Items where Subject is "H Social Sciences > HG Finance > HG1-9999 Finance > HG3810-4000 Foreign exchange. International finance. International monetary system"

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Wong, Hock Tsen (2011) Bilateral Trade Balances : Evidence from Malaysia. Asian Economic Journal, 25 (2). pp. 227-244. ISSN 1351-3958

Wong, Hock Tsen (2006) Is there a long-run relationship between trade balance and terms of trade? The case of Malaysia. Applied Economics Letters, 13 (5). pp. 307-311. ISSN 1350-4851

A. Z. Baharumshah and Liew, Venus Khim Sen (2006) Forecasting performance of exponential smooth transition autoregressive exchange rate models. Open Economies Review, 17 (2). pp. 235-251. ISSN 0923-7992

Liew, Venus Khim Sen and Chong, T. T. L. and Lim, Kian Ping (2003) The inadequacy of linear autoregressive model for real exchange rates : empirical evidence from Asian economies. Applied Economics, 35 (12). pp. 1387-1392. ISSN 0003-6846

Jayaraman, T. K. and Lee, Huay Huay and Lee, Hock A. (2006) Regional economic integration in the pacific : An empirical study. Global Economic Review, 35 (2). pp. 177-192. ISSN 1226-508X

Wong, Hock Tsen (2011) The real exchange rate determination : An empirical investigation. International Review of Economics and Finance, 20 (4). pp. 800-811. ISSN 1059-0560

Wong, Yii Siing and Ho, Chong Mun and Dollery, Brian E. (2012) Impact of exchange rate volatility on import flows: The case of Malaysia and the United States. Applied Financial Economics Volume 20, Issue 3, February 2010, Pages 255-264, 22 (24). pp. 2027-2034. ISSN 0960-3107

Ai-Yee, Ooi and Nur Shahirah Azman and Andrew Tek Wei Saw and Kit-Yik, Teoh (2022) Impact of belt and road initiative oneconomic growth. Labuan Bulletin of International Business &Finance, 20. pp. 1-15.

Aminah Shari and Mohd Zulkarnain Bahrun (2023) Bond Fund Versus Islam Bond Fund: A Comparison of the Performance of Fixed Income Funds in Malaysia. International Journal of Academic Research in Accounting, Finance and Management Sciences, 13. pp. 243-256. ISSN 2225-8329

Jaratin Lily and Imbarine Bujang and Abdul Aziz Karia (2022) The impact of thin trading adjustments on exchange rate exposure. Gadjah Mada International Journal of Business, 24 (2). pp. 127-150. ISSN 1411-1128

Mohd Ashari Bakri (2023) Shariah compliance screening moderating effect on risk and return: the Malaysian case of capital market. JKAU: Islamic Econ, 36 (2). pp. 1-21.

Rim, Hong and Setaputra, Robert and Rosle Mohidin (2012) Study on the impacts of the U.S. financial crisis on stock markets in Asia. International Journal of Academic Business World, 6. pp. 1-6. ISSN 1942-6097

Wong Hock Tsen (2021) Bank development, stock market development and economic growth in selected Asian economies. Journal of Asian and African Social Science and Humanities, 7. pp. 71-85. ISSN 24132748

Woon Kan Yap and Jenny Gryzelius and Andrew Tek Wei Saw (2023) Searching for Growth-conducive Institutions in Emerging Economies: A Stochastic Frontier Analysis. Politick√° ekonomie, 71 (5). pp. 1-29.

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