Publications
Professor
Palmer researches and publishes in the areas of international financial
markets, corporate foreign market entry strategies and sovereign debt.
Professor Palmer's publications have included:
“Surprise! Most
Blockbuster Jury Awards Are Ignored by the Stock Market,” (with Tom Sanders). Review of Law and Economics, Vol.
6, Issue 2, 2010, pp. 145-166
“Going
Concern Debt Ratios: Is the Firm Safe,” (with Tom Sanders), Corporate
Finance Review. Vol. 13, No. 3, November/December 2008, pp. 25 – 33.
"A
Model for Determining Mispricing of Sovereign Risk Loans," (with Barrett
and Sanders).
The Journal of International Financial Markets,
Institutions, and Money. 11 (2001), pp. 223-237
"A
Model for Diversifying International Loan Portfolios," (with Tom Sanders). The
Journal of Financial Services Research. Vol. 10, No. 4, December
1996, pp. 359-371.
"Corporate
Strategies for Asia Pacific Companies in Dealing with Europe's Single
Integrated Market." The Management Journal (Jurnal Pengurusan). Vol.
15, January 1996, pp. 27-43.
"Modeling
International Loan Portfolios Through Linear Programming
Discriminant Analysis," (with Fred Glover and Ken Gordon). The Journal of Policy Modeling. Vol. 15, No. 3, June
1993, pp. 297-312.
"The
International Commercial Loan Rate," (with Tom Sanders), Journal of
Economic Development. Vol. 17, No. 3, December 1992, pp. 181-195.
"The
Profile-analytic Classification Methodology Applied to the Management of
Country Risk in International Lending," (with Kenneth Gordon), Global
Finance Journal. Volume 2, No. 3/4 Fall/Winter 1991, pp. 181-196.
"A
Comparison of a Financial Institutions' View and a Market's View of Country
Creditworthiness," (with Kenneth Gordon), Journal of Financial Services
Research, Volume 2, June 1989, pp. 73-87.
"A
Profile-analytic Approach for Classifying Debt Reschedulings
in the Asia Pacific Region," (with Kenneth Gordon). Asia Pacific
Journal of Management, Volume 6, No. 2, April, 1989, pp. 254-266.
"The
External Indebtedness and Creditworthiness of Countries in The
East Asia and Pacific Region," (with Kenneth Gordon), Asia Pacific
Journal of Management, Volume 2, No. 1, October 1988, pp. 175-198.
"The
Application of Financial Ratio Analysis to Country Risk in the Asia Pacific
Region," (with Kenneth Gordon), Journal of Economics and International
Relations, Volume 2, No. 1, Spring 1988, pp. 3-21.
"The
Importance of Selected Financial Ratios in Assessing Country Creditworthiness
and the Potential for Financial Distress," (with Kenneth Gordon), Akron
Business and Economic Review, Volume 18, No. 1, Spring
1987, pp. 64-74.
"External
Indebtedness and Debt Servicing Problems of Developing Countries: A Financial
Profile of Debt Rescheduling and Non-rescheduling Countries Prior to Debt
Relief," (with Kenneth Gordon), Columbia Journal of World Business,
Volume 20, No. 1, Spring, 1985, pp. 37-45.
"Margin
Requirement Changes and Stock Market Activity," Business Studies,
Volume 10, No. 2, Fall 1971, pp. 49-54.
"The
Application of Psychological Testing to Entrepreneurial Potential," California
Management Review, Volume 13, No. 3, Spring 1971,
pp. 32-38.
"Money
Supply, Portfolio Adjustments and Stock Prices," Financial Analysts
Journal, Volume 26, No 4, July-August 1970, pp. 19-22.