Developing a stress testing framework based on market risk models C Alexander, E Sheedy Journal of Banking & Finance 32 (10), 2220-2236, 2008 | 216 | 2008 |
Developing a stress testing framework based on market risk models C Alexander, E Sheedy Journal of Banking & Finance 32 (10), 2220-2236, 2008 | 216 | 2008 |
The Professional Risk Managers' Handbook Series C Alexander, E Sheedy PRMIA, 2010 | 124 | 2010 |
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 | 118 | 2018 |
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 | 58 | 2017 |
Marketing derivatives: a question of trust E Sheedy International Journal of Bank Marketing 15 (1), 22-31, 1997 | 54 | 1997 |
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 | 38 | 2019 |
The influence of risk governance on risk outcomes-international evidence A Lingel, EA Sheedy Macquarie Applied Finance Centre Research Paper, 2012 | 38 | 2012 |
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, 281-300, 2021 | 29 | 2021 |
Correlation in currency markets a risk-adjusted perspective E Sheedy Journal of International Financial Markets, Institutions and Money 8 (1), 59-82, 1998 | 29 | 1998 |
Empirical analysis of risk culture in financial institutions: Interim report E Sheedy, B Griffin Sydney, Australia: Macquarie University, 2014 | 26 | 2014 |
Incentives and culture in risk compliance E Sheedy, L Zhang, KCH Tam Journal of Banking & Finance 107, 105611, 2019 | 24 | 2019 |
Risk management behaviour in banking E Sheedy, M Lubojanski Managerial Finance 44 (7), 902-918, 2018 | 24 | 2018 |
Applying an agency framework to operational risk management EA Sheedy Centre for Studies in Money, Banking and Finance, Macquarie University, 1999 | 21 | 1999 |
ASSET‐ALLOCATION DECISIONS WHEN RISK IS CHANGING E Sheedy, R Trevor, J Wood Journal of Financial Research 22 (3), 301-315, 1999 | 20 | 1999 |
ASSET‐ALLOCATION DECISIONS WHEN RISK IS CHANGING E Sheedy, R Trevor, J Wood Journal of Financial Research 22 (3), 301-315, 1999 | 20 | 1999 |
Model-based stress tests: linking stress tests to var for market risk C Alexander, EA Sheedy MAFC Research Paper, 2008 | 18 | 2008 |
Model-based stress tests: linking stress tests to var for market risk C Alexander, EA Sheedy MAFC Research Paper, 2008 | 18 | 2008 |
Model-based stress tests: linking stress tests to var for market risk C Alexander, EA Sheedy MAFC Research Paper, 2008 | 18 | 2008 |
Corporate use of derivatives in Hong Kong and Singapore: A survey EA Sheedy Macquarie Applied Finance Centre Research Paper, 2001 | 18 | 2001 |