2005 -2020
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Volume 16, Issue 2, 2020
Busy Boards, Firm Performance and Operating Risk PP. 1-21
Kin-Wai Lee and Char-Lee Lok
Managerial Efficie and Corporate Leverage Policy in Pakistan PP. 25-46
QAMAR UZ ZAMAN, M. Kabir Hassan and ARSHAD HAFIZ MUHAMMAD
Executive Compensation, OWNERSHIP Structure and DIVIDEND PAYOUT: Evidence from Malaysia PP. 47-7555
Ravichandran K. Subramaniam, Teh Chee Ghee and Murugasu THANGAHAH
Modrating Role of Financial Market Development on the Relationship Between Stock Liquidity and DIVIDEND PP. 77-99
Mohd ashari bakri, bank-eriffin amin nordin, bolaji tunde matemilola and lau wei then
The Influence of Sustainable Earnings on Stock Price: Evidence from Publicly Liseted Vietnamese Business Enterprises PP. 101-121
NUNG HONG Do and NHA VAN TUE PHAM
The Capital Structure of Islamic-Compliant Firms: Is there a Financing hierarchy? PP. 123-144
Muncef Guizani
When Good Things Turn Bad: Evidence from G-7 Serial Acquiler Bidding PP. 145-177
IBrahim Yousef
Impact Size and Determinants of Indirect Cost of Financial Distress: Role of ReceIvable and Inventory Management PP. 179-207
Umar Farooq, Muhammad Ali Jibran Qamar and Krishna Reddy
Volume 16, Issue 1, 2020
ENVIRONMENTAL, Social and Governance (ESG) Practices and Performance in Shariah Firms: Agency or Stakeholder Theory? PP. 1-34
Lee Siew Peng and Mansor Isa
Asymmetric Exchange Rate Pass-Through to Import and Export PriceS for Turkey: A Nonlinear AutoreGressive Distributed Lag (Nardl) APProAch PP. 35-44
Serdar Simonyan
Do Country Characteristics Affectics Affectary Level of Financial and Tax Aggressiveness? PP. 45-62
Nurul aisyah RachMawati1, Sidharta Utama, Dwi Martani and Ratna Wardhani
Does Foreign Ownership Restrict Earnings Management? The case of China PP. 63-86
Sang Ho Kim, Yohan An and Prabhu Udawatte
DOES Bank DIVERSICATION AFFECT FUNDING COST? Evidence from the u.s. Banks PP. 87-107
Dung Trans
Geographic Variation in Religiosity and ITS IMPACT of DividEnd Policies PP. 109-125
Omar Farooq, Mukhammadfoik Bakhadirov and NEVEEN AHMED
IMPACT of Chief EXECUTIVE Office (CEO) Success Policy on CEO TURNONONONCEMENT in Malaysia PP. 127-153
Shubasini sivaPASAM, Aslam Izah Selamat, Norhuda Abdul Rahim and Junaina Muhammmad
Volume 15, Issue 2, 2019
Assessing Bank Stability in Malaysia in the Framework of Distance to Default PP. 1-27
Asish Saha, NOR HAYATI AHMAD, Lim Hick Eam and Siew Goh Yeok
A test of the catning theory of divisionnds: Empirical Evidence from An Emerging Economy India PP. 29-52
Nishant B. Labhane
Performance of Local Versus International Focus Malaysian-Based Mutual Funds PP. 53-75
Ruzita Abdul Rahim, Ling Pick Soon and Rasidah Mohd-Rashid
Malaysian Smes†™ Liability Structure and ITS IMPACT on Profitability and Growth PP. 77-94
Woei-chuan wong, sharmilawati sabki, angpan regupathi and syhd. Na†™ im synding salim
A comparative analysis of fixed income unit trustfunds versus equity unit trust funds in Malaysia PP. 95-117
Nur adiana hiau Abdullah and aminah Shari
Discretionary Loan Loss Provision Behaviour and Banks' LIQUIDITION CREATION PP. 119-154
Sanzid a. haq, dung transport m. kabir hassan
The Effect of Economic and Fundamental Factors on the Australian Property Performance PP. 155-18444
Ramzi Tarazi and Mohammad Zahid Hasan
Volume 15, Issue 1, 2019
Has Co-Movement Dynamics in Brazil, Russia, India, China and South Africa (Brics) Markets Changed After Global Financial CrisisNew Delhi Wealth Management? New Evidence From Wavelet A nalysis pp. 1-26
M. Kannadhasan and Debojyoti DAS
IMPACTS of Risk Based Capital Regulation in Malaysian Islamic Insurers (TAKAFUL) PP. 27-59
Hui Shan Lee, Fan Fan Fan Fan Fan Fan Fan Fan Fan Fanuar MD Nassir and Nazrul Hisyam Ab Razaka
Threshold Effect of Financial Integration on Linkages BetWeen Monetary Independence and Foreign Exchange Reserves PP. 61-81
Chee-Hong Law, Chee-LIP Tee and Say Keat Ooi
Are there psychological barriers in asian stock Markets? PP. 83-106
Jë ™ lio lob™o and margarida coreo
The Effect of Industry Homogeneity on the Magnitude of Post-Earnings Anncement Drift: Evidence from Korea PP. 107-127
Heejeong shin, su-in kim, sorah paras of hyejejeong shin
Higher Co-Moments and Download Beta in Asset Pricing PP. 129-155
Imran chhapra and muhammad kashif
Managerial Aversion and Capital Structure: Evidence from Southeast Asia PP. 155-183
YUSUF BABATUNEE ADENEYE and EI YET Chu
The Fund Characteristics, Fees, and Expenses Structure Between Convent
Sofi mohd fikri and M. H. Yahya
The Financial Performance of Islamic Real Estate Investment Trusts (REITS) in Malaysia PP. 191-220
Siti Marsila Mhd Ruslan
Volume 14, Issue 2, 2018
Retention Ratio, LOCK-Up Period and Prestige Signals and their Relationship with Initial Public Offering (IPO) Initial RETURN: Malaysian Evidence PP. 1-23
Ali Albada, Othman Yong, Mohd. Ezani Mat Hassan and Ruzita Abdul-Rahim
IMPACT of China on Malaysian Economy: Empirical Evidence of SIGN-RESTRICTURALALAL VECTOR AutoreGression (SVAR) Model PP. 25-44
Mohd azlan Shah Saidi, Zulkefly Abdul Karim and Zurina Kefeli@Zulkefli
Financial Security and Aggregate Import Demand: A General Equilibrium Perspective With Japan Data PP. 45-64
Tuck cheong tang
Governance of Behavioural Biases in Asset Management Industry: Insights from Fund Managers in Malaysia PP. 65-102
Zamri Ahmad, Haslindar Ibrahim and Jasman Tuyon
Do insiders trading before Open Market Share Repurchase Announdment Give An AdDitional Signaling? A Study in the Indian Context PP. 103-135
Sarthak Kumar Jena and Chandra Sekhar Mishra
Monetary Policy, BANK Competitiveness and Bank Risk-Taking: Empirical Evider from Vietnam PP. 137-156
Nguyen Thai Ha and Phan GIA QUYEN
Exchange Rate Exposure and Crude Oil Price: The case of an emerging Market PP. 157-184
Meen chee hong, EI YET Chu and SAW IMM Song
Volume 14, Issue 1, 2018
The Role of Financial Development on Foreign Direct Investment in ASEAN-5 Countries: Panel Cointegration with Cross-Sectional Analysis PP. 1-23
ELYA Nabila Abdul Bahri, Abu Hassan Shari Md Nor And Nor Haji Mohd NOR
DOES The Provision of Non-Audit Services Affect Auditor Independence and Audit Quality? Evidence from Bahrain PP. 25-5555
Hussein khasharmeh and Abdelmohsen M. Desoky
IMPACTS of Ownership Concentration and Liquidity on Stock Momentum Profitability in Malaysia PP. 57-81
Tan yng May, Cheng Fan Fah and Taufiq Hassan
Board Gender Diversity and Its Risk Monitoring Role: Is itemificant? PP. 83-106
Karren Lee-Hwei Khaw and Jing Liao
What Drives Bank Margins During and Post-Crisis? A Comparison Between Islamic and Conventional Banks PP. 107-126
Nurhafiza Abdul Kader Malim and Tajul Ariffin Masron
FIRM Level, Ownership Concentration and Industry Level Determinants of Capital Structure
Razali haaron
The MediaTing Role of Environmental Performance on the Relationship Between Corporate GoverNance and Environmental Disclosure PP. 153-183
Razieh Adinehzadeh, Romlah Jaffar, Zaleha Abdul Shukor and Mara Riduan Che Abdul Rahman
Management Control for Microfinance: An Examination of the Belief System of a Malaysian Microfinance Provider PP. 185-2088
Siti-nabiha A. K., Zubir Azhar and Mohd-Aatif Ali-Mokhtar
Volume 13, Issue 2, 2017
Bank Risk Taking Behavior in Malaysia: Role of Board and Ownership Structure PP. 1-26
Linda loh and sok-gee chan
New Perspective on the ‘Net Error and Ombissions†™ in Balance of Payment Accounts: An Empirical Study in Australia PP. 27-44
Tuck cheong tang
Framing of Climate Change Impacts and USE of Management Accounting Practices PP. 45-68
Jayanthi Kumarasiri and Christine Jubb
DIVIDEND CAPTURE on the EX-DIVIDEND Day: Evidence from Vietnamese Stock Market PP. 69-94
QUOC TRUNG Tran
Does Hot Money Impact Stock and Exchange Rate Markets on China? PP. 95-108
Lee yen-hsien, huang ya-ling and Chen tsu-hui
Socially Responsible Investment, InternaL Financing Sources and Access to Bank Financing: Evidence from Indian Survey Data PP. 109-133
AMARJIT GILL, Harvinder S. Mand, Afshin Amiraslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslaslasland and Neil Mathur
Corporate Governance, Institute Characteristics, and Director Networks in Malaysia PP. 135-154
Mohd Faizal Jamaludin and Fathyah Hashim
Volume 13, Issue 1, 2017
MANDTORY AUDIT FIRM ROTATION and BIG4 Effect on Audit Quality: Evidence from South Korea PP. 1-40
Jong-seo choi, hyoung-joo lim and dafydd mali
Gender Diversity and Firms†™ Financial Performance in Malaysia PP. 41-62
Irean yap lee-kuen, Sok-Gee Chan and Rozaimah Zainudin
An Empirical Evaluation of Hedge Fund Managerial Skills USING BAYESIAN Techniques PP. 63-82
John Weirstrass Muteba Mwamba
Instrumental-Variation Estimation of Bangkok-Weather Effects in the Stock Exchange of Thailand PP. 83-1111
Anya Khanthavit
Normal, Abnormal Book-Tax Differences and Accounting Conservatism PP. 113-142
Rakia Riguen Kouubaa and Anis Jarboui
The low-raryk anomaly: Evidence from the thai stock market pp. 143-158
Kanis sangchote
The Effect of Investor Sentiment on Stock Returns: Insight from Emerging Asian Markets PPBangalore Wealth Management. 159-178
Shangkari v. Anusakumar, ruhani ali and chee-wooi hooy
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