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EGALAXY RESEARCH

Our research centre is focused on investigating and developing new knowledge in the fields related to our services.
Our people are experienced in these fields to handle projects more effectively.

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AN EMPIRICAL STUDY OF SOE CORPORATE GOVERNANCE  ATTRIBUTES

Springer Nature

This book investigates corporate governance in emerging markets by taking cognizance of Vietnam’s idiosyncratic institutional (using its sovereign wealth fund as an investment and management proxy), economic, regulatory and corporate environments and the realities for developing an effective and sustainable business model, vis-à-vis the ownership structure and board of directors’ composition for better business performance.

Cover - Cybersecurity Risk Management An Enterprise Risk Management Approach 978-1-68507-4

CYBERSECURITY RISK MANAGEMENT - AN ERM APPROACH

Nova Science Publishers New York

This book addresses enterprise cybersecurity to raise awareness among businesses and the general public about the cyber landscape changes and challenges that are occurring with emerging threats that will affect individual and corporate information security.

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STATE ON BOARD! NAVIGATING CORPORATE GOVERNANCE IN EMERGING MARKET BUSINESS

Palgrave MacMillan

This book looks at the role of the State in the emerging market business. The State as an interceding economic actor is presented with a focus on business impacts. One of the challenges for many MNCs today comes from State intervention in business as many of them are more familiar with the free-market environment. The gist of the book is to investigate the “non-traditional” role of the State as a shareholder from that of a policymaker and regulator. We discuss the impacts of this shifting role and how investors and firms should deal with the challenges that come with it.

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CHINESE FINANCIAL MARKETS IN THE 2000S

Shanghai Academy of Social Sciences Press

The robust growth of the Chinese economy in the last three decades has brought about a parallel development to China’s financial system. This book presents the development of the Chinese financial system since 2000 highlighting its evolution and the important roles played by financial markets, financial institutions and financial instruments in facilitating the impressive economic growth of the country. This book also highlights and analyses the contemporary issues faced by the Chinese financial markets in the quest for modernisation and global financial integration.

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INNOVATION AND TECHNOLOGY FINANCE

Nova Science Publishers New York

We explore links between technological innovation and corporate value and the role of business and government in capital formation in the innovation sector. The contemporary financial and economic issues are presented from a theoretical and systematic evaluation of the sources of capital, funding process, risk management and capital markets for innovative firms.

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THE PROCESS OF ENTERPRISE RISK MANAGEMENT

Nova Science Publishers New York

This book discusses the concept of risk and a generic analytical risk management framework for decision-making. As the basic principles of risk management are intermeshed with the generally accepted global risk management framework, this warrants the discussion of the risk environments, namely, the financial systems and the enterprise risk landscapes. The corporate risk management process in the context of the characteristics of a firm and its inherent risk exposure are presented in the context of enterprise risk management strategies and their relevance, application and methods of manoeuvring.

Research & Publications: Clients

Sturdy, J. & Wang, J. 2010, A Comparative Study of Electric Vehicle Infrastructural Development in Australia and China.

Ho, B., Oh, K. B. & Wang, R. 2010, Measuring Production and Marketing Efficiency Using Grey Relation Analysis and Data Envelopment Analysis.

Ho, B. & Oh, K. B. 2010, An Empirical Study on Use of E-Security Seals in E-Commerce.

Sturdy, J. 2009, Economic Growth and Labour Demand for Australian Engineers. 

Lau, J. & K. B. Oh 2018, An Empirical Study of Risk Behaviour of Malaysian Banks: Before, During & Post GFC.

Hoang, G. 2016, Government in Business – Empirical Evidence from Vietnam.

Research & Publications: List

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ACN 160 661 558

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