| 2025 |
Teng, C., Xiang, Y., Li, S., McIver, R., Yu, P., & Gong, J. (2025). Hierarchical optimal configuration model and algorithm for counterterrorism resource allocation. Humanities and Social Sciences Communications, 12(1), 14 pages. DOI |
| 2025 |
Ozcelebi, O., McIver, R., & Kang, S. H. (2025). Dynamics of frequency connectedness between technology ETFs and uncertainty indices under extreme market conditions. Financial Innovation, 11(1), 1-33. DOI Scopus7 WoS5 |
| 2024 |
AlGhazali, A., Eddine Belghouthi, H., Mensi, W., Mclver, R., & Kang, S. H. (2024). Oil price shocks, sustainability index, and green bond market spillovers and connectedness during bear and bull market conditions. Economic Analysis and Policy, 84, 1470-1489. DOI Scopus12 |
| 2024 |
Li, B., Guo, F., Xu, L., McIver, R., & Cao, R. (2024). China's space sector, firm CSR and patent quality. Accounting, Auditing & Accountability Journal, 37(5), 1376-1402. DOI Scopus5 WoS4 |
| 2023 |
Dong, S., Xu, L., & McIver, R. P. (2023). Sustainability reporting quality and the financial sector: evidence from China. Meditari Accountancy Research, 31(5), 1190-1214. DOI Scopus27 WoS19 |
| 2023 |
Banerjee, R., Cavoli, T., McIver, R., Meng, S., & Wilson, J. K. (2023). Predicting long-run risk factors of stock returns: Evidence from Australia. Australian Economic Papers, 62(3), 377-395. DOI Scopus4 WoS3 |
| 2023 |
Jain, P., Maitra, D., McIver, R. P., & Kang, S. H. (2023). Quantile dependencies and connectedness between stock and precious metals markets. Journal of Commodity Markets, 30(100284), 1-29. DOI Scopus25 WoS21 |
| 2023 |
Hernandez, J. A., Hasan, M. Z., & McIver, R. P. (2023). Bitcoin, gold, and the VIX: short- and long-term effects of economic policy uncertainty. Applied Economics Letters, 30(6), 761-765. DOI Scopus14 WoS18 |
| 2022 |
Li, B., Xu, L., McIver, R. P., Liu, X., & Pan, A. (2022). Mixed-ownership reform and private firms' corporate social responsibility practices: evidence from China. Business & Society, 61(2), 389-418. DOI Scopus79 WoS74 |
| 2022 |
Rehman, M. U., Vo, X. V., McIver, R., & Kang, S. H. (2022). Sensitivity of US sectoral returns to energy commodities under different investment horizons and market conditions. Energy Economics, 108, 1-14. DOI Scopus17 WoS18 |
| 2022 |
Jiang, Z., Arreola Hernandez, J., McIver, R. P., & Yoon, S. M. (2022). Nonlinear dependence and spillovers between currency markets and global economic variables. Systems, 10(3, article no. 80), 1-19. DOI Scopus4 WoS4 |
| 2021 |
Kang, S., Hernandez, J. A., Sadorsky, P., & McIver, R. (2021). Frequency spillovers, connectedness, and the hedging effectiveness of oil and gold for US sector ETFs. Energy Economics, 99(105278), 1-16. DOI Scopus89 WoS82 |
| 2021 |
Arreola Hernandez, J., Kang, S. H., McIver, R. P., & Yoon, S. M. (2021). Network interdependence and optimization of bank portfolios from developed and emerging Asia Pacific countries. Asia-Pacific Financial Markets, 28(4), 1-35. DOI |
| 2021 |
Choi, K. H., McIver, R., Ferraro, S., Xu, L., & Kang, S. H. (2021). Dynamic volatility spillover and network connectedness across ASX sector markets. Journal of Economics and Finance, 45(4), 677-691. DOI Scopus34 WoS30 |
| 2021 |
Dong, S., Xu, L., & McIver, R. (2021). China's financial sector sustainability and 'green finance' disclosures. Sustainability Accounting, Management and Policy Journal, 12(2), 353-384. DOI Scopus49 WoS42 |
| 2021 |
Suleman, M. T., McIver, R., & Kang, S. H. (2021). Asymmetric volatility connectedness between Islamic stock and commodity markets. GLOBAL FINANCE JOURNAL, 49, 15 pages. DOI Scopus31 WoS32 |
| 2020 |
Li, B., Xu, L., McIver, R., Wu, Q., & Pan, A. (2020). Green M&A, legitimacy, and risk-taking: evidence from China's heavy polluters. Accounting and Finance, 60(1), 97-127. DOI Scopus96 WoS96 |
| 2020 |
McIver, R. P., & Kang, S. H. (2020). Financial crises and the dynamics of the spillovers between the U.S. and BRICS stock markets. Research in International Business and Finance, 54(101276), 1-17. DOI Scopus89 WoS80 |
| 2020 |
Mollik, A. T., Mir, M., McIver, R., & Bepari, M. K. (2020). Effects of audit quality and audit committee characteristics on earnings management during the global financial crisis - evidence from Australia. Australasian Accounting, Business and Finance Journal, 14(4), 85-115. DOI Scopus22 WoS14 |
| 2019 |
Kang, S. H., McIver, R. P., & Hernandez, J. A. (2019). Co-movements between Bitcoin and gold: a wavelet coherence analysis. Physica A: statistical mechanics and its applications, 536(120888), 1-9. DOI Scopus120 WoS111 |
| 2019 |
Wallace, D., & McIver, R. (2019). The effects of environmental announcements on exchange traded funds. Emerging markets finance and trade, 55(2), 289-307. DOI Scopus5 WoS5 |
| 2019 |
He, Y., Xu, L., & McIver, R. P. (2019). How does political connection affect firm financial distress and resolution in China?. Applied economics, 51(26), 2770-2792. DOI Scopus56 WoS50 |
| 2019 |
Banerjee, R., Gupta, K., & McIver, R. (2019). What matters most to firm-level environmentally sustainable practices: Firm–specific or country–level factors?. Journal of Cleaner Production, 218, 225-240. DOI Scopus49 WoS42 |
| 2019 |
Muhamat, A. A., & McIver, R. (2019). Linking governance qualities and stewardship attributes: findings from Malaysian takaful operators. Journal of Islamic accounting and business research, 10(5), 736-755. DOI Scopus7 WoS5 |
| 2017 |
Kang, S. H., McIver, R. P., & Yoon, S. M. (2017). Dynamic spillover effects among crude oil, precious metal, and agricultural commodity futures markets. Energy economics, 62, 19-32. DOI Scopus504 WoS466 |
| 2016 |
Xu, L., McIver, R. P., Shan, Y. G., & Wang, X. (2016). Governance and performance in China's real estate sector. Managerial finance, 42(6), 585-603. DOI Scopus27 WoS24 |
| 2016 |
Kang, S. H., McIver, R., & Yoon, S. M. (2016). Modeling time-varying correlations in volatility between BRICS and commodity markets. Emerging markets finance and trade, 52(7), 1698-1723. DOI Scopus47 WoS43 |
| 2013 |
Sturgeon, C., Nixon, I. J., Evans, D. B., McIver, R., & Parangi, S. (2013). Observation of clinically negative central compartment lymph nodes in papillary thyroid carcinoma DISCUSSION. SURGERY, 154(6), 1172-1173. WoS6 |
| 2013 |
Mciver, R. (2013). Measuring and managing federal financial risk, national bureau of economic research conference report, edited by deborah lucas. Economic Record, 89(286), 439-440. DOI |
| 2012 |
McIver, R. P. (2012). Global financial crisis and the changing geography and industrial composition of large, listed companies : evidence on China's ascent. Journal of business management, (6), 5-18. |
| 2012 |
Burrow, M., & McIver, R. P. (2012). The impact of changes to finance-major assessment structures on student engagement and success. International journal of teaching and learning in higher education, 24(1), 122-127. |
| 2011 |
Cavoli, T., McIver, R., & Nowland, J. (2011). Cross-listings and financial integration in Asia. ASEAN Economic Bulletin, 28(2), 241-256. DOI |
| 2011 |
Shan, Y., & McIver, R. (2011). Corporate governance mechanisms and financial performance in China: panel data evidence on listed non financial companies. Asia Pacific Busines Review, 17(3), 301-324. DOI Scopus101 WoS79 |
| 2011 |
Loch, A., Bjornlund, H., & McIver, R. (2011). Achieving targeted environmental flows: alternative allocation and trading models under scarce supply-lessons from the Australian reform process. Environment and Planning C: Government and Policy, 29(4), 745-760. DOI Scopus14 WoS7 |
| 2010 |
McIver, R. P., & Mollik, A. (2010). Bangladesh's banking sector : returned from financial crisis?. International journal of trade and global markets, 3(1), 82-98. DOI |
| 2009 |
Shan, Y. G., & McIver, R. P. (2009). Bad debts, ownership concentration, and board composition: evidence on the quality of corporate governance outcomes in China's listed non financial companies. Corporate ownership and control, 6(3), 104-116. DOI |
| 2009 |
McIver, R. P. (2009). China's national banking system: commercialisation and financial stability. International journal of economic policy and emerging economies, 2(4), 391-414. DOI Scopus2 |
| 2009 |
Shan, Y. G., & McIver, R. P. (2009). Bad debts, ownership concentration, and board composition: Evidence on the quality of corporate governance outcomes in China's listed non financial companies. Corporate Ownership and Control, 6(3 A), 104-116. Scopus2 |
| 2008 |
Keller, A., Westerholm, P. J., & McIver, R. P. (2008). The operation of a capital market imposed on a transition economy compared to that of its well-established peer: the Warsaw stock exchange versus France's Euronext. European journal of management and public policy, 5(2), 91-110. |
| 2008 |
McIver, R. P. (2008). Institutions, policies and outcomes: accounting and finance in transition. European journal of management and public policy, 5(2), 1-17. |
| 2008 |
Shan, Y., & McIver, R. (2008). Effectiveness of corporate governance structure: An alternative metric on the performance of listed Chinese companies. Corporate Board: role, duties and composition, 4(3), 34-43. DOI |
| 2006 |
Round, D. K., & McIver, R. P. (2006). Teaching third-degree price discrimination. Journal of Economic Education, 37(2), 236-243. DOI Scopus4 WoS4 |
| 2005 |
McIver, R. P. (2005). Asset management companies, state-owned commercial bank debt transfers and contingent claims : issues in the valuation of China's non-performing loans. Managerial Finance, 31(12), 11-28. DOI Scopus6 WoS4 |
| 1997 |
Shanahan, M., Findlay, C., Cowie, J., Round, D., McIver, R., & Barrett, S. (1997). Beyond the "input-output" approach to assessing determinants of student performance in university economics : implications from student learning centred research. Australian Economic Papers: Australian Economics Education Special Issue, 36(Supple.), 17-37. |
| - |
Kalev, P. S., McIver, R., Wallace, D., Wu, Z., & Xu, L. (n.d.). Trading Activity and Price Discovery of the Chinese Crude Oil Futures Contract: Evidence from High-Frequency Data. |
| - |
Yuan, G., McIver, R. P., & Burrow, M. (n.d.). Tax Aggressiveness, China's Corporate Tax Reforms, and Market Impact. SSRN Electronic Journal. DOI |