Content
2021, Volume 29, Issue 1
- 1-16 Interaction Impact of Monetary Policy and Inflation on Corporate Debt in Developing Nations
by Bolaji Tunde Matemilola & Mohamed Azali - 17-39 Does Entropy Index Explain the Determinant of Capital Market Integration in ASEAN?
by Ignatius Roni Setyawan & Buddi Wibowo - 41-58 ASEAN-5 and Indian Financial Market Linkages: Evidence from Cointegration and Factor Analysis
by Ritesh Patel - 59-72 Noise Trader Risk-Evidence from China’s Stock Market
by Liang Ye & Yeng-May Tan
2020, Volume 28, Issue 2
- 1-18 Performance of ProShares Triple-Leveraged Equity ETFs
by Ramesh Adhikari & Humnath Panta & M. Kabir Hassan - 19-27 Max-Effect in the Indonesian Market
by Leo Julianto & Irwan Adi Ekaputra - 29-41 Predicting SMEs Failure: Logistic Regression vs Artificial Neural Network Models
by Juraini Zainol Abidin & Nur Adiana Hiau Abdullah & Karren Lee-Hwei Khaw - 43-71 Stock Markets’ Integration in Post Financial Crisis Era: Evidence from Literature
by Muhammad Hanif & Ariba Sabah
2020, Volume 28, Issue 1
- 1-23 Corporate Governance in Australia: Share Repurchases under an Imputation Tax System
by Hussein Abedi Shamsabadi & Byung S. Min & Imen Tebourbi & Mohammad Nourani - 25-47 Do Heterogeneous Boards Promote Firm Innovation? Evidence from Malaysia
by Sa’adiah Munir & Gary John Rangel & Ravichandran K. Subramaniam & Mohd. Zulkhairi bin Mustapha - 49-63 We Bring You Capital and Job – Foreign Investment and Employment in Malaysia
by Amy Dict-Weng Kwan & Tuck-Cheong Tang - 65-76 Global and Local Commodity Prices: A Further Look at the Indonesian Agricultural Commodities
by Pradita Nareswari & Sigit S. Wibowo
2019, Volume 27, Issue 2
- 1-13 Financial Openness and Trade Openness Nexus: Empirical Evidence from Global Data
by Robert W. Faff - 15-35 Institutional Quality, Tax Avoidance, and Analysts' Forecast: International Evidence
by Akmalia M. Ariff & Khairul Anuar Kamarudin - 37-57 An Empirical Study of Herding Behaviour in China’s A-Share and B-Share Markets: Evidence of Bidirectional Herding Activities
by Oi-Ping Chong & A.N. Bany-Ariffin & Annuar Md Nassir & Junaina Muhammad - 59-87 The Effect of Financial Constraints on Audit Fees
by Samuel Jebaraj Benjamin - 89-102 Effect of Standardization of Trading Board Lot on Abnormal Liquidity in Malaysian Stock Market
by Nor Elliany Hawa Ibrahim & Kamarun Nisham Taufil Mohd & Karren Lee-Hwei Khaw
2019, Volume 27, Issue 1
- 1-18 Financial Openness and Trade Openness Nexus: Empirical Evidence from Global Data
by Xiao-Jun Goh & Wen-Qi Tong & Tuck-Cheong Tang - 19-33 Asymmetric Effects of Exchange Rates on Stock Prices in G7 Countries
by Arash Habibi & Chin Lee - 34-52 The Malaysian Domestic Bond Market: Growing into its Rightful Role
by Meng-Wai Lee & Kim-Leng Goh & Michael Meow-Chung Yap - 53-68 Exchange Rate Movements, Earnings Management and Stock Returns in Malaysia
by Bao Quan Lock & Ei Yet Chu & Saw Imm Song & Lian Yin Lee
2018, Volume 26, Issue 2
- 1-20 Frequency and Sequence: Convertible Debt Issuance Announcement Effect on Stock Returns
by Sri Noor Aishah Binti Mohd Salleh & Karren Lee-Hwei Khaw - 21-31 Stock Market Liberalization Impact on Sectoral Stock Market Return in Malaysia
by Subashini Maniam & Chin Lee - 32-52 Behavioural Asset Pricing Determinants in a Factor and Style Investing Framework
by Jasman Tuyon & Zamri Ahmad - 53-69 Do Firm Size and Value Affect Shareholder Returns in Malaysia?
by Pheng Bian Ong & Mohamed Hisham Hanifa & Mansor Mohd Isa
2018, Volume 26, Issue 1
- 1-18 Political Uncertainty and the Greek Stock Market over the Period 2011-2015
by Gerasimos G. Rompotis - 19-35 Interaction Effects of Country-Level Governance Quality and Debt on Stock Returns in Developing Nations
by Bolaji Tunde Matemilola & Bany-Ariffin A. N. & Annuar Md. Nassir - 36-55 The Role of Country-Level Differences in Influencing ASEAN Firms’ Cross-Border Mergers and Acquisitions (CBMAs) Success
by Nurhazrina Mat Rahim & Ruhani Hj. Ali - 56-72 The Relative Importance of Cash Flow News and Discount Rate News at Driving Stock Price Change
by Mohsen Jafarian & Fauzias Mat Nor & Izani Ibrahim
2017, Volume 25, Issue 2
- 1-14 Investigation of Herding Behaviour in Developed and Developing Countries: Does Country Governance Factor Matters?
by Ahmad Fawwaz Mohd Nasarudin & Bany Ariffin Amin Noordin & Siong Hook Law & Mohd Hisham Yahya - 15-31 Macroeconomic Drivers of Singapore Private Residential Prices: A Markov-Switching Approach
by Gary John Rangel & Jason Wei Jian Ng - 32-48 The Determinants of Financial Development in the Republic of Yemen: Evidence from the Principal Components Approach
by Ramez Abubakr Badeeb & Hooi Hooi Lean - 49-64 Dynamic Linkages between Newly Developed Islamic Equity Style Indices: Is Growth Style More Influential Than Value Style?
by Shahrin Saaid Shaharuddin & Wee-Yeap Lau & Tien-Ming Yip
2017, Volume 25, Issue 1
- 1-18 Substantial Shareholders and Their Trading Behaviour around Lock-Up Expiry: Evidence from Emerging Markets
by Abdolhossein Zameni & Othman Yong - 19-25 Does Interest Rate Still Matter in Determining Exchange Rate?
by Wai-Mun Har & Ai-Lian Tan & Chong-Heng Lim & Chai-Thing Tan - 26-42 Momentum and Investor Sentiment: Evidence from Asian Stock Markets
by Shangkari V. Anusakumar & Ruhani Ali - 43-62 The Relationship of Crude Palm Oil Spot-Futures under Inflationary Expectation in Gold Market
by You-How Go & Wee-Yeap Lau
2016, Volume 24, Issue 2
- 1-13 The Performance of Government-Linked Companies in Malaysia
by Mansor Isa & Siew-Peng Lee
2016, Volume 24, Issue 1
- 1-15 Does Manager’s Perceived Competition Affect the Capital Structure Decisions of Malaysian Firms? A Text Mining Approach on the Chairman’s Statement
by Hanandewa & Fauzias Mat Nor - 16-37 Effect of Geographical Diversification on Informational Efficiency in Emerging Countries
by Suan Poh & Chee-Wooi Hooy - 38-67 Portfolio Diversification Strategy in the Malaysian Stock Market
by Raymond Leh Bin Ling & Jeng Yuan Chia - 68-83 A Survey of Literature on Islamic Equity Style Investing and its Applications
by Shahrin Saaid Shaharuddin & Wee-Yeap Lau & Rubi Ahmad
2015, Volume 23, Issue 1&2
- 1-24 Municipal Credit Ratings and Unfunded Pension Liabilities: New Evidence?
by Fahad Alshathri & J. Richard Aronson & Nandkumar Nayar2 - 25-39 Impact of Lock-Up Provision on Two IPO Anomalies in the Immediate Aftermarket
by Norliza Che-Yahya & Ruzita Abdul-Rahim & Rasidah Mohd-Rashid - 40-64 Performance and Trading Characteristics of Exchange Traded Funds: Developed vs Emerging Markets
by Aftab Parvez Khan & Obiyathulla Ismath Bacha & Abul Mansur Mohammed Masih - 65-83 The Impact of Institutional Investors on Real and Accrual Earnings Management around IPO: Evidence from Malaysian Emerging Market
by Sani Hussaini Kalgo & Bany Ariffin Amin Noordin & Hairul Suhaimi Bin Nahar & Siti Zaida Binti Turmin - 84-95 Informational Content of Yield Spread: Predicting Economic Growth of Malaysia
by Joanne Yen-Ei Kek & Kim-Leng Goh
2014, Volume 22, Issue 1&2
- 1-26 Do Family-Controlled Malaysian Firms Create Wealth for Investors in the Context of Corporate Acquisitions?
by Lynn, Ling Yew Hua & John Evans & Junaid Shaikh & Md Shibley Sadique - 27-40 Trade Competitiveness Determinants in Emerging Markets and Developed Countries
by Amirhossein Karbalaei & Mazila Md-Yusuf & Catherine S.F.Ho - 41-58 Impact of Working Capital Management on the Profitability of Shariah-Compliant and Non-Shariah Firms: The Case of Malaysia
by Feras Fathi Albdwy & Mohamed Eskandar Shah & Syed Salman - 59-82 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
by Mohamed Hisham Hanifa & Mansur Masih & Obiyathulla Bacha
2013, Volume 21, Issue 1&2
- 1-12 Financial Convergence of the Asia Pacific Developing Economies
by Juliana Ibrahim & Muzafar Shah Habibullah - 13-37 Controlling Shareholders and the Implied Cost of Equity of Malaysian Firms
by Swee-Sim Foong & Chee-Wooi Hooy & Guat-Khim Hooy - 39-66 Introduction of the Single-Tier Corporate Tax System: Its Effect on Share Price
by Aslam Selamat & Mohamed Ariff & Shamsher Mohamad - 67-87 Is the Long Term Profit Rate of Malaysian Sukuk a Good Predictor of Short Term Profit Rate?
by Adesina-Uthman Ganiyat Adejoke & Taufiq Hassan & Shamsher Mohamad & M. Kabir Hassan
2012, Volume 20, Issue 1&2
- 1-20 Do Malaysian Islamic Banks Manage Earnings Through Profit Equalisation Reserve
by Raudha Md. Ramli & S.Shahida & Abdul Ghafar Ismail - 21-41 Determinants of Sectoral Cost of Equity for an Emerging Market: The Case of Malaysian Firms
by Foong Swee Sim & Goh Kim Leng - 43-64 Do ‘Sin Stocks’ Deprive Islamic Stock Portfolios of Diversification? Some Insights from the Use of MGARCH-DCC
by Nazrol Kamil Mustaffa Kamil & Obiyathulla Ismath Bacha & Abul Mansur Mohammed Masih - 65-76 Empirical Analysis of the Causality between Indian and US Stock Markets’ Conditional Volatility: Further Evidence
by Rakesh Kumar & Raj S Dhankar
2011, Volume 19, Issue 1&2
- 1-14 Trade-off Theory of Optimal Capital Structure and Adjustment to Long-run Target: Evidence from Dynamic Panel Data
by B.T. Matemilola & A.N. Bany-Ariffin & W.N.W. Azman-Sain - 15-32 Family and Government-Controlled Firms and their Recognition of Goodwill Impairment
by Noraini Omar & Norman Mohd-Saleh & Mohd Fairuz Mohd Salleh - 33-51 Innovative Islamic Hedging Products: Application of Wa’d in Malaysian Banks
by Saadiah Mohamad & Azlin Alisa Ahmad & Shahida Shahimi - 53-72 How Market Makers Affect Efficiency: Evidence that Markets are Becoming Less Efficient
by Kurt W. Rotthoff - 73-87 A Structural Modeling of International Parities between Malaysia and China in the Liberalisation Era
by Chan Tze-Haw & Hooy Chee-Wooi
2010, Volume 18, Issue 1&2
- 1-21 Information Asymmetry and Earnings Management: Causes of Inefficient Investment in Malaysia
by Ei Yet Chu & Saw Imm Song - 23-43 How Well Do Monetary Fundamentals Forecast Exchange Rates in Developing Economies?
by Tamat Sarmidi - 45-61 Initial Premium, Flipping Activity and Opening-Day Price Spread of Malaysian IPOs
by Othman Yong - 63-75 Dividend Announcements and Stock Market Reaction: Further Evidence
by Mohamad Jais & Bakri Abdul Karim & Kenta Funaoka & Azlan Zainol Abidin
2009, Volume 17, Issue 1&2
- 1-19 Financial Efficiency of SMEs in the Northern Corridor Economic Region: A DEA Analysis
by Hooy Chee Wooi & Hooy Guat Khim & Tajul Ariffin Masron - 21-42 Assessing the Impact of Mergers and Acquisitions on Bank Cost Efficiency
by Fadzlan Sufian & Muzafar Shah Habibullah - 43-60 Determinants of Credit Risk in Malaysian Islamic Banks
by Siti Norakinah SH Ahmad Tajuddin & Shahida Shahimi & Mohamad Abdul Hamid - 61-78 Market Consequences of Earnings Quality for Malaysian Listed Companies
by Radziah Abdul Latiff & Fauziah Md Taib - 79-102 Benefits of Co-trading: Evidence from Australian and Singapore Stock Exchanges
by Charlie Charoenwong & Chee Ng
2008, Volume 16, Issue 2
- 1-23 Fundamentals of Exchange Rate Determination: Malaysia and the ASEAN Emerging Countries
by Catherine S.F. Ho & M. Ariff - 25-38 Financial Practice in Malaysia: Risks Assessments in Capital Budgeting
by Nur Adiana Hiau Abdullah - 39-52 Initial Returns of Shariah-Compliant IPOs in Malaysia
by Ruzita Abdul Rahim & Othman Yong - 53-73 Corporate Finance Practices in Malaysia: A Survey Analysis
by Mansor Isa
2008, Volume 16, Issue 1
- 1-11 Returns and Volatility Spillover between the Kuala Lumpur Stock Index and Kuala Lumpur Futures Index: Bivariate GARCH Model
by Izani Ibrahim & Noryati Ahmad - 13-26 Stock Market Integration across National Boundaries: Causes and Impediments
by Chee-Wooi Hooy & Kim-Leng Goh - 27-43 Initial Performance of IPOs listed on MESDAQ
by Othman Yong - 45-63 Corporate Take-overs in Malaysia: Determinants of Post Acquisition Values of Acquiring Firms
by Saw-Imm Song & Ruhani Ali & Subramaniam Pillay
2007, Volume 15, Issue 1&2
- 1-27 Regulations and Underpricing of IPOs
by Kamarun Nisham Taufil Mohd - 29-51 Fama-French Model Explanations of the Stock Market Anomaly
by Ruzita Abdul-Rahim - 53-71 Real Financial Integration among the East Asian Economies: A SURADF Panel Approach
by Chan Tze-Haw & Ahmad Zubaidi Baharumshah & Evan Lau - 73-101 The Integration Effect of Ownership Structure and Board Governance on Dividends: Evidence from Malaysian Listed Firms
by Fauzias Mat Nor & Zunaidah Sulong
2006, Volume 14, Issue 1&2
- 1-16 Determinants of Asset Write-offs in Malaysia: The Economic Crisis Effect
by Norman Mohd Saleh & Romlah Jaffar - 17-26 The Integration of Residential Real Estate Market and Stock Market: Assessment Using the ARDL Approach
by Nur Adiana Hiau Abdullah & Wong Woei Chyuan - 27-42 Estimating and Forecasting Volatility of the Malaysian Stock Market Using a Combination of Kalman Filter and GARCH Models
by Cheah Lee Hen & Zainudin Arsad - 43-64 Linking Bank Efficiency and Share Price Performance: Evidence from the Singaporean Banking Industry
by Fadzlan Sufian & Muhd- Zulkhibri Abdul Majid - 65-80 Stock Market Linkages in the ASEAN-5 Region and Implications on Seasonality Effect
by Ruzita Abd-Rahim & Abu Hassan Shaari Mohd. Nor & Dwipraptono Agus Harjito
2005, Volume 13, Issue 1&2
- 1-19 Ownership Structure, Motives and Corporate Takeover Performance of Malaysian Public Listed Firms
by Saw-Imm Song & Ruhani Ali & Subramaniam Pillay - 21-32 Operating Performance of Initial Public Offerings in Malaysia
by Zamri Ahmad & Lim Suh Mei - 33-46 Gearing Differences Across Malaysian Public Listed Companies
by Sharifah Raihan Syed Mohd Zain - 47-64 Price Limits Performance: Evidence from the Kuala Lumpur Stock Exchange
by Fauzias Mat Nor & Zulkifli Deraman - 65-79 Financial Openness and Bank Development: The Experience of East Asia
by Noor A. Ghazali & Kent Matthews
2004, Volume 12, Issue 1&2
- 1-16 Security Analysts’ Monitoring Activity: Does it Reduce Agency Costs?
by Ahmad Rizal Mazlan & Nur Adiana Hiau Abdullah - 17-34 Response Asymmetries in the Linkages of Asean-5 Equity Prices
by Mansor H. Ibrahim - 35-56 Long-Run Trade Competitiveness and Exchange Rate Misalignments in ASEAN-5
by Kwek Kian-Teng & Cho Cho-Wai - 57-77 Bank Loan Loss Provisioning: An Examination of Capital Management, Income Smoothing and Cyclicality Hypotheses
by Roselee Shah Shaharudin & Abd. Ghafar Ismail
2003, Volume 11, Issue 1&2
- 1-22 Daily Returns Seasonality and Impact of Stock Index Futures: Evidence From The Kuala Lumpur Stock Exchange
by Azhar Mohamad & Obiyathulla Ismath Bacha & Mansor Ibrahim - 23-40 Dynamic Financial Linkages of Japan And Asean Economies: An Application of Real Interest Parity
by Chan Tze Haw & Khong Wye Leong Roy & Zubaidi Baharumshah - 41-63 Speculative Influences In The Stock Market: A Case Study of Kuala Lumpur Stock Exchange
by Fatimah Wati Ibrahim & Rahana Abd Rahman - 65-80 Testing PPP Hypothesis In Major Asean Economies: Does Data Generating Process Matter?
by Hock-Ann Lee & Kian-Ping Lim & M. Azali - 81-115 The Effect of Term Spreads On Malaysian Commercial Bank Activity
by Rasidah Mohd. Said
2002, Volume 10, Issue 2
- 1-20 Domestic Money, Foreign Money and the Performance of Malaysian Common Stocks: A Long Run Equilibrium Analysis
by Noor A Ghazali & Soo-Wah Low - 21-42 Income Smoothing and Market Perception of Accounting Numbers: An Empirical Investigation of Extraordinary Items
by Wan Adibah Wan Ismail & Khairul Anuar Kamarudin & Muhd Kamil Ibrahim - 43-60 Announcements Effect of Corporate Name Change: Failed vs Non-Failed Firms
by Zulkarnain Muhamad Sori & Shamser Mohamad & Annuar Md Nassir & Mohamad Ali Abdul Hamid - 61-75 Financial Goals Choices and Performance of Firms in Malaysia
by I.M. Pandey
2002, Volume 10, Issue 1
- 1-21 Are Values of Malaysian Companies Affected By Foreign Exchange Rate Changes?
by Subramaniam S.Pillay & Gary Rangel - 23-40 Capital Structure and Market Power Interaction: Evidence From Malaysia
by I.M. Pandey - 41-66 Multi-Index CAPM vs APT: A Comparison Of Two Asset Pricing Models For Malaysia
by Ch’ng Hock Khoon & G.S Gupta - 67-86 Portfolio Formation Using Islamic- Approved Stock in Malaysia
by Mohd Hasimi Yaacob & Noor Azuddin Yakob - 87-114 Mint Determination of Firm Debt, Ownership Structure on Firm Performance: A Methodology Review
by Augustinus Setiawan S & Fauziah M. Taib - 115-137 Price Randomness, Fundamental Factors, and Stock Market Contrarian Strategy: Further Evidence on Malaysian Stock Market
by Fauzias Mat Nor & Lai Ming Ming & A. Manaf bin Hussin - 139-177 Price Reaction to Stock Repurchase: Evidence from KLSE
by Lim Eng Hwa & Obiyathulla Ismath Bacha
2001, Volume 9, Issue 1&2
- 1-20 Stock Price Behaviour Of Malaysian Rights Issue On The Announcement And Ex-Right Dates
by Norhana Salamudin - 21-48 Accounting Earnings And Share Revaluation: Further Exploration
by Cheng Fan Fah & M.Ariff & Shamsher M. - 49-65 Causal Relationship Between Local and Foreign Tranche Stock Returns in the Malaysian Securities Market
by Kok Kim Lian & Goh Kim Leng - 67-81 The Causes of Stock Market Volatility in Malaysia
by Izani Ibrahim & Mohd. Abdullah Jusoh - 83-110 Economic Value-Added in the Malaysian Listed Companies: A Preliminary Evidence
by Mansor Isa & Walter Lo - 111-128 Further Evidence On The Relationship Between Board Ownership And Firm Performance in Malaysia
by Ruhani Ali - 129-154 The Relationship between Stock Returns and Inflation: Evidence from Malaysia and Indonesia
by M. Shabri Abd. Majid & Ahamed Kameel Meera & Hassanuddeen Abdul Aziz & Mansor Ibrahim - 155-173 Team Spread and Stock Market Returns: The Information Content of the Malaysian Government Securities Yields
by Noor A. Ghazali & Rasidah Mohd. Said
2000, Volume 8, Issue 1&2
- 1-23 Auditor Switch Decision of Malaysian Listed Firms: Test of Determinants and Wealth Effect
by Huson Joher & M.Ali & Annuar M.N.M. Ariff & Shamsher M - 25-40 Financial Integration and Diversification Among Asean Equity Markets: A Malaysian Perspective
by Mansor H.Ibrahim - 41-61 The Relationship between Stock Price and Trading Volume: Evidence from Malaysia
by Ruhani Ali & Ahmadu Umaru Sanda - 63-88 Forecasting Sectoral Indices in The Kuala Lumpur Stock Exchange
by Goh Kim Leng & Gui Hui Keng - 89-107 An Empirical Analysis of Bank Stock Volatility and Trading Volume: Malaysian Evidence
by Wan Mansor Wan Mahmood - 109-122 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
by Shamsher Mohamad & Annuar Md Nasir - 123-145 Seasonal Anomalies of Stocks on The Kuala Lumpur Stock Exchange Second Board
by Foo May Wand & Kok Kim Lian
1999, Volume 7, Issue 1&2
- 1-46 Issues in Stock Index Futures Introduction and Trading. Evidence From the Malaysian Index Futures Market
by Abdul Jalil Ibrahim & Khairuddin Othman & Obiyathulla Ismath Bacha - 47-74 Significance of Board of Listing And Type of Issue on the Under-Pricing and After-Market Performance of Malaysian IPOs
by Othman Yong & Puan Yatim & Ros Zam Zam Sapian - 75-86 Financial Liberalisation And Stock Market Volatility in Malaysia: A GARCH Approach
by Mansor H. Ibrahim - 87-99 ARCH and GARCH Based Tests on The Malaysian Stock Market, Interest Rate And Exchange Rate Before And During The Currency Turmoil
by Fauzias Mat Nor & Noor Azuddin Yakob & Zaidi Isa - 100-118 An Examination Of The Relationship Between Returns And Trading Volume In The Currency Futures Market: A Linear And Non-Linear Approach
by Wan Mansor Wan Mahmood - 119-131 An Empirical Analysis Of The Fisherian Hypothesis On The Malaysian Equity Market
by Noor A. Ghazali & Rodoni Ahmad
1998, Volume 6, Issue 1&2
- 1-17 Performance of Unit Trusts in An Emerging Market: A Case Study of Malaysia
by Ch’ng Teng Leong & Kok Kim Lian - 19-39 The Influence of Industry, Size and Earnings on Capital Structure of Malaysian Listed Companies
by Muhammad Mahmud - 41-54 Inter-Sectoral Linkages and Risk Diversification in the Kuala Lumpur Stock Exchange
by Tan Hui Boon - 55-68 The Examination of the Underpricing of Initial Public Offerings (IPOs) in Malaysia: 1990-1995
by Norita Mohd Nasir & Rosliza Mat Zin - 69-83 The Money Supply and Stock Prices: The Case of Malaysia
by Noor A. Ghazali & Noor A. Yakob - 85-99 Stock Market Seasonality and Chinese New Year Effects in the Far Eastern Markets
by Zamri Ahmad
1997, Volume 5, Issue 2
- 1-16 Does Ownership Structure Matter?
by Lam Swee Sum & Roderic Sng - 17-26 The Wealth Effect of Increase in Research & Development Expenditure Announcements of Companies Listed on the Kuala Lumpur Stock Exchange
by Shamsher Mohamad & Annuar Md Nasir - 27-44 Measuring Unit Trust Fund Performance Using Different Benchmarks
by Leong Kai Hin & Aw Mee Wah - 45-58 The Announcement Effects of Rights and Bonus Issues on Malaysian Stock Prices
by Mansor Md Isa & Tan Kok Hong - 59-68 Restoring Investor Confidence: An Appropriate Sanctions Regime for the Global Market
by Lee Foong Mee - 69-76 Section 176 of Companies Act 1965 – Some Issues and Implications
by Lee Khee Joo
1997, Volume 5, Issue 1
- 1-22 A Cross-Sectional Analysis Between Effect of Rights Issue Announcements and its Determinants
by Nur Adiana Haiu Adbullah - 23-33 New Evidence on Day of the Week Effect in the Malaysian Stock Market
by Mansor H. Ibrahim - 35-51 The Normality of Financial Ratios Distribution: An Empirical Evidence of Malaysian Firms
by Zaidi bin Isa - 53-65 Divisia Monetary Aggregates and Stock Prices in Malaysia: An Empirical Note
by Muzafar Shah Habibullah & Ahmad Zubaidi Baharumshah - 67-76 The Effectiveness of Graphics in Disclosing Quantitative Information on Market Risk: An Experimental Investigation
by Peter Casson & Sofri Yahya
1996, Volume 4, Issue 2
- 1-14 The Nature and Extent of Beta Instability In the Kuala Lumpur Stock Market
by Robert D. Brooks & Robert W. Faff & Mohamed Ariff - 15-29 Malaysian Evidence on the Robustness of the Day-of-the-week Effect
by Sinclair Davidson & Albert Peker - 31-46 Differential Estimation Risk and Firm Value: A Commentary
by Lam Swee Sum - 47-69 Who Gets the Bonus in Bonus Stock Issuance?
by Obiyathulla Ismath Bacha & Ahamed Kameel Meera - 71-81 Random Walk or Stationarity With-Structural Break in Malaysian Stock Prices: An Empirical Note
by Mansor H. Ibrahim
1996, Volume 4, Issue 1
- 1-19 Is the Malaysian Inter-Bank Foreign Exchange Market Efficienct? Some Recent Evidence Using the Cointegration Technique
by Ahmad Zubaidi Baharumshah & Muzafar Shah Habibullah - 21-32 Some Evidence on Short-Run Market Overreaction for the Kuala Lumpur Stock Exchange
by Noraini Mohd. Ariffin & David M. Power - 33-47 Who Actually Did Gain From The Underpricing of IPO’s
by Othman Yong - 49-61 Is There A Chinese New Year Effect in Malaysia?
by Sinclair Davidson & Albert Peker - 63-101 Cluster-Based Development: Macroeconomic Framework
by Muthi Samudram
1995, Volume 3, Issue 2
- 1-19 Performance of Property Trusts in the Kuala Lumpur Stock Exchange
by Kok Kim Lian & Khoo Liam Kim - 21-50 The Investment Performance of Unit Trust Funds in Malaysia
by Tan Hoon Chuan - 51-69 The Performance of Unit Trusts in Malaysia: Some Evidence
by Shamsher Mohamad & Annuar Mohd Nassir - 71-90 Are the Main and Second Board on the KLSE Integrated? Some Empirical Evidence
by Muzafar Shah Habibullah & Ahmad Zubaidi Baharumshah - 91-99 The Economic Viability of Some Commonly used technical Analysis Tools in the Malaysian Securities market
by Shamsher Mohamad & Ong Bey Tsong & Annuar Mohd Nassir
1995, Volume 3, Issue 1
- 1-16 Profile of Individual Investors in the Kelang Valley Area
by Mansor Md Isa & Lim Ching Fong - 17-32 Managerial Capital Budgeting Objectives Under Asymmetries Of Information: A Survey Of Recent Trends
by Daing Nasir Ibrahim & Faoziah Idris - 33-48 Measuring The Costs of IPO Underpricing- The Original Shareholders’ View
by Steven M. Dawson - 49-72 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
by Othman Yong - 73-84 Dividend Behaviour in Malaysia
by Lok Kong Sing & G.S. Gupta - 85-94 A Note On The Financial Performance of Conglomerate versus Non-Conglomerate
by Fauzias Mat Nor & Hussin Dollah
1994, Volume 2, Issue 2
- 1-16 Capital Structure Policy in Malaysia: A Compartive Analysis
by George W. Kester & Mansor Md Isa - 17-28 Analysis of Underpricing in the Malaysian New Issues Market During 1975-1990: Are New Issues Excessively Underpriced?
by Shamsher Mohamad & Annuar Md Nassir & Mohamed Ariff - 29-48 The Relationship Between Monetary Growth and the Money Market Rates: The Malaysian Experience
by Noor Azlan Ghazali - 49-70 The Accuracy of Profit Forecasts of Malaysian IPOs
by Shamsher Mohamad & Annuar Md Nassir & Tan Kung Kuing & Mohamed Ariff - 71-86 The Effects of Common Economic Factors on International Equity Markets
by Abdul Ghani Shafie
1994, Volume 2, Issue 1
- 1-14 Measuring The Cost of IPO Underpricing: The Issuer’s View
by Steven M. Dawson - 15-44 The Bahaviour of Malaysian Stock Prices
by Rosita P. Chang & Jun-Koo Kang & S. Ghon Rhee - 61-76 Stock Price Behaviour Around Ex-Dividend Date: A Malaysian Case
by Wan Leng Whatt - 77-90 Average Returns to Small and Large Investors in Singapore Initial Public Offerings
by Lance Eric Brannman - 91-96 Regulation of Securities Markets
by Mohamad Ariff bin Md Yusof - 97-102 Note on Technical Analysis and the Efficiency of the Malaysian Stock market
by Ungku Norulkamar Ungku Ahmad
1993, Volume 1, Issue 1
- 1-21 The Malaysian Capital Market – New Rules of the Game
by Mohd Salleh Majid - 22-45 Construction of Stock Indices in Malaysia
by Kok Kim Lian - 46-60 The Potential For A Stock Index Futures in Malaysia: An Empirical Study of the Opinions and Perceptions of Malaysian Fund Managers
by Salihin Ramli - 61-80 The Long Run Performance of Initial Public Offerings In Malaysia
by Tay Seng Wu - 81-95 Performance of New Stock Issues on the KLSE
by Ku Nor Izah Ku Ismail & Faudziah Zainal Abidin & Nasruddin Zainudin - 96-108 An Empirical Study of The Capital Structure of Malaysian Listed Firms
by Annuar Md Nassir & Shamsher Mohamad