Assessing the Carbon Footprints of Income Growth, Green Finance, Institutional Quality and Renewable Energy Consumption in Emerging Asian Economies
Pages 1-27
Tze-Haw Chan, Abdul Saqib & Agustin Isnaini Nuzula
Are Malaysian IPO Investors Influenced by Sentiment Factors or Fundamental Factors?
Pages 29-58
Evelyn Yee-Foon Kong & Kin-Boon Tang
Stock Market Reactions to COVID-19 Announcement: Developed Versus Emerging Markets and Large Versus Small Firms
Pages 59-73
Siew Peng Lee & Mansor Isa
The Role of Institutional Investors in The Indian Stock Markets During the Pandemic
Pages 75-99
Nikunj Patel, Aakruti Patel & Bhavesh Patel
Does Uncertainty Indices Impact the Cryptocurrency Market?
Pages 101-114
Li Yi Thong, Ricky Chee Jiun Chia & Mohd Fahmi Ghazali
Corporate Risk-Taking and Cash Holdings: The Moderating Effect of Investor Protection
Pages 1-23
Fatima Saleh Abd Almajeed Al-Hamshary; Akmalia M. Ariff; Khairul Anuar Kamarudin & Norakma Abd Majid
Impacts of COVID-19 and Related Government Policies on the Returns of the US Dollar Against the Malaysian Ringgit
Pages 25-45
Chee-Hong Law & Chee-Lip Tee
Determinants of Dividend Policies in Shariah Compliant and Non-Shariah Compliant Firms: A Panel Quantile Approach
Pages 47-58
Mohd Ashari Bakri & Chia Chia Yong
Weak Form of Call Auction Prices: Simulation Using Monte Carlo Variants
Pages 59-71
Dinabandhu Bag & Saurabh Goel
The Effects of Lockdown, Economic Stimulus Packages and National Recovery Plan Announcements on the Malaysian Stock Market
Pages 73-84
Kok Jun Tan & Mohd Edil Abd Sukor
Volume 31, Issue 2 pp. 1-101 (2023)
Negative Social Media Sentiments and Capital Structure
Pages 1-22
Samuel Jebaraj Benjamin, Zhuoan Feng & Pallab Kumar Biswas
COVID-19 Dynamics and Financing of Cash Flow Shortages: Evidence from Firm-Level Survey
Pages 23-53
Yusuf Adeneye, Fathyah Hashim, Yusuf Babatunde Rahman & Normaizatul Akma Saidi
CSR Performance and Profitability of the Banking Industry in Southeast Asia Nations (ASEAN)
Pages 55-68
Berto Usman, Ridwan Nurazi, Intan Zoraya & Nurna Aziza
Financial Performance as a Determinant of The Cost of Capital: An Empirical Study on Listed Companies in India
Pages 69-87
Naseem Ahamed & Nitya Nand Tripathi
The Performance of ESG ETFs in the U.S.
Pages 89-101
Gerasimos G. Rompotis
The Effects of Market Strength, Information Asymmetry, and Industrial Characteristics on Malaysian Firms’ CAR During COVID-19 Pandemic
Pages 1-15
Saw Imm Song,Jennifer Tunga Janang, Erimalida Yazi, Fareiny Morni
Board Governance, Dividend Payout and Executive Compensation in Malaysian Firms
Pages 17-35
Ravichandran K. Subramaniam, Khakan Najaf, Murugasu Thangarajah
Impact of Governance Quality on Default Risk of Socially Responsible Firms: International Evidence
Pages 37-49
Bolaji Tunde Matemilola, Suleiman Ahmed Badayi, Amin Noordin Bany-Ariffin
An Empirical Study on Co-Integration and Causality Among GCC Stock Markets
Pages 51-64
Vikram Mohite, Vibha Bhandari
Currency Carry Trades and Stock Market Returns in Africa
Pages 65-83
Godfred Aawaar, Eric Nkansah, Irrshad Kaseeram
Volume 30, Issue 2 pp. 1-106 (2022)
Malaysian Domestic Bond Market Experience: Lessons for Emerging Economies
Pages 1-18
Meng-Wai Lee, Michael Meow-Chung Yap, Kim-Leng Goh
Asymmetric Real Exchange Rate and Foreign Direct Investment Determinants: An Empirical Study of Malaysia
Pages 19-37
Hock Tsen Wong
Actively Managed ETFs: A Performance Evaluation
Pages 39-61
Gerasimos Georgiou Rompotis
Digital Cashless Payments and Economic Growth: Evidence from CPMI Countries
Pages 63-89
Yi-Xun Pang, Sin-Huei Ng, Wei-Theng Lau
Efficiency and Competition in QISMUT Banking Sector
Pages 91-106
Noor Shazreen Mortadza, Rossazana Ab-Rahim
Interaction Impact of Monetary Policy and Inflation on Corporate Debt in Developing Nations
Pages 1-16
Bolaji Tunde Matemilola & Mohamed Azali
Does Entropy Index Explain the Determinant of Capital Market Integration in ASEAN?
Pages 17-39
Ignatius Roni Setyawan & Buddi Wibowo
ASEAN-5 and Indian Financial Market Linkages: Evidence from Cointegration and Factor Analysis
Pages 41-58
Ritesh Patel
Noise Trader Risk-Evidence from China’s Stock Market
Pages 59-72
Liang Ye & Yeng-May Tan
Volume 29, Issue 2 pp. 1-54 (2021)
Stock Market Reaction to Political Regime Change in Malaysia
Pages 1-11
Fareiny Morni & Erimalida Yazi
Effects of Venture Capital, R&D, and Technology on IPO Underpricing: Evidence from China
Pages 13-28
Md. Jahidur Rahman & Mingyang Yang
Effect of Minimum Tick Size Policy on Price Efficiency and Execution Cost
Pages 29-41
Syamsul Idul Adha & A. Sakir
Exchange Rate Dependency Between Emerging Countries-Case of Black Sea Countries
Pages 43-54
Muhammad Mar’i & Turgut Tursoy
Corporate Governance in Australia: Share Repurchases under an Imputation Tax System
Pages 1-23
Hussein Abedi Shamsabadi, Byung S. Min, Imen Tebourbi & Mohammad Nourani
Do Heterogeneous Boards Promote Firm Innovation? Evidence from Malaysia
Pages 25-47
Sa’adiah Munir, Gary John Rangel, Ravichandran K. Subramaniam & Mohd. Zulkhairi bin Mustapha
We Bring You Capital and Job – Foreign Investment and Employment in Malaysia
Pages 49-63
Amy Dict-Weng Kwan & Tuck-Cheong Tang
Global and Local Commodity Prices: A Further Look at the Indonesian Agricultural Commodities
Pages 65-76
Pradita Nareswari & Sigit S. Wibowo
Volume 28, Issue 2 pp. 1-71 (2020)
Performance of ProShares Triple-Leveraged Equity ETFs
Pages 1-18
Ramesh Adhikari, Humnath Panta & M. Kabir Hussan
Max-Effect in the Indonesian Market
Pages 19-27
Leo Julianto & Irwan Adi Ekaputra
Predicting SMEs Failure: Logistic Regression vs Artificial Neural Network Models
Pages 29-41
Juraini Zainol Abidin , Nur Adiana Hiau Abdullah & Karren Lee-Hwei Khaw
Stock Markets’ Integration in Post Financial Crisis Era: Evidence from Literature
Pages 43-71
Muhammad Hanif & Ariba Sabah
Financial Openness and Trade Openness Nexus: Empirical Evidence from Global Data
Pages 1-18
Xiao-Jun Goh, Wen-Qi Tong & Tuck-Cheong Tang
Asymmetric Effects of Exchange Rates on Stock Prices in G7 Countries
Pages 19-33
Arash Habibi & Chin Lee
The Malaysian Domestic Bond Market: Growing into its Rightful Role
Pages 34-52
Meng-Wai Lee, Kim-Leng Goh & Michael Meow-Chung Yap
Exchange Rate Movements, Earnings Management and Stock Returns in Malaysia
Pages 53-68
Bao Quan Lock , Ei Yet Chu , Saw Imm Song & Lian Yin Lee
Volume 27, Issue 2 pp. 1-102 (2019)
Adopting a Structured Abstract Design to More Effectively Catch Reader Attention: An Application of the Pitching Research® Framework
Pages 1-13
Robert W. Faff
Institutional Quality, Tax Avoidance, and Analysts’ Forecast: International Evidence
Pages 15-35
Akmalia M. Ariff & Khairul Anuar Kamarudin
An Empirical Study of Herding Behaviour in China’s A-Share and B-Share Markets: Evidence of Bidirectional Herding Activities
Pages 37-57
Oi-Ping Chong, A.N. Bany-Ariffin, Annuar Md Nassir & Junaina Muhammad
The Effect of Financial Constraints on Audit Fees
Pages 59-87
Samuel Jebaraj Benjamin
Effect of Standardization of Trading Board Lot on Abnormal Liquidity in Malaysian Stock Market
Pages 89-102
Nor Elliany Hawa Ibrahim, Kamarun Nisham Taufil Mohd & Karren Lee-Hwei Khaw
Volume 26, Issue 1 pp. 1-72 (2018)
Political Uncertainty and the Greek Stock Market over the Period 2011-2015
Pages 1-18
Gerasimos G. Rompotis
Interaction Effects of Country-Level Governance Quality and Debt on Stock Returns in Developing Nations
Pages 19-35
Bolaji Tunde Matemilola, Bany-Ariffin A. N. & Annuar Md. Nassir
The Role of Country-Level Differences in Influencing ASEAN Firms’ Cross-Border Mergers and Acquisitions (CBMAs) Success
Pages 36-55
Nurhazrina Mat Rahim & Ruhani Hj. Ali
The Relative Importance of Cash Flow News and Discount Rate News at Driving Stock Price Change
Pages 56-72
Mohsen Jafarian, Fauzias Mat Nor & Izani Ibrahim
Volume 26, Issue 2 pp. 1-69(2018)
Frequency and Sequence: Convertible Debt Issuance Announcement Effect on Stock Returns
Pages 1-20
Sri Noor Aishah Binti Mohd Salleh & Karren Lee-Hwei Khaw
Stock Market Liberalization Impact on Sectoral Stock Market Return in Malaysia
Pages 21-31
Subashini Maniam & Chin Lee
Behavioural Asset Pricing Determinants in a Factor and Style Investing Framework
Pages 32-52
Jasman Tuyon & Zamri Ahmad
Do Firm Size And Value Affect Shareholder Returns in Malaysia?
Pages 53-69
Pheng Bian Ong, Mohamed Hisham Hanifa & Mansor Mohd Isa
Volume 25, Issue 1 pp. 1-62 (2017)
Substantial Shareholders and Their Trading Behaviour around Lock-Up Expiry: Evidence from Emerging Markets
Pages 1-18
Abdolhossein Zameni & Othman Yong
Does Interest Rate Still Matter in Determining Exchange Rate?
Pages 19-25
Wai-Mun Har, Ai-Lian Tan, Chong-Heng Lim & Chai-Thing Tan
Momentum and Investor Sentiment: Evidence from Asian Stock Markets
Pages 26-42
Shangkari V. Anusakumar & Ruhani Ali
The Relationship of Crude Palm Oil Spot-Futures under Inflationary Expectation in Gold Market
Pages 43-62
You-How Go & Wee-Yeap Lau
Volume 25, Issue 2 pp. 1-64 (2017)
Investigation of Herding Behaviour in Developed and Developing Countries: Does Country Governance Factor Matters?
Pages 1-14
Ahmad Fawwaz Mohd Nasarudin, Bany Ariffin Amin Noordin, Siong Hook Law & Mohd Hisham Yahya
Macroeconomic Drivers of Singapore Private Residential Prices: A Markov-Switching Approach
Pages 15-31
Gary John Rangel & Jason Wei Jian Ng
The Determinants of Financial Development in the Republic of Yemen: Evidence from the Principal Components Approach
Pages 32-48
Ramez Abubakr Badeeb & Hooi Hooi Lean
Dynamic Linkages between Newly Developed Islamic Equity Style Indices: Is Growth Style More Influential Than Value Style?
Pages 49-64
Shahrin Saaid Shaharuddin, Wee-Yeap Lau & Tien-Ming Yip
Volume 24, Issue 1 pp. 1-83 (2016)
Does Manager’s Perceived Competition Affect the Capital Structure Decisions of Malaysian Firms? A Text Mining Approach on the Chairman’s Statement
Pages 1-15
Hanandewa & Fauzias Mat Nor
Effect of Geographical Diversification on Informational Efficiency in Emerging Countries
Pages 16-37
Suan Poh & Chee-Wooi Hooy
Portfolio Diversification Strategy in the Malaysian Stock Market
Pages 38-67
Raymond Leh Bin Ling & Jeng Yuan Chia
A Survey of Literature on Islamic Equity Style Investing and its Applications
Pages 68-83
Shahrin Saaid Shaharuddin, Wee-Yeap Lau & Rubi Ahmad
Volume 24, Issue 2 pp. 1-71 (2016)
The Performance of Government-Linked Companies in Malaysia
Pages 1-13
Mansor Isa & Siew-Peng Lee
Do Changes in Index Composition Affect the Stock Prices and Trading Volume? The Case of a Shariah-Compliant Index in Malaysia
Pages 14-39
Sin-Huei Ng & Xing Zhu
Role of Cash Flows in Firm-Level Leveraged Returns within Industry in Bursa Malaysia
Pages 40-58
Wei Theng Lau, Siong Hook Law, Annuar Md Nassir & Tamat Sarmidi
Explosive Bubbles and Cyclical Linkages of the Asia Pacific Housing Prices
Pages 59-71
Tze-Haw Chan, Jeng-Hoong Woon & Ruhani Hj. Ali
Volume 23, Issue 1&2 pp. 1-95 (2015)
Municipal Credit Ratings and Unfunded Pension Liabilities: New Evidence?
Pages 1-24
Fahad Alshathri, J. Richard Aronson & Nandkumar Nayar
Impact of Lock-Up Provision on Two IPO Anomalies in the Immediate Aftermarket
Pages 25-39
Norliza Che-Yahya, Ruzita Abdul-Rahim & Rasidah Mohd-Rashid
Performance and Trading Characteristics of Exchange Traded Funds: Developed vs Emerging Markets
Pages 40-64
Aftab Parvez Khan, Obiyathulla Ismath Bacha & Abul Mansur Mohammed Masih
The Impact of Institutional Investors on Real and Accrual Earnings Management around IPO: Evidence from Malaysian Emerging Market
Pages 65-83
Sani Hussaini Kalgo, Bany Ariffin Amin Noordin, Hairul Suhaimi Bin Nahar & Siti Zaida Binti Turmin
Informational Content of Yield Spread: Predicting Economic Growth of Malaysia
Pages 84-95
Joanne Yen-Ei Kek & Kim-Leng Goh
Volume 22, Issue 1&2 pp. 1-87 (2014)
Do Family-Controlled Malaysian Firms Create Wealth for Investors in the Context of Corporate Acquisitions?
Pages 1-26
Lynn, Ling Yew Hua, John Evans, Junaid Shaikh & Md Shibley Sadique
Trade Competitiveness Determinants in Emerging Markets and Developed Countries
Pages 27-40
Amirhossein Karbalaei, Mazila Md-Yusuf & Catherine S.F.Ho
Impact of Working Capital Management on the Profitability of Shariah-Compliant and Non-Shariah Firms: The Case of Malaysia
Pages 41-58
Feras Fathi Albdwy, Mohamed Eskandar Shah & Syed Salman
Daily Traders’ and Instituitional Investors’ Wealth Effect upon Sukuk and Conventional Bond Announcements: A Case Study of Malaysian Firms Using Event-Study Methodology and Wavelet Analysis
Pages 59-82
Mohamed Hisham Hanifa, Mansur Masih & Obiyathulla Bacha
Volume 21, Issue 1&2 pp. 1-87 (2013)
Financial Convergence of the Asia Pacific Developing Economies
Pages 1-12
Juliana Ibrahim & Muzafar Shah Habibullah
Controlling Shareholders and the Implied Cost of Equity of Malaysian Firms
Pages 13-37
Swee-Sim Foong, Chee-Wooi Hooy & Guat-Khim Hooy
Introduction of the Single-Tier Corporate Tax System: Its Effect on Share Price
Pages 39-66
Aslam Selamat, Mohamed Ariff & Shamsher Mohamad
Is the Long Term Profit Rate of Malaysian Sukuk a Good Predictor of Short Term Profit Rate?
Pages 67-87
Adesina-Uthman Ganiyat Adejoke, Taufiq Hassan, Shamsher Mohamad & M. Kabir Hassan
Volume 20, Issue 1&2 pp. 1-76 (2012)
Do Malaysian Islamic Banks Manage Earnings through Profit Equalisation Reserve?
Pages 1-20
Raudha Md. Ramli, S.Shahida & Abdul Ghafar Ismail
Determinants of Sectoral Cost of Equity for an Emerging Market: The Case of Malaysian Firms
Pages 21-41
Foong Swee Sim & Goh Kim Leng
Do ‘Sin Stocks’ Deprive Islamic Stock Portfolios of Diversification? Some Insights from the Use of MGARCH-DCC
Pages 43-64
Nazrol Kamil Mustaffa Kamil, Obiyathulla Ismath Bacha & Abul Mansur Mohammed Masih
Empirical Analysis of the Causality between Indian and US Stock Markets’ Conditional Volatility: Further Evidence
Pages 65-76
Rakesh Kumar & Raj S Dhankar
Volume 19, Issue 1&2 pp. 1-87 (2011)
Trade-off Theory of Optimal Capital Structure and Adjustment to Long-run Target: Evidence from Dynamic Panel Data
Pages 1-14
B.T. Matemilola, A.N. Bany-Ariffin & W.N.W. Azman-Sain
Family and Government-Controlled Firms and their Recognition of Goodwill Impairment
Pages 15-32
Noraini Omar, Norman Mohd-Saleh & Mohd Fairuz Mohd Salleh
Innovative Islamic Hedging Products: Application of Wa’d in Malaysian Banks
Pages 33-51
Saadiah Mohamad, Azlin Alisa Ahmad & Shahida Shahimi
How Market Makers Affect Efficiency: Evidence that Markets are Becoming Less Efficient
Pages 53-72
Kurt W. Rotthoff
A Structural Modeling of International Parities between Malaysia and China in the Liberalisation Era
Pages 73-87
Chan Tze-Haw & Hooy Chee-Wooi
Volume 18, Issue 1&2 pp. 1-75 (2010)
Information Asymmetry and Earnings Management: Causes of Inefficient Investment in Malaysia
Pages 1-21
Ei Yet Chu & Saw Imm Song
How Well Do Monetary Fundamentals Forecast Exchange Rates in Developing Economies?
Pages 23-43
Tamat Sarmidi
Initial Premium, Flipping Activity and Opening-Day Price Spread of Malaysian IPOs
Pages 45-61
Othman Yong
Dividend Announcements and Stock Market Reaction: Further Evidence
Pages 63-75
Mohamad Jais, Bakri Abdul Karim, Kenta Funaoka & Azlan Zainol Abidin
Volume 17, Issue 1&2 pp. 1-102 (2009)
Financial Efficiency of SMEs in the Northern Corridor Economic Region: A DEA Analysis
Pages 1-19
Hooy Chee Wooi, Hooy Guat Khim & Tajul Ariffin Masron
Assessing the Impact of Mergers and Acquisitions on Bank Cost Efficiency
Pages 21-42
Fadzlan Sufian & Muzafar Shah Habibullah
Determinants of Credit Risk in Malaysian Islamic Banks
Pages 43-60
Siti Norakinah SH Ahmad Tajuddin, Shahida Shahimi & Mohamad Abdul Hamid
Market Consequences of Earnings Quality for Malaysian Listed Companies
Pages 61-78
Radziah Abdul Latiff & Fauziah Md Taib
Benefits of Co-trading: Evidence from Australian and Singapore Stock Exchanges
Pages 79-102
Charlie Charoenwong & Chee Ng
Volume 16, Issue 1 pp. 1-63 (2008)
Pages 1-11
Izani Ibrahim & Noryati Ahmad
Stock Market Integration across National Boundaries: Causes and Impediments
Pages 13-26
Chee-Wooi Hooy & Kim-Leng Goh
Initial Performance of IPOs listed on MESDAQ
Pages 27-43
Othman Yong
Corporate Take-overs in Malaysia: Determinants of Post Acquisition Values of Acquiring Firms
Pages 45-63
Saw-Imm Song, Ruhani Ali & Subramaniam Pillay
Volume 16, Issue 2 pp. 1-73 (2008)
Fundamentals of Exchange Rate Determination: Malaysia and the ASEAN Emerging Countries
Pages 1-23
Catherine S.F. Ho & M. Ariff
Financial Practice in Malaysia: Risks Assessments in Capital Budgeting
Pages 25-38
Nur Adiana Hiau Abdullah
Initial Returns of Shariah-Compliant IPOs in Malaysia
Pages 39-52
Ruzita Abdul Rahim & Othman Yong
Corporate Finance Practices in Malaysia: A Survey Analysis
Pages 53-73
Mansor Isa
Volume 15, Issue 1&2 pp. 1-101 (2007)
Regulations and Underpricing of IPOs
Pages 1-27
Kamarun Nisham Taufil Mohd
Fama-French Model Explanations of the Stock Market Anomaly
Pages 29-51
Ruzita Abdul-Rahim
Real Financial Integration among the East Asian Economies: A SURADF Panel Approach
Pages 53-71
Chan Tze-Haw, Ahmad Zubaidi Baharumshah & Evan Lau
The Integration Effect of Ownership Structure and Board Governance on Dividends: Evidence from Malaysian Listed Firms
Pages 73-101
Fauzias Mat Nor & Zunaidah Sulong
Volume 14, Issue 1&2 pp. 1-80 (2006)
Determinants of Asset Write-offs in Malaysia: The Economic Crisis Effect
Pages 1-16
Norman Mohd Saleh & Romlah Jaffar
The Integration of Residential Real Estate Market and Stock Market: Assessment Using the ARDL Approach
Pages 17-26
Nur Adiana Hiau Abdullah & Wong Woei Chyuan
Estimating and Forecasting Volatility of the Malaysian Stock Market Using a Combination of Kalman Filter and GARCH Models
Pages 27-42
Cheah Lee Hen & Zainudin Arsad
Linking Bank Efficiency and Share Price Performance: Evidence from the Singaporean Banking Industry
Pages 43-64
Fadzlan Sufian & Muhd- Zulkhibri Abdul Majid
Stock Market Linkages in the ASEAN-5 Region and Implications on Seasonality Effect
Pages 65-80
Ruzita Abd-Rahim, Abu Hassan Shaari Mohd. Nor & Dwipraptono Agus Harjito
Volume 13, Issue 1&2 pp. 1-79 (2005)
Ownership Structure, Motives and Corporate Takeover Performance of Malaysian Public Listed Firms
Pages 1-19
Saw-Imm Song, Ruhani Ali & Subramaniam Pillay
Operating Performance of Initial Public Offerings in Malaysia
Pages 21-32
Zamri Ahmad & Lim Suh Mei
Gearing Differences Across Malaysian Public Listed Companies
Pages 33-46
Sharifah Raihan Syed Mohd Zain
Price Limits Performance: Evidence from the Kuala Lumpur Stock Exchange
Pages 47-64
Fauzias Mat Nor & Zulkifli Deraman
Financial Openness and Bank Development: The Experience of East Asia
Pages 65-79
Noor A. Ghazali & Kent Matthews
Volume 12, Issue 1&2 pp. 1-77 (2004)
Security Analysts’ Monitoring Activity: Does it Reduce Agency Costs?
Pages 1-16
Ahmad Rizal Mazlan & Nur Adiana Hiau Abdullah
Response Asymmetries in the Linkages of Asean-5 Equity Prices
Pages 17-34
Mansor H. Ibrahim
Long-Run Trade Competitiveness and Exchange Rate Misalignments in ASEAN-5
Pages 35-56
Kwek Kian-Teng & Cho Cho-Wai
Bank Loan Loss Provisioning: An Examination of Capital Management, Income Smoothing and Cyclicality Hypotheses
Pages 57-77
Roselee Shah Shaharudin & Abd. Ghafar Ismail
Volume 11, Issue 1&2 pp. 1-115 (2003)
Daily Returns Seasonality and Impact of Stock Index Futures: Evidence From The Kuala Lumpur Stock Exchange
Pages 1-22
Azhar Mohamad, Obiyathulla Ismath Bacha & Mansor Ibrahim
Dynamic Financial Linkages of Japan And Asean Economies: An Application of Real Interest Parity
Pages 23-40
Chan Tze Haw, Khong Wye Leong Roy & Zubaidi Baharumshah
Speculative Influences In The Stock Market: A Case Study of Kuala Lumpur Stock Exchange
Pages 41-63
Fatimah Wati Ibrahim & Rahana Abd Rahman
Testing PPP Hypothesis In Major Asean Economies: Does Data Generating Process Matter?
Pages 65-80
Hock-Ann Lee, Kian-Ping Lim & M. Azali
The Effect of Term Spreads On Malaysian Commercial Bank Activity
Pages 81-115
Rasidah Mohd. Said
Volume 10, Issue 1 pp. 1-177 (2002)
Are Values of Malaysian Companies Affected By Foreign Exchange Rate Changes?
Pages 1-21
Subramaniam S.Pillay & Gary Rangel
Capital Structure and Market Power Interaction: Evidence From Malaysia
Pages 23-40
I. M. Pandey
Multi- Index CAPM vs APT: A Comparison Of Two Asset Pricing Models For Malaysia
Pages 41-66
Ch’ng Hock Khoon & G. S Gupta
Portfolio Formation Using Islamic- Approved Stock in Malaysia
Pages 67-86
Mohd Hasimi Yaacob & Noor Azuddin Yakob
Mint Determination of Firm Debt, Ownership Structure on Firm Performance: A Methodology Review
Pages 87-114
Augustinus Setiawan S & Fauziah M. Taib
Price Randomness, Fundamental Factors, and Stock Market Contrarian Strategy: Further Evidence on Malaysian Stock Market
Pages 115-137
Fauzias Mat Nor, Lai Ming Ming & A. Manaf bin Hussin
Price Reaction to Stock Repurchase: Evidence from KLSE
Pages 139-177
Lim Eng Hwa & Obiyathulla Ismath Bacha
Volume 10, Issue 2 pp. 1-75 (2002)
Domestic Money, Foreign Money and the Performance of Malaysian Common Stocks: A Long Run Equilibrium Analysis
Pages 1-20
Noor A Ghazali & Soo-Wah Low
Income Smoothing and Market Perception of Accounting Numbers: An Empirical Investigation of Extraordinary Items
Pages 21-42
Wan Adibah Wan Ismail, Khairul Anuar Kamarudin & Muhd Kamil Ibrahim
Announcements Effect of Corporate Name Change: Failed vs Non-Failed Firms
Pages 43-60
Zulkarnain Muhamad Sori, Shamser Mohamad, Annuar Md Nassir & Mohamad Ali Abdul Hamid
Financial Goals Choices and Performance of Firms in Malaysia
Pages 61-75
I. M. Pandey
Volume 9, Issue 1&2 pp. 1-173 (2001)
Stock Price Behaviour Of Malaysian Rights Issue On The Announcement And Ex-Right Dates
Pages 1-20
Norhana Salamudin
Accounting Earnings And Share Revaluation: Further Exploration
Pages 21-48
Cheng Fan Fah, M. Ariff & Shamsher M.
Causal Relationship Between Local and Foreign Tranche Stock Returns in the Malaysian Securities Market
Pages 49-65
Kok Kim Lian & Goh Kim Leng
The Causes of Stock Market Volatility in Malaysia
Pages 67-81
Izani Ibrahim & Mohd. Abdullah Jusoh
Economic Value-Added in the Malaysian Listed Companies: A Preliminary Evidence
Pages 83-110
Mansor Isa & Walter Lo
Further Evidence On The Relationship Between Board Ownership And Firm Performance in Malaysia
Pages 111-128
Ruhani Ali
The Relationship between Stock Returns and Inflation: Evidence from Malaysia and Indonesia
Pages 129-154
M. Shabri Abd. Majid, Ahamed Kameel Meera, Hassanuddeen Abdul Aziz & Mansor Ibrahim
Team Spread and Stock Market Returns: The Information Content of the Malaysian Government Securities Yields
Pages 155-173
Noor A. Ghazali & Rasidah Mohd. Said
Volume 8, Issue 1&2 pp. 1-145 (2000)
Auditor Switch Decision of Malaysian Listed Firms: Test of Determinants and Wealth Effect
Pages 1-23
Huson Joher, M.Ali, Annuar M.N. & M. Ariff & Shamsher M
Financial Integration and Diversification Among Asean Equity Markets: A Malaysian Perspective
Pages 25-40
Mansor H.Ibrahim
The Relationship between Stock Price and Trading Volume: Evidence from Malaysia
Pages 41- 61
Ruhani Ali & Ahmadu Umaru Sanda
Forecasting Sectoral Indices in The Kuala Lumpur Stock Exchange
Pages 63-88
Goh Kim Leng & Gui Hui Keng
An Empirical Analysis of Bank Stock Volatility and Trading Volume: Malaysian Evidence
Pages 89-107
Wan Mansor Wan Mahmood
Regulatory Intervention as An Explanation for the Initial Public Offer Premiums of Firms Listed on The Main and Second Board of The Kuala Lumpur Stock Exchange
Pages 109-122
Shamsher Mohamad & Annuar Md Nasir
Seasonal Anomalies of Stocks on The Kuala Lumpur Stock Exchange Second Board
Pages 123-145
Foo May Wand & Kok Kim Lian
Volume 7, Issue 1&2 pp. 1-131 (1999)
Issues in Stock Index Futures Introduction and Trading. Evidence From the Malaysian Index Futures Market
Pages 1-46
Abdul Jalil Ibrahim, Khairuddin Othman & Obiyathulla Ismath Bacha
Significance of Board of Listing And Type of Issue on the Under-Pricing and After-Market Performance of Malaysian IPOs
Pages 47-74
Othman Yong, Puan Yatim & Ros Zam Zam Sapian
Financial Liberalisation And Stock Market Volatility in Malaysia: A GARCH Approach
Pages 75-86
Mansor H. Ibrahim
ARCH and GARCH Based Tests on The Malaysian Stock Market, Interest Rate And Exchange Rate Before And During The Currency Turmoil
Pages 87-99
Fauzias Mat Nor, Noor Azuddin Yakob & Zaidi Isa
An Examination Of The Relationship Between Returns And Trading Volume In The Currency Futures Market: A Linear And Non-Linear Approach
Pages 100-118
Wan Mansor Wan Mahmood
An Empirical Analysis Of The Fisherian Hypothesis On The Malaysian Equity Market
Pages 119-131
Noor A. Ghazali & Rodoni Ahmad
Volume 6, Issue 1&2 pp. 1-99 (1998)
Performance of Unit Trusts in An Emerging Market: A Case Study of Malaysia
Pages 1-17
Ch’ng Teng Leong & Kok Kim Lian
The Influence of Industry, Size and Earnings on Capital Structure of Malaysian Listed Companies
Pages 19-39
Muhammad Mahmud
Inter-Sectoral Linkages and Risk Diversification in the Kuala Lumpur Stock Exchange
Pages 41-54
Tan Hui Boon
The Examination of the Underpricing of Initial Public Offerings (IPOs) in Malaysia: 1990-1995
Pages 55-68
Norita Mohd Nasir & Rosliza Mat Zin
The Money Supply and Stock Prices: The Case of Malaysia
Pages 69-83
Noor A. Ghazali & Noor A. Yakob
Stock Market Seasonality and Chinese New Year Effects in the Far Eastern Markets
Pages 85-99
Zamri Ahmad
Volume 5, Issue 1 pp. 1-76 (1997)
A Cross-Sectional Analysis Between Effect of Rights Issue Announcements and its Determinants
Pages 1-22
Nur Adiana Haiu Adbullah
New Evidence on Day of the Week Effect in the Malaysian Stock Market
Pages 23-33
Mansor H. Ibrahim
The Normality of Financial Ratios Distribution: An Empirical Evidence of Malaysian Firms
Pages 35-51
Zaidi bin Isa
Divisia Monetary Aggregates and Stock Prices in Malaysia: An Empirical Note
Pages 53-65
Muzafar Shah Habibullah & Ahmad Zubaidi Baharumshah
Note:
The Effectiveness of Graphics in Disclosing Quantitative Information on Market Risk: An Experimental Investigation
Pages 67-76
Peter Casson & Sofri Yahya
Volume 5, Issue 2 pp. 1-76 (1997)
Does Ownership Structure Matter?
Pages 1-16
Lam Swee Sum & Roderic Sng
The Wealth Effect of Increase in Research & Development Expenditure Announcements of Companies Listed on the Kuala Lumpur Stock Exchange
Pages 17-26
Shamsher Mohamad & Annuar Md Nasir
Measuring Unit Trust Fund Performance Using Different Benchmarks
Pages 27-44
Leong Kai Hin & Aw Mee Wah
The Announcement Effects of Rights and Bonus Issues on Malaysian Stock Prices
Pages 45-58
Mansor Md Isa & Tan Kok Hong
Restoring Investor Confidence: An Appropriate Sanctions Regime for the Global Market
Pages 59-68
Lee Foong Mee
Section 176 of Companies Act 1965 – Some Issues and Implications
Pages 69-76
Lee Khee Joo
Volume 4, Issue 1 pp. 1-101 (1996)
Is the Malaysian Inter-Bank Foreign Exchange Market Efficienct? Some Recent Evidence Using the Cointegration Technique
Pages 1-19
Ahmad Zubaidi Baharumshah & Muzafar Shah Habibullah
Some Evidence on Short-Run Market Overreaction for the Kuala Lumpur Stock Exchange
Pages 21-32
Noraini Mohd. Ariffin & David M. Power
Who Actually Did Gain From The Underpricing of IPO’s
Pages 33-47
Othman Yong
Is There A Chinese New Year Effect in Malaysia?
Pages 49-61
Sinclair Davidson & Albert Peker
Cluster-Based Development: Macroeconomic Framework
Pages 63-101
Muthi Samudram
Volume 4, Issue 2 pp. 1-81 (1996)
The Nature and Extent of Beta Instability In the Kuala Lumpur Stock Market
Pages 1-14
Robert D. Brooks, Robert W. Faff & Mohamed Ariff
Malaysian Evidence on the Robustness of the Day-of-the-week Effect
Pages 15-29
Sinclair Davidson & Albert Peker
Differential Estimation Risk and Firm Value: A Commentary
Pages 31-46
Lam Swee Sum
Who Gets the Bonus in Bonus Stock Issuance?
Pages 47-69
Obiyathulla Ismath Bacha & Ahamed Kameel Meera
Random Walk or Stationarity With-Structural Break in Malaysian Stock Prices: An Empirical Note
Pages 71-81
Mansor H. Ibrahim
Volume 3, Issue 1pp. 1-102 (1995)
Profile of Individual Investors in the Kelang Valley Area
Pages 1-16
Mansor Md Isa & Lim Ching Fong
Managerial Capital Budgeting Objectives Under Asymmetries Of Information: A Survey Of Recent Trends
Pages 17-32
Daing Nasir Ibrahim & Faoziah Idris
Measuring The Costs of IPO Underpricing- The Original Shareholders’ View
Pages 33-48
Steven M. Dawson
Influence Of The End-Of-The-Week Performances of The New York Stock Exchange And The Tokyo Stock Exchange On The Beginning-Of-The-Week Performance Of The KLSE
Pages 49-72
Othman Yong
Dividend Behaviour in Malaysia
Pages 73-84
Lok Kong Sing & G.S. Gupta
Notes:
A Note On The Financial Performance of Conglomerate versus Non-Conglomerate
Pages 85-94
Fauzias Mat Nor & Hussin Dollah
The Central Depository System
Pages 95-102
Volume 3, Issue 2 pp. 1-109 (1995)
Performance of Property Trusts in the Kuala Lumpur Stock Exchange
Pages 1-19
Kok Kim Lian & Khoo Liam Kim
The Investment Performance of Unit Trust Funds in Malaysia
Pages 21-50
Tan Hoon Chuan
The Performance of Unit Trusts in Malaysia: Some Evidence
Pages 51-69
Shamsher Mohamad & Annuar Mohd Nassir
Are the Main and Second Board on the KLSE Integrated? Some Empirical Evidence
Pages 71-90
Muzafar Shah Habibullah & Ahmad Zubaidi Baharumshah
Notes:
The Economic Viability of Some Commonly used technical Analysis Tools in the Malaysian Securities market
Pages 91-99
Shamsher Mohamad, Ong Bey Tsong & Annuar Mohd Nassir
Securities Commission Guidelines on Unit Trust Funds, Property Trust Funds and Closed End Funds
Pages 101-109
Volume 2, Issue 1 pp. 1-101 (1994)
Measuring The Cost of IPO Underpricing: The Issuer’s View
Pages 1-14
Steven M. Dawson
The Bahaviour of Malaysian Stock Prices
Pages 15-44
Rosita P. Chang, Jun-Koo Kang & S. Ghon Rhee
Weak-Form Efficiency in The Kuala Lumpur Stock Exchange: New Evidence
Pages 45-60
Kok Kim Lian & Goh Kim Leng
Stock Price Behaviour Around Ex-Dividend Date: A Malaysian Case
Pages 61-76
Wan Leng Whatt
Average Returns to Small and Large Investors in Singapore Initial Public Offerings
Pages 77-90
Lance Brannman
Notes:
Regulation of Securities Markets
Pages 91-96
Mohamad Ariff bin Md Yusof
Note on Technical Analysis and the Efficiency of the Malaysian Stock market
Pages 97-102
Ungku Norulkamar Ungku Ahmad
Volume 2, Issue 2 pp. 1-98 (1994)
Capital Structure Policy in Malaysia: A Compartive Analysis
Pages 1-16
George W. Kester & Mansor Md Isa
Analysis of Underpricing in the Malaysian New Issues Market During 1975-1990: Are New Issues Excessively Underpriced?
Pages 17-28
Shamsher Mohamad, Annuar Md Nassir & Mohamed Ariff
The Relationship Between Monetary Growth and the Money Market Rates: The Malaysian Experience
Pages 29-48
Noor Azlan Ghazali
The Accuracy of Profit Forecasts of Malaysian IPOs
Pages 49-70
Shamsher Mohamad, Annuar Md Nassir, Tan Kung Kuing & Mohamed Ariff
The Effects of Common Economic Factors on International Equity Markets
Pages 71-86
Abdul Ghani Shafie
Notes: Call Warrants
Pages 87-100
The Malaysian Capital Market – New Rules of the Game
Pages 1-21
Mohd Salleh Majid
Construction of Stock Indices in Malaysia
Pages 22-45
Kok Kim Lian
The Potential For A Stock Index Futures in Malaysia: An Empirical Study of the Opinions and Perceptions of Malaysian Fund Managers
Pages 46-60
Salihin Ramli
The Long Run Performance of Initial Public Offerings In Malaysia
Pages 61-80
Tay Seng Wu
Performance of New Stock Issues on the KLSE
Pages 81-95
Ku Nor Izah Ku Ismail, Faudziah Zainal Abidin & Nasruddin Zainudin
An Empirical Study of The Capital Structure of Malaysian Listed Firms
Pages 96-108
Annuar Md Nassir & Shamsher Mohamad