|
Research Interests
- Emerging Capital Markets:
- Multidimensional scaling applications in asset pricing
- Country risk rating models using intraday equity and
bond data
- Capital flow reversals across international frontiers
- Corporate governance/Legal system path dependency with
jumps and reversions
- Supranational, Regional, Governmental, NGO Instititutions
for facilitating optimal capital allocation both within
a globalised and localised context
- Small Island and Metro Country financial Sector development
- Open and closed financial systems, entropy and volatility
Publications
- Hooper, V. J. (1994). "Multinational Capital Budgeting
and Financing Decisions", Issues in Business Taxation.
Editor J. Pointon.
- Hooper, V. J. (1995). "The Utilisation of Conjoint Analysis
Within a Multi-Criteria Decision-Making Setting to Determine
the Strength of Various Influences Upon Foreign Direct Investment",
International Journal of Business Studies, Vol 3, No 1.
- Hooper, V. J. (1995). "Exchange Rate and Expropriation
Risk in Multinational Capital Budgeting: A Stochastic Calculus
Approach", International Journal of Business Studies, Vol
3, No 2. (co-authored).
- Hooper, V. J. (1996). "An Analysis of the Characteristics
Influencing the Competitiveness of Emerging Stock Markets: Implications
for South East Asia", New Zealand Journal of Business,
Special Issue: Trade and Investment in Asia, Vol 18, No. 1.
- Hooper, V. J. (1996). "The Association between the Degree
of Centralisation of Financial Decision-Making and Financial
Policy of Multinational Enterprises: Some Empirical Evidence",
International Journal of Business Studies, Vol. 4, No. 1.
- Hooper, V. J. (1998). "Volatility and Openess of Emerging
Markets: Some Empirical Evidence", Emerging Capital Markets:
Financial and Investment Issues. Edited by J. Choi and J. Doukas.
- Hooper, V. J. (1999) "World, Regional and Political Influences
Upon Asia Pacific Equity Market Returns", Australian Journal
of Management, Vol. 24, No.2 (co-authored).
- Hooper, V. J. (2000). "Regional Integration of National
Stock Markets", Asian Review of Accounting, Vol. 8, Special
Issue, pp. 55-65 (co-authored).
- Hooper, V. J. (2000). "The Impact of Liberalization and
Regionalism upon Capital Markets in Emerging Asian Economies",
International Finance Review, Vol. 1, pp. 199-235. (co-authored).
- Hooper, V. J (2001). "Regionalism, Political Risk and
Capital Market Segmentation in International Asset Pricing",
Journal of Economic Integration,Vol. 16, No. 3 (co-authored).
- Hooper, V. J. (2001). "Is Monetary Union Possible Outside
Europe?", International Finance Review, Vol. 2.
- Hooper, V. J. (2001). "Selecting Macroeconomic Variables
as Explanatory Factors of Emerging Stock Market Returns",
Pacific Basin Finance Journal, Vol. 9, (co-authored).
- Hooper, V. J. (2002). The Explanatory Power of Political
Risk in Emerging Markets, International Review of Financial
Analysis, Vol 11, (co-authored).
- Hooper, V. J. (2002). Regional Integration of Stock
Markets in Latin America, Journal of Economic Integration,
Vol 17, No. 4 (co-authored).
- Hooper, V. J. (2002). Multinational Capital Budgeting
and Finance Decisions, Critical Perspectives on the World
Economy (Routledge). Reprint.
- Hooper, V. J. (Forthcoming). "Multinational Financing
in High Political Risk Countries", in Global Risk Assessment,
Vol. 5, ed. Jerry Rogers.
Working Papers
Teaching Responsibilities
Administrative Responsibilities
Other Information
|