Items where Subject is "H Social Sciences > HG Finance > HG1-9999 Finance > HG4501-6051 Investment, capital formation, speculation"
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- HG4501-6051 Investment, capital formation, speculation (85)
- HG1-9999 Finance (85)
- HG Finance (85)
- H Social Sciences (85)
A
Ag Kaifah Riyard Kiflee and Mohd Noor Azli Ali Khan (2020) An analysis of publication trend: internet financial reporting. Test Engineering and Management, 83. pp. 16828-16845. ISSN 0193-4120
Aminah Shari and Pang, Joo Vee and Choo, Qin Jing and Chin, Dominic Shien Piaw and Lee, Pei Chi and Leong, Wei Zee (2023) Performance evaluation of bond funds and money market funds in Malaysia. International Journal of Accounting, Finance and Business (IJAFB), 8. pp. 47-62.
Avnner Chardles Wellfren (2013) Examining the determinants of investment decision among millennials in Malaysia. Masters thesis, Universiti Malaysia Sabah.
Avnner Chardles Wellfren and Nelson Lajuni (2022) Mapping Investment Decision Studies: A Bibliometric Review. International Journal of Academic Research in Business and Social Sciences, 12 (7). pp. 1673-1697. ISSN 2222-6990
C
Chia, Ricky Chee Jiun (2008) Calendar anomalies in selected Asian stock returns. Masters thesis, Universiti Malaysia Sabah.
Chia, Ricky Chee Jiun and Pang, Wan Xin (2021) Does mean reversion occur in selected African stock markets? The Empirical Economics Letters, 20. pp. 191-197. ISSN 1681-8997
D
Derrick Tanggapan and Caroline Geetha B. Arokiadasan and Rosle @ Awang Mohidin and Vivin Vincent Chandran Munusamy (2011) The relationship between economic growth and foreign direct investment in Malaysia analysis based on location advantage theory. International Journal of Economics and Management Sciences, 1. pp. 24-31. ISSN 2162-6359
E
Ezly Eve X Mas Latiuna and Nurshila Ahmad (2023) The impact of Malaysian indices performance and covid19 pandemic on Rakuten investment portfolio return. Labuan Bulletin of International Business &Finance, 21. pp. 89-95. ISSN 2600-7894
H
Hanudin Amin and Dwi Suhartanto and Muhammad Ali and Mohd Fahmi Ghazali and Rizal Hamid and Dzuljastri Abdul Razak (2022) Determinants of choice behaviour of Islamic investment products in Malaysia. Journal of Islamic Marketing. pp. 1-19. ISSN 1759-0833
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Izaan Jamil and Mori Kogid and Lim, Thien Sang and Jaratin Lily (2023) Pre- and Post-COVID-19: The impact of US, UK, and European stock markets on ASEAN-5 stock markets. International Journal of Financial Studies, 11. pp. 1-21.
J
Jiaqi Da and Annuar Md Nassir and Tek, Andrew Wei Saw and Hui Zhang and Wei, Theng Lau (2023) Dividend and Excess Return in China. Asian Academy of Management Journal of Accounting and Finance, 19 (2). pp. 105-126. ISSN 1823-4992
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Kok, Sook Ching and Caroline Geetha (2023) A Comparison of The Weak-form Efficiency of The Asean Stock Markets Before and During the Covid-19 Pandemic. Malaysian Journal of Business and Economics (MJBE), 10 (1). pp. 1-7. ISSN 2289-6856
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Lee, Zhun Hoong and Wong, Hock Tsen and Saizal Pinjaman and Kasim Md. Mansur (2022) Co-Movement of Covid-19, The S&P 500 and Stock Markets in ASEAN: A Wavelet Coherence Analysis. International Journal of Economics and Management, 16. pp. 119-134. ISSN 1823-836X
Lim Min and Aminah Shari and Leah, Tseu Lee Yah and Lovenigasri Rajendran and Shirley Ling and Teo, Qi Mei (2022) Growth and Value Fund Performance Comparison. International Journal of Academic Research in Accounting, Finance and Management Sciences, 12 (2). pp. 660-671. ISSN 2225-8329
Liu Zhou Quan and Nelson Lajuni and Rozilee Bin Asid (2024) The impact of third-party payment on the profitability of commercial banks: Evidence from China. Malaysian Journal of Social Sciences and Humanities (MJSSH), 9. pp. 1-13. ISSN 2504-8562
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Md. Mahmudul Haque and Mohammad Ashraful Ferdous Chowdhury and Mohammad Hassan Shakil and Mansur Masih (2021) Infrastructure-FDI nexus in Nigeria: insights from nonlinear threshold regression model. Afro-Asian Journal of Finance and Accounting, 11. pp. 20-34. ISSN 1751-6447 (P-ISSN) , 1751-6455 (E-ISSN)
Mohd Nasir Samsulbahri and Norhamiza Ishak and Haneffa Muchlis Gazali and Pg Mohd Faezul Fikri Ag Omar and Nurul Izzati Abd Razak (2021) Factors influencing the investment decision behaviour among young Muslim adults in Malaysia. Labuan Bulletin of International Business and Finance (LBIBF), 19. pp. 59-71. ISSN 1675-7262 (P-ISSN) , 2600-7894 (E-ISSN)
Mori Kogid and Jaratin Lily and Rozilee Asid and James M. Alin and Dullah Mulok (2022) Volatility spillover and dynamic co-movement of foreign direct investment between Malaysia and China and developed countries. Quality & Quantity International Journal of Methodology, 56. pp. 131-148. ISSN 1573-7845 (E-ISSN) , 0033-5177 (P-ISSN)
Muhamad Shameer Fahmi and Caroline Geetha B. Arokiadasan and Rosle @ Awang Mohidin (2019) Measuring the systematic risk factors in Malaysia stock market returns: A principal component analysis approach. Malaysian Journal of Business and Economics (MJBE), 6. pp. 53-64. ISSN 2289-6856 (P-ISSN) , 2289-8018 (E-ISSN)
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Norhamiza Ishak and Hanita Kadir @ Shahar and Chia, Ricky Chee Jiun (2021) Cyclical Industries' Stock Performance Reaction during Covid19: A Systematic Literature Review. Jurnal Ekonomi Malaysia, 55. pp. 147-158. ISSN 0126-1962
Nurul Fasyah Mohd Ussdek (2023) Safe haven assets and inflation hedging in the selected high and low inflation countries. Masters thesis, Universiti Malaysia Sabah.
O
Ooi, Ai Yee and Minah Japang and Suzillah Sidek (2021) Board diversity and price informativeness for Malaysian top 100 public listed firms. Labuan Bulletin of International Business &Finance, 19. pp. 79-94. ISSN 2600-7894
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Racquel Rowland and Ricky Chee Jiun Chia and Venus Khim-Sen Liew (2022) Do non-pharmaceutical policies in response to COVID-19 affect stock performance? Evidence from Malaysia stock market return and volatility. Plos One. pp. 1-21.
Richard Albert Gontusan and Caroline Geetha Arokiadasan and Azizi @ Azaze Abdul Adis (2020) Investigation On Salesperson’s Attributes with The Theory of Planned Behaviour and Their Influence on Unit Trust Actual Buying Behaviour. International Journal of Business, Economics and Law, 23. pp. 459-475. ISSN 2289-1552
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Saizal Pinjaman and Sarma Aralas (2017) Firm level stock returns volatility in Malaysia: a sectoral study. In: Proceedings of International Conference on Economics 2017 (ICE 2017), 28-29 November 2017, Universiti Malaysia Sabah, Kota Kinabalu.
Saizal Pinjaman and Sarma Aralas (2015) The dynamic stock returns volatility and macroeconomic factors in Malaysia: A sectoral study. South East Asian Journal of Contemporary Business, Economics and Law (SEAJBEL), 8. pp. 33-40. ISSN 2289-1560
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Tan, Li Im and Phang, Wai San and Chin, Kim On and Rayner Alfred and Patricia Anthony (2013) Analysing market sentiment in financial news using lexical approach. In: 2013 IEEE Conference on Open Systems (ICOS), 2-4 December 2013, Kuching, Malaysia. (In Press)
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Wong, Hock Tsen (2022) The impact of real exchange rate on real stock price. Journal of Economics, Finance and Administrative Science. pp. 1-15. ISSN 2077-1886
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
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Xiu, Siow Yun and Wong, Hock Tsen (2023) The impact of real effective exchange rate, gold prices and oil prices on stock market.
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Yee-Ling Pang and Hock-Ann Lee (2021) Identifying the factors affecting financial condition of Malaysia. International Journal of Business and Society, 22. pp. 403-421. ISSN 15116670
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Zaidey Evon and Lee, Hock Ann (2021) The Factors That Influence Foreign Holdings of Malaysian Government Bonds. International Journal of Academic Research in Business and Social Sciences, 11. pp. 1874-1890. ISSN 2222-6990