finance 58 (1), 279-311, 2018
162018
Risk governance: Biases, blind spots and bonuses
E Sheedy
Routledge, 2021
152021
Volume III: Risk management practices
DR Koenig
Wilmington, DE: PRMIA Publications, 2004
142004
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