Items where Subject is "H Social Sciences > HG Finance"

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Ab-Rahim, Rossazana and Selvarajan, Sonia Kumari and Md-Nor, Nor Ghani and Marikan, Dayang Affizah Awang (2018) Convergence clubs of economic liberalization in ASEAN, China, and India (Kelab Penumpuan Liberalisasi Ekonomi di ASEAN, China dan India). Jurnal Ekonomi Malaysia, 52 (3). pp. 137-151. ISSN 0126-1962,

Abas Azmi, K.S. and Rozaimah, Zainudin (2021) Money in politics: a recipe for corruption in Malaysia. Journal of Financial Crime, 28 (2). pp. 593-606. ISSN 13590790, DOI https://doi.org/10.1108/JFC-07-2020-0147.

Abbas, Faisal and Masood, Omar and Ali, Shoaib and Rizwan, Sohail (2021) How do capital ratios affect bank risk-taking: New evidence from the United States. SAGE Open, 11 (1). ISSN 2158-2440, DOI https://doi.org/10.1177/2158244020979678.

Abdul-Rahman, A. and Said, N.L.H.M. and Sulaiman, A.A. (2017) Financing Structure and Liquidity Risk: Lesson from Malaysian Experience. Journal of Central Banking Theory and Practice, 6 (2). pp. 125-148. ISSN 2336-9205, DOI https://doi.org/10.1515/jcbtp-2017-0016.

Abdul-Rahman, Aisyah and Sulaiman, Ahmad Azam and Mohd Said, Noor Latifah Hanim (2018) Does financing structure affects bank liquidity risk? Pacific-Basin Finance Journal, 52. pp. 26-39. ISSN 0927-538X, DOI https://doi.org/10.1016/j.pacfin.2017.04.004.

Abdullah, Nurhidayah and Hanafi, Hanira and Nawang, Nazli Ismail (2021) Digital Era and Intellectual Property Challenges in Malaysia. Pertanika Journal of Social Sciences and Humanities, 29 (S2). pp. 205-219. ISSN 0128-7702, DOI https://doi.org/10.47836/pjssh.29.s2.14.

Abdullah, Shamsul Nahar and Aziz, Azbariyah and Azani, Aizulfithri (2022) The effect of board independence, gender diversity and board size on firm performance in Malaysia. Journal of Social Economics Research, 9 (4). 179 -192. ISSN 23126329, DOI https://doi.org/10.18488/35.v9i4.3226.

Abu Bakar, Raida and Cooke, Fang Lee and Muenjohn, Nuttawuth (2018) Religiosity as a source of influence on work engagement: a study of the Malaysian Finance industry. The International Journal of Human Resource Management, 29 (18). pp. 2632-2658. ISSN 0958-5192, DOI https://doi.org/10.1080/09585192.2016.1254103.

Aftab, M. and Ahmad, R. and Ismail, I. and Ahmed, M. (2016) Does exchange-rate uncertainty matter in the Malaysia–E.U. bilateral trade? An industry level investigation. Empirica, 43 (3). pp. 461-485. ISSN 0340-8744, DOI https://doi.org/10.1007/s10663-015-9302-6.

Aftab, M. and Syed, K.B.S. and Ahmad, Rubi and Ismail, Izlin (2016) Exchange-rate variability and industry trade flows between Malaysia and Japan. The Journal of International Trade & Economic Development, 25 (4). pp. 453-478. ISSN 0963-8199, DOI https://doi.org/10.1080/09638199.2015.1065901.

Aftab, Muhammad and Ahmad, Rubi and Ismail, Izlin (2018) Examining the uncovered equity parity in the emerging financial markets. Research in International Business and Finance, 45. pp. 233-242. ISSN 0275-5319, DOI https://doi.org/10.1016/j.ribaf.2017.07.154.

Aftab, Muhammad and Anifowose, Abolaji Daniel and Lau, Evan and Ismail, Izlin (2021) What does currency order flow tell about spot exchange rates of Asian emerging markets? Borsa Istanbul Review, 21 (3). pp. 281-290. ISSN 2214-8450, DOI https://doi.org/10.1016/j.bir.2020.11.003.

Aftab, Muhammad and Ismail, Izlin (2018) Impact of currency reform on Chinese external trade. International Journal of China Studies, 9 (1). pp. 67-78. ISSN 2180-3250,

Aftab, Muhammad and Naeem, Maham and Tahir, Muhammad and Ismail, Izlin (2024) Does uncertainty promote exchange rate volatility? Global evidence. Studies in Economics and Finance, 41 (1). pp. 177-191. ISSN 1086-7376, DOI https://doi.org/10.1108/SEF-12-2022-0579.

Aftab, Muhammad and Shah, Syed Zulfiqar Ali and Ismail, Izlin (2019) Does Gold Act as a Hedge or a Safe Haven against Equity and Currency in Asia? Global Business Review, 20 (1). pp. 105-118. ISSN 0972-1509, DOI https://doi.org/10.1177/0972150918803993.

Ahmad, Iftikhar and Ismail, Izlin and Shaharuddin, Shahrin Saaid (2021) Predictive role of ex ante strategic firm characteristics for sustainable initial public offering (IPO) survival. Sustainability, 13 (14). ISSN 2071-1050, DOI https://doi.org/10.3390/su13148063.

Ahmad, R. and Etudaiye-Muhtar, O.F. and Matemilola, B.T. and Bany-Ariffin, A.N. (2016) Financial market development, global financial crisis and economic growth: evidence from developing nations. Portuguese Economic Journal, 15 (3). pp. 199-214. ISSN 1617-982X, DOI https://doi.org/10.1007/s10258-016-0123-8.

Ahmad, R. and Koh, E.H.Y. and Shaharuddin, S.S. (2016) Determinants of bank profitability: A comparative study of East Asia and Latin America. International Journal of Banking, Accounting and Finance, 7 (1). pp. 34-51. ISSN 1755-3830, DOI https://doi.org/10.1504/IJBAAF.2016.079163.

Ahmad, Rubi and Albaity, Mohamed (2019) The Determinants of Bank Capital for East Asian Countries. Global Business Review, 20 (6). pp. 1311-1323. ISSN 0972-1509, DOI https://doi.org/10.1177/0972150919848915.

Ahmad, Rubi and Skully, Michael and Ariff, Mohamed (2008) Malaysian bank capital and risk profiles: Causality tests. Asian Journal of Business and Accounting, 20 (4). pp. 340-346. ISSN 1985-4064, DOI https://doi.org/10.1177/1010539508322698.

Ahmed, Ahsan and Zainudin, Rozaimah and Shaharuddin, Shahrin Saaid (2024) Financial integration and capital structure decisions of listed firms: Evidence from China. International Journal of Emerging Markets, 19 (2). pp. 435-455. ISSN 1746-8809, DOI https://doi.org/10.1108/IJOEM-05-2021-0757.

Ahmed, M.K. and Asadullah, M.N. and Kambhampati, U. (2016) The effect of formal banks on household income and poverty in Bangladesh. Malaysian Journal of Economic Studies, 53 (2). pp. 173-193. ISSN 1511-4554,

Ahmed, Waqar and Ashraf, Muhammad Saeed and Khan, Sharfuddin Ahmed and Kusi-Sarpong, Simonov and Arhin, Francis Kow and Kusi-Sarpong, Horsten and Najmi, Arsalan (2020) Analyzing the impact of environmental collaboration among supply chain stakeholders on a firm's sustainable performance. Operations Management Research, 13 (1-2). pp. 4-21. ISSN 1936-9735, DOI https://doi.org/10.1007/s12063-020-00152-1.

Ainan, Ummey Hany and Por, Lip Yee and Chen, Yen-Lin and Yang, Jing and Ku, Chin Soon (2024) Advancing bankruptcy forecasting with hybrid machine learning techniques: Insights from an unbalanced Polish dataset. IEEE Access, 12. pp. 9369-9381. ISSN 2169-3536, DOI https://doi.org/10.1109/ACCESS.2024.3354173.

Albaity, Mohamed and Mallek, Ray Saadaoui and Al-Tamimi, Hussein A. Hassan and Noman, Abu Hanifa Md (2021) Does competition lead to financial stability or financial fragility for Islamic and conventional banks? Evidence from theGCCcountries. International Journal of Finance & Economics, 26 (3). pp. 4706-4722. ISSN 1076-9307, DOI https://doi.org/10.1002/ijfe.2037.

Ali, Mohsin and Anwar, Urooj and Haseeb, Muhammad (2021) The impact of COVID-19 on Islamic and conventional stocks in Indonesia: A wavelet-based study. Buletin Ekonomi Moneter dan Perbankan, 24. pp. 15-32. ISSN 1410-8046, DOI https://doi.org/10.21098/bemp.v24i0.1480.

Amal, Muhammad Ridha Haykal and Muhammadi, Fauzan (2022) Reposition of ta'zīr and ta'wīḍ on moral hazard behavior in Islamic banking in Indonesia. Jurnal Hukum Novelty, 13 (1). pp. 38-48. ISSN 14126834, DOI https://doi.org/10.26555/novelty.v13i1.a21505.

Anifowose, Abolaji Daniel and Ismail, Izlin and Sukor, Mohd Edil Abd (2018) Currency Order Flow and Exchange Rate Determination: Empirical Evidence from the Malaysian Foreign Exchange Market. Global Business Review, 19 (4). pp. 902-920. ISSN 0972-1509, DOI https://doi.org/10.1177/0972150918772925.

Ashour, Majidah and Yong, Chen Chen (2018) The impact of exchange rate regimes on economic growth: Empirical study of a set of developing countries during the period 1974–2006. The Journal of International Trade & Economic Development, 27 (1). pp. 74-90. ISSN 0963-8199, DOI https://doi.org/10.1080/09638199.2017.1339117.

Athoillah, Mohamad Anton and Mohd Nor, Mohd Roslan and Khoiruddin, Heri and Rohimin, M. (2021) The historicity of the economic verses on fatwa of DSN-MUI about sharia electronic money. Jurnal Ilmiah Peuradeun, 9 (1). pp. 1-16. ISSN 2338-8617, DOI https://doi.org/10.26811/peuradeun.v9i1.545.

Azad, M.A.K. and Masum, A.K.M. and Munisamy, S. and Sharmin, D.F. (2016) Efficiency analysis of major microfinance institutions in Bangladesh: a Malmquist index approach. Quality & Quantity, 50 (4). pp. 1525-1537. ISSN 0033-5177, DOI https://doi.org/10.1007/s11135-015-0219-8.

Azad, M.A.K. and Munisamy, S. and Masum, A.K.M. and Wanke, P. (2016) Do African microfinance institutions need efficiency for financial stability and social outreach? South African Journal of Science, 112 (9-10). p. 20150474. ISSN 0038-2353, DOI https://doi.org/10.17159/sajs.2016/20150474.

Azad, Md Abul Kalam and Talib, Muzalwana Binti Abdul and Kwek, Kian-Teng and Saona, Paolo (2021) Conventional versus Islamic bank efficiency: A dynamic network data-envelopment-analysis approach. Journal of Intelligent & Fuzzy Systems, 40 (2). pp. 1921-1933. ISSN 1064-1246, DOI https://doi.org/10.3233/JIFS-189196.

Azhar, Zubir and Alfan, Ervina and Kishan, Krishnen and Assanah, Nurul Husna (2022) Accrual accounting at different levels of the public sector: A systematic literature review. Australian Accounting Review, 32 (1). pp. 36-62. ISSN 1035-6908, DOI https://doi.org/10.1111/auar.12357.

Azhar, Zubir and Mohamad, Marini Nurbanum and Pitchay, Anwar Allah (2022) Accounting information and supply chain management practices in the era of IR 4.0: The case of a Japanese subsidiary in Malaysia. Asian Journal of Business and Accounting, 15 (1). pp. 179-206. ISSN 1985-4064, DOI https://doi.org/10.22452/ajba.vol15no1.6.

Azrai Azaimi Ambrose, Azniza Hartini and Gulam Hassan, Mohamed Aslam and Hanafi, Hanira (2018) A proposed model for waqf financing public goods and mixed public goods in Malaysia. International Journal of Islamic and Middle Eastern Finance and Management, 11 (3). pp. 395-415. ISSN 1753-8394, DOI https://doi.org/10.1108/IMEFM-01-2017-0001.

Bahmani-Oskooee, M. and Aftab, M. and Harvey, H. (2016) Asymmetry cointegration and the J-curve: New evidence from Malaysia-Singapore commodity trade. Journal of Economic Asymmetries, 14 (Part B). pp. 211-226. ISSN 1703-4949, DOI https://doi.org/10.1016/j.jeca.2016.10.001.

Banna, H. and Afroz, R. and Masud, M.M. and Rana, M.S. and Koh, E.H.Y. and Ahmad, R. (2016) Financing an efficient adaptation programme to climate change: A contingent valuation method tested in Malaysia. Cahiers Agricultures, 25 (2). p. 25003. ISSN 1166-7699, DOI https://doi.org/10.1051/cagri/2016014.

Banna, Hasanul and Ahmad, Rubi and Koh, Eric Hsieng Yang (2018) How does total quality management influence the loan quality of the bank? Total Quality Management & Business Excellence, 29 (3-4). pp. 287-300. ISSN 1478-3363, DOI https://doi.org/10.1080/14783363.2016.1180954.

Banna, Hasanul and Hassan, M. Kabir and Ahmad, Rubi and Alam, Md Rabiul (2022) Islamic banking stability amidst the COVID-19 pandemic: The role of digital financial inclusion. International Journal of Islamic and Middle Eastern Finance and Management, 15 (2, SI). pp. 310-330. ISSN 1753-8394, DOI https://doi.org/10.1108/IMEFM-08-2020-0389.

Baskaran, Angathevar and Dong, Thiri and Selvarajan, Sonia Kumari (2022) Microfinance and women’s empowerment in Myanmar. Institutions and Economies, 14 (2). 59 – 90. ISSN 2232-1640, DOI https://doi.org/10.22452/IJIE.vol14no2.3.

Batten, Jonathan A. and Khaw, Karren Lee Hwei and Young, Martin R. (2018) Pricing convertible bonds. Journal of Banking & Finance, 92. pp. 216-236. ISSN 0378-4266, DOI https://doi.org/10.1016/j.jbankfin.2018.05.006.

Batten, Jonathan A. and Khaw, Karren Lee-Hwei and Young, Martin R. (2021) Convertible debt and asset substitution of multinational corporations. Journal of Corporate Finance, 67. ISSN 0929-1199, DOI https://doi.org/10.1016/j.jcorpfin.2020.101843.

Berlinger, Edina and Gosztonyi, Marton and Havran, Daniel and Pollak, Zoltan (2023) Interpersonal versus interbank lending networks: The role of intermediation in risk-sharing. Emerging Markets Review, 54. ISSN 1566-0141, DOI https://doi.org/10.1016/j.ememar.2022.100989.

Bin-Nashwan, Saeed Awadh and Muneeza, Aishath and Kunhibava, Sherin (2022) What motivates retail investors to invest in government-issued digital sukuk during COVID-19? Journal of Islamic Accounting and Business Research, 13 (3). 393 -424. ISSN 1759-0817, DOI https://doi.org/10.1108/JIABR-12-2020-0387.

Borhan, J.T. and Shuib, M.S. and Abu Bakar, A. (2011) Musharakah Mutanaqisah home financing products: an implementation analysis, product advantages and issues at Citibank (Malaysia) Berhad. Journal of Techno-Social UTM, 3 (2). pp. 43-53.

Bouteraa, Mohamed and Chekima, Brahim and Thurasamy, Ramayah and Bin-Nashwan, Saeed Awadh and Al-Daihani, Meshari and Baddou, Abderrahmane and Sadallah, Mouad and Ansar, Rudy (2024) Open Innovation in the Financial Sector: A Mixed-Methods Approach to Assess Bankers' Willingness to Embrace Open-AI ChatGPT. Journal of Open Innovation: Technology, Market, and Complexity, 10 (1). p. 100216. ISSN 2199-8531, DOI https://doi.org/10.1016/j.joitmc.2024.100216.

Chan, Jacinta Phooi M'ng (2018) Dynamically Adjustable Moving Average (AMA’) technical analysis indicator to forecast Asian Tigers’ futures markets. Physica A: Statistical Mechanics and its Applications, 509. pp. 336-345. ISSN 0378-4371, DOI https://doi.org/10.1016/j.physa.2018.06.010.

Chan, Sok Gee and Ramly, Zulkufly (2018) The role of country governance on value-added tax and inequality. E+M Ekonomie a Management, 21 (4). pp. 79-93. ISSN 1212-3609, DOI https://doi.org/10.15240/tul/001/2018-4-006.

Chan, Sok-Gee and Aktan, Bora and Burton, Bruce and Koh, Eric Hsieng Yang (2021) The impact of soft information and institutional quality on foreign bank efficiency-Evidence from ASEAN-5 countries. International Review of Economics & Finance, 74. pp. 23-32. ISSN 1059-0560, DOI https://doi.org/10.1016/j.iref.2021.01.017.

Chan, Sok-Gee and Ramly, Zulkufly and Zulkhairi, Mustapha (2021) Value-added tax and economic efficiency: Role of country governance. Panoeconomicus, 68 (3). pp. 325-358. ISSN 1452-595X, DOI https://doi.org/10.2298/PAN180201020C.

Chang, Le and Li, Jing and Cheong, Kee-Cheok and Goh, Lim-Thye (2021) Can existing theories explain China's outward foreign direct investment in belt and road countries. Sustainability, 13 (3). ISSN 2071-1050, DOI https://doi.org/10.3390/su13031389.

Che Azmi, A.A. and Ang, Y.D. and Talib, S.A. (2016) Trust and justice in the adoption of a welfare e-payment system. Transforming Government: People, Process and Policy, 10 (3). pp. 391-410. ISSN 1750-6166, DOI https://doi.org/10.1108/TG-09-2015-0037.

Chin, Mui-Yin and Ong, Sheue Li and Ooi, Daniel Boon-Yann and Puah, Chin-Hong (2024) The impact of green finance on environmental degradation in BRI region. Environment Development and Sustainability, 26 (1). 303 – 318. ISSN 1387-585X, DOI https://doi.org/10.1007/s10668-022-02709-5.

Chin, Wu Chu and Rasiah, Rajah and Furuoka, Fumitaka (2024) The corporate environmental and financial performance nexus: a comparison of corporations in China and Japan. Energy Efficiency, 17 (4). p. 29. ISSN 1570-646X, DOI https://doi.org/10.1007/s12053-024-10212-1.

Choudhury, Masudul Alam (2018) Comparative Islamic perspectives in money, monetary policy, and social wellbeing. Journal of Economic Cooperation and Development, 39 (1). pp. 143-162. ISSN 1308-7800,

Choudhury, Masudul Alam (2018) Micro-money, finance and real economy interrelationship in the framework of Islamic ontology of unity of knowledge and the world-system of social economy. International Journal of Social Economics, 45 (2). pp. 445-462. ISSN 0306-8293, DOI https://doi.org/10.1108/IJSE-11-2016-0340.

Choudhury, Masudul Alam (2018) The nature of well-being objective function in tax-free regime of ethico-economics. Journal of Islamic Accounting and Business Research, 9 (2). pp. 171-182. ISSN 1759-0817, DOI https://doi.org/10.1108/JIABR-05-2016-0065.

Choudhury, Masudul Alam (2018) The ontological law of Tawhid contra ‘Shari’ah-compliance’ in Islamic portfolio finance. International Journal of Law and Management, 60 (2). pp. 413-434. ISSN 1754-243X, DOI https://doi.org/10.1108/IJLMA-01-2017-0001.

Choudhury, Masudul Alam and Ab Rahman, Asmak and Hasan, Abul (2018) Trade versus riba in the Qurʾān with a critique of the role of bank-saving. International Journal of Law and Management, 60 (2). pp. 701-716. ISSN 1754-243X, DOI https://doi.org/10.1108/IJLMA-03-2017-0021.

Dagestani, Abd Alwahed and Alnafrah, Ibrahim and Ding, Chante Jian and Qing, Lingli (2024) Beyond transparency: Unpacking the financial effects of third-party environmental disclosure in China's semiconductor sector. Journal of Environmental Management, 360. p. 121237. ISSN 0301-4797, DOI https://doi.org/10.1016/j.jenvman.2024.121237.

Danrimi, Mohammed Lawal and Abdullah, Mazni and Alfan, Ervina (2018) Investors’ herding practice: do IFRS and national economic culture matter? Managerial Finance, 44 (9). pp. 1117-1133. ISSN 0307-4358, DOI https://doi.org/10.1108/MF-08-2017-0311.

Dong, Hanghang and Tao, Miaomiao (2022) The policy effect of green finance reform and innovations: Empirical evidence at the firm level. PLoS ONE, 17 (12). ISSN 1932-6203, DOI https://doi.org/10.1371/journal.pone.0278128.

Dou, Zixin and Wu, BeiBei and Sun, Yanming and Wang, Tao (2021) The competitiveness of manufacturing and its driving factors: A case study of G20 participating countries. Sustainability, 13 (3). ISSN 2071-1050, DOI https://doi.org/10.3390/su13031143.

Fatt, C.K. and Abu Ujum, E. and Ratnavelu, K. (2010) The structure of collaboration in the journal of finance. Scientometrics, 85 (3). pp. 849-860.

Furuoka, Fumitaka and Rasiah, Rajah and Idris, Rafiq and Ziegenhain, Patrick and Jacob, Ray Ikechukwu and Munir, Qaiser (2018) Income convergence in the ASEAN-5 countries. International Journal of Business and Society, 19 (3). pp. 554-569. ISSN 1511-6670,

Ghadwan, Ahmad and Wan Ahmad, Wan Marhaini and Hanifa, Mohamed Hisham (2022) Financial planning for retirement: the mediating role of culture. Risks, 10 (5). ISSN 2227-9091, DOI https://doi.org/10.3390/risks10050104.

Ghazali, Ahmad and Khaw, Karren Lee-Hwei and Zainir, Fauzi (2022) Development vs. political views of government ownership: How does it affect investment efficiency? Finance Research Letters, 48. ISSN 1544-6123, DOI https://doi.org/10.1016/j.frl.2022.103034.

Go, Y.H. and Lau, W.Y. (2017) Investor demand, market efficiency and spot-futures relation: Further evidence from crude palm oil. Resources Policy, 53. pp. 135-146. ISSN 0301-4207, DOI https://doi.org/10.1016/j.resourpol.2017.06.009.

Go, You How and Lau, Wee Yeap (2024) Terms of trade or market power? Further evidence from dynamic spillovers in return and volatility between Malaysian crude palm oil and foreign exchange markets. North American Journal of Economics and Finance, 73. p. 102178. ISSN 1062-9408, DOI https://doi.org/10.1016/j.najef.2024.102178.

Go, You-How and Lau, Wee-Yeap (2021) Extreme risk spillovers between crude palm oil prices and exchange rates. North American Journal of Economics and Finance, 58. ISSN 1062-9408, DOI https://doi.org/10.1016/j.najef.2021.101513.

Goh, K.L. and Chong, C.S. and Yong, S.L. (2007) Bank lending channel for monetary policy transmission in Malaysia: An ARDL approach. Applied Econometrics and International Development, 7 (2). pp. 221-234. ISSN 1578-4487,

Goh, Kim Leng and Tey, Nai Peng (2018) Personal income in Malaysia: Distribution and differentials. Economics Bulletin, 38 (2). pp. 973-982. ISSN 1545-2921,

Goh, Lim Thye and Law, Siong Hook (2023) The crime rate of five Latin American countries: Does income inequality matter? International Review of Economics & Finance, 86. pp. 745-763. ISSN 1059-0560, DOI https://doi.org/10.1016/j.iref.2023.03.036.

Goh, Lim Thye and Law, Siong Hook and Trinugroho, Irwan (2022) Do oil price fluctuations affect the inflation rate in Indonesia asymmetrically? Singapore Economic Review, 67 (04). pp. 1333-1353. ISSN 0217-5908, DOI https://doi.org/10.1142/S0217590820460030.

Guan, Long Fei and Lau, Wee Yeap (2018) Triffin Dilemma and International Monetary System : Evidence from Pooled Mean Group Estimation. The Journal of Asian Finance, Economics and Business, 5 (2). pp. 5-14. ISSN 2288-4637, DOI https://doi.org/10.13106/jafeb.2018.vol5.no2.5.

Gulzar, Rosana and Ibrahim, Mansor H. and Ariff, Mohamed (2021) Islamic banks: History, stability and lessons from cooperative banking. Institutions and Economies, 13 (3). pp. 1-26. ISSN 22321640, DOI https://doi.org/10.22452/IJIE.vol13no3.1.

Halim, Zairihan Abdul and Zakaria, Nadisah and Zakaria, Roza Hazli and Hazman, Samsudin (2018) Arrangers’ Identity and the Syndicate Structure of Sukuk (Identiti Pengatur dan Struktur Sindiket Sukuk). Jurnal Ekonomi Malaysia, 52 (1). pp. 243-256. ISSN 0126-1962, DOI https://doi.org/10.17576/JEM-2018-5201-20.

Han, Zhonghua and Yeoh, Emile Kok Kheng and Wan Ahmad, Wan Marhaini (2018) Does religious obligation of Muslims inwestern China influence their intention to adopt Islamic banking? Contemporary Chinese Political Economy and Strategic Relations, 4 (3). pp. 1207-1244. ISSN 2410-9681,

Haq, Wajiha and Ismail, Noor Azina and Satar, Nurulhuda Mohd (2018) Household debt decision in Pakistan: The role of socioeconomic factors and inheritance. Institutions and Economies, 10 (2). pp. 1-21. ISSN 2232-1640,

Haq, Wajiha and Ismail, Noor Azina and Satar, Nurulhuda Mohd (2018) Investigation of Household Debt through Multilevel Multivariate Analysis: Case of a Developing Country. Journal of Reviews on Global Economics, 7. pp. 297-316. ISSN 1929-7092, DOI https://doi.org/10.6000/1929-7092.2018.07.26.

Haq, Wajiha and Ismail, Noor Azina and Satar, Nurulhuda Mohd and Watson, Duncan (2018) Household debt in different age cohorts: A multilevel study. Cogent Economics & Finance, 6 (1). p. 1455406. ISSN 2332-2039, DOI https://doi.org/10.1080/23322039.2018.1455406.

Hasan, Md. Bokhtiar and Mahi, Masnun and Sarker, Tapan and Amin, Md. Ruhul (2021) Spillovers of the COVID-19 pandemic: Impact on global economic activity, the stock market, and the energy sector. Journal of Risk and Financial Management, 14 (5). ISSN 1911-8066, DOI https://doi.org/10.3390/jrfm14050200.

Haseeb, Muhammad and Mahdzan, Nurul Shahnaz and Wan Ahmad, Wan Marhaini (2023) Are shariah-compliant firms less prone to stock price crash risk? Evidence from Malaysia. International Journal of Islamic and Middle Eastern Finance and Management, 16 (2, SI). pp. 291-309. ISSN 1753-8394, DOI https://doi.org/10.1108/IMEFM-06-2021-0223.

He, Liying and Zhang, Mengying (2024) How Political Influence and Financial Pressure Contribute to Performance-Based Budgeting and University Performance: Evidence fromSEM and NCA. SAGE Open, 14 (2). p. 21582440241256637. ISSN 2158-2440, DOI https://doi.org/10.1177/21582440241256637.

Hooy, Chee Wooi and Goh, Kim Leng and Cheong, Kee Cheok (2018) Responses of ASEAN-5 to China stock market reforms. International Journal of China Studies, 9 (1). pp. 119-131. ISSN 2180-3250,

Hou, Shiying and Song, Liangrong and Wang, Jiaqi and Ali, Shujahat (2021) How land finance affects green economic growth in Chinese cities. Land, 10 (8). ISSN 2073-445X, DOI https://doi.org/10.3390/land10080819.

Irfan, Muhammad and Lau, Wee Yeap (2024) Asset allocation and performance of Malaysian Civil Service Pension Fund. Australasian Accounting, Business and Finance Journal, 18 (1). 86 – 107. ISSN 1834-2000, DOI https://doi.org/10.14453/aabfj.v18i1.06.

Islam, M.N. and Furuoka, Fumitaka and Idris, Aida (2021) Influence of Gender Diversity on Employee Work Engagement in the Context of Organizational Change: Evidence From Bangladeshi Employees. International Journal of Asian Business and Information Management, 12 (3). pp. 1-19. ISSN 19479638, DOI https://doi.org/10.4018/IJABIM.294099.

Islam, Reazul and Ahmad, Rubi (2020) Applicability of mudarabah and musharakah as Islamic micro-equity finance to underprivileged women in Malaysia. European Journal of Development Research, 32 (1). pp. 176-197. ISSN 0957-8811, DOI https://doi.org/10.1057/s41287-019-00225-3.

Islam, Reazul and Ahmad, Rubi and Ghailan, Khalid and Hoque, Kazi Enamul (2020) An Islamic microfinance approach to scaling up the economic life of vulnerable people with HIV/AIDS in the muslim society. Journal of Religion and Health, 59 (3). pp. 1327-1343. ISSN 0022-4197, DOI https://doi.org/10.1007/s10943-019-00832-8.

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TAHIR, Hussain and MASRI, Ridzuan and Rahman, Mahfuzur (2020) Corporate Board Attributes and Dividend Pay-out Policy: Mediating Role of Financial Leverage. The Journal of Asian Finance, Economics and Business, 7 (1). pp. 167-181. ISSN 2288-4637, DOI https://doi.org/10.13106/jafeb.2020.vol7.no1.167.

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Theong, May Jin and Osman, Ahmad Farid and Yap, Su Fei (2018) Household indebtedness: How global and domestic macro-economic factors influence credit card debt default in Malaysia. Institutions and Economies, 10 (3). pp. 37-56. ISSN 2232-1640,

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Wahab, Noorsakinah Abdul and Rahin, Nurliana Md and Mustapha, Mohd Zulkhairi (2022) CSR decoupling and tax avoidance: A conceptual framework. Australasian Accounting, Business and Finance Journal, 16 (3). 131 – 146. ISSN 1834-2000, DOI https://doi.org/10.14453/aabfj.v16i3.09.

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Wong, Siew Chin and Teoh, Melissa Teng Tenk and Yap, Angeline Kiew Heong and Saleh, Zakiah (2022) Determinants of cryptocurrency adoption behavior in Malaysia; Penentu kepada tingkahlaku penerimagunaan kriptowang di Malaysia. Jurnal Pengurusan, 65. 3 – 14. ISSN 0127-2713, DOI https://doi.org/10.17576/pengurusan-2022-65-01.

Wong, W.C. and Lee, J.Y.M. and Daud, M.N. and Ng, P.L. and Chan, W.S. (2014) Strategic development of property auctions market in Malaysia. Journal of Real Estate Literature, 22 (2). pp. 261-278. ISSN 0927-7544,

Wong, W.C. and Ng, P.L. and Lee, J.Y.M. and Daud, M.N. (2015) Apartment foreclosure discount in Kuala Lumpur. Pacific Rim Property Research Journal, 21 (2). pp. 127-138. ISSN 1444-5921, DOI https://doi.org/10.1080/14445921.2015.1058034.

Xie, Changqian and Ahmad, Rubi and Koh, Eric H. Y. (2022) Does credit rating agency reputation matter in China's local government bond market? PLOS ONE, 17 (9). ISSN 1932-6203, DOI https://doi.org/10.1371/journal.pone.0274828.

Xie, Yi and Zhou, Lingke (2022) Stock market reaction to the announcement of the Covid-19 lockdown: Evidence from healthcare companies in Malaysia. Journal of Environmental and Public Health, 2022. ISSN 1687-9805, DOI https://doi.org/10.1155/2022/7279233.

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Yahaya, Mohammed Baba and Oon, Elaine Yen Nee and Jusoh, Ruzita (2024) CEO Duality and Bank Tax Avoidance: The Moderating Role of Risk Committees - An International Evidence. Finance a Uver-Czech Journal of Economics and Finance, 74 (1). pp. 73-104. ISSN 0015-1920, DOI https://doi.org/10.32065/CJEF.2024.01.03.

Yap, Kok Leong and Abdul Kader, Radiah (2008) Impact of interest rate changes on performance of Islamic and conventional banks. Malaysian Journal of Economic Studies, 45 (2). pp. 113-134. ISSN 1511-4554,

Yap, Kok Leong and Lau, Wee Yeap and Ismail, Izlin (2021) A Comparative Study between Islamic and Conventional Exchange-Traded Funds: Evidence from Global Market Indices. Journal of Asian Finance, Economics and Business, 8 (2). pp. 725-735. ISSN 2288-4637, DOI https://doi.org/10.13106/jafeb.2021.vol8.no2.0725.

Yew, S.Y. and Yong, C.C. and Cheong, K.C. and Tey, N.P. (2017) Does financial education matter? Education literacy among undergraduates in Malaysia. Institutions and Economies, 9 (1). pp. 43-60. ISSN 2232-1640,

Yew, Siew Yong and Yong, Chen Chen and Tan, Hui Boon (2010) Impact of economic integration on foreign direct investment into ASEAN5. Malaysian Journal of Economic Studies, 47 (1). pp. 73-90. ISSN 1511-4554,

Yip, Peng Poi and Isa, Mansor and Kester, George W. and Lee, Siew Peng (2010) Share price reaction to dividend announcements and the interaction with earnings announcements in the Malaysian stock market. Asian Journal of Business and Accounting, 3 (2). pp. 101-120. ISSN 1985-4064,

Yong, Chen Chen and Yew, Siew Yong and Wee, Chu Kok (2018) Financial knowledge, attitude and behaviour of young working adults in Malaysia. Institutions and Economies, 10 (4). pp. 21-48. ISSN 2232-1640,

Yusof, Aida Yuzi and Lau, Wee Yeap and Osman, Ahmad Farid (2016) A critical analysis of the Malaysian risk-based capital framework: A comparison between general insurance and takaful. Institutions and Economies, 8 (4). pp. 23-41. ISSN 2232-1640,

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Conference or Workshop Item

Ab Rahman, Asmak and Mohamad, Shamsiah (2010) Analysis of Tabarru` Principle in Takaful Contract: Malaysian Experience. In: Proceedings of 2010 International Conference on Humanities, Historical and Social Sciences (CHHSS 2010), 26-28 February, 2010, Singapore. (Unpublished)

Ab Rahman, Asmak and Mohamad, Shamsiah and Wan Ahmad, Wan Marhani and Hussin, Mohd Fauzi (2011) Development of the Islamic insurance business in Malaysia. In: International Conference on Human and Social Science, 24-26 Jun 2011, Paris, France.

Abd Halim, M.R. and Mohamad, M.T. and Sulaiman, A.A. (2012) Pengurusan kecairan berasaskan aset dan liabiliti perbankan Islam di Malaysia. In: Persidangan Kebangsaan Ekonomi Malaysia (PERKEM) 2012, 04-06 June 2012, Ipoh, Perak.

Abd Karim, M.Z. and Bos Abdullah, M.R. and Chan, S.G. (2009) Forced merger and efficiency in Malaysian banking. In: 4th International Conference of the Asian Academy of Applied Business, 17-18 Dec 2009, Manila, Filipina.

Abdullah, M. (2017) The role of Zakat on Muslims’ tax compliance behavior – from qualitative perspectives. In: 5th ASEAN Universities International Conference on Islamic Finance (5th AICIF), 13-14 December 2017, Park View Hotel, Jerudong, Negara Brunei Darussalam.

Chan, S.G. and Lee, T.H. (2010) Corporate governance, board diversity and bank efficiency: The case of commercial banks in Malaysia. In: The Asian Business & Management Conference 2010, 07-09 Oct 2010, Osaka, Japan.

Che Hashim, R. and Abdul Aziz, A.Z. (2009) Islamic letter of credit (LC): An overview on legal and shari'ah issues. In: International Conference on Corporate Law 2009 , 1-3 Jun 2009, Surabaya, Indonesia. (Submitted)

Che Hashim, Rosmawani and Othman, Ahmad Azam and Abdul Aziz, Akhtarzaite (2011) Fraud in letter of credit - Malaysian banks' perspective. In: 6th UUM International Legal Conference, 19-20 Nov 2011, Penang.

Go, Y.H. and Lau, W.Y. (2014) Evaluating the hedging effectiveness in crude palm oil futures market during financial crises. In: Annual Conference on Pacific Basin Finance, Economic, Accounting and Management, 04-05 Sep 2014, Nagoya, Japan. (Submitted)

H. Abas, Khairizah and Yusof, Z. and Samsi, Siti Muliana (2010) Monetary Model of Ringgit Exchange. In: Proceedings of 2010 International Conference on Business, Economics and Tourism Management (CBETM 2010) , 26-28 February, 2010, Singapore.

Haji Togok, S. and Isa, C.R. and Zainuddin, S. (2014) Review of enterprise risk management (ERM) literature. In: International Conference on Technology and Business Management, 24-26 Mac 2014, Dubai, UAE.

Halim, A.A. and Sukor, M.E.A. and Bacha, O.I. (2017) Capital structure puzzle: Does shariah compliance status matter? In: 3rd International Conference on Islamic Perspective of Accounting, Finance, Economics and Management (IPAFEM 2017), 23-25 November 2017, Yildiz Technical University, Istanbul, Turkey.

Hanafi, H. (2014) Current practices of Islamic home financing: a case of musharakah mutanaqisah in Malaysia. In: International Halal Conference "Taking Halal To The Next Level", 17-18 Nov 2014, Beyazid, Istanbul. (Submitted)

Ibrahimy, A.I. and Ahmad, R. (2012) Executive stock option, corporate governance and value of the firm: Facts and fiction of Malaysian non-financial listed companies. In: 2nd International Conference On Management (2nd ICM 2012) Proceeding, 11-12 June 2012, Langkawi, Kedah.

Ibrahimy, A.I. and Ahmad, R. (2012) Market timing of executive stock option granting and exercising: Evidence from bursa Malaysia. In: International Conference on Business and Economic Research, 12-13 March 2012, Bandung, Indonesia.

Lai, Fong Woon and A. Samad, M. Fazilah and Azizan, Noor Azlinna (2011) Multifactor model of risk and return through enterprise risk management framework. In: 3rd International Conference on Information and Financial Engineering, 19-21 Aug 2011, Shanghai, China.

Liu, Baifang and Sui, Liqiu and Xia, Jiahui and Wang, Tiantian and Cui, Yuna and Song, Yanrong a and Yang, Libo (2021) The impact of internet on the trade-off between investment return and asset structure. In: Journal of Physics: Conference Series, 27-30 December 2020, Lijiang, Yunnan, Virtual.

Mohamad, M.T. and Borhan, J.T. and Sulaiman@Mohamad, A.A. (2012) Relevansi perbankan Islam mendepani cabaran ketidakstabilan kewangan. In: Persidangan Kebangsaan Ekonomi Malaysia (PERKEM) 2012, 04-06 Jun 2012, Ipoh, Perak.

Mohammad Monawer, A.T. (2012) An appraisal of Al-Ijarah Al-Mawsufah Fi Al-Dhimmah (forward ijarah) from fiqh perspective. In: Towards an Integrated Framework for Authentic Juridical Construction (2012), December 2012, International Islamic University Malaysia (IIUM), Gombak, Kuala Lumpur.

Mohd Razif, N.F. and Samsul Kamal, N.S. and Mohamad, S. and Hashim, M.A. (2017) Excessive speculation and its regulation on house prices: A Malaysia experience. In: 15th International Conference on Social Sciences, Business, Technology and Management (SBTM-DEC-2017), 2-3 December 2017, Ibis Style Myeongyong-dong Hotel, Seoul, South Korea.

Muhamad, R. (2007) Corporate social responsibility: An Islamic perspective. In: International Conference on Global Research in Business and Economics, 27-29 Dec 2007, Bangkok, Thailand. (Unpublished)

Ng, K.Y. and Goh, K.L. (2011) Effects of size and allocation method on stock portfolio performance: a simulation study. In: 3rd International Conference on Information and Financial Engineering, 19-21 Aug 2011, Shanghai, China.

Poorangi, M.M. and Sek Khin, E.W. (2011) Profile of sme’s strategic alliance in Malaysia. In: International Conference On Management 2011, 13-14 Jun 2011, Penang.

Rosele, Muhammad Ikhlas and Luqman, Abdullah (2018) The practices of zakat payment by Islamic financial institution in Malaysia. In: 6th International Prophetic Heritage Conference 2018 (SWAN 2018), 2-3 October 2018, International University For Renewal (IUR) Essenyurt, Turkey.

Saleh, Z. and Abu Hasan, H. (2015) The role of the public accounts committee in enhancing government accountability in Malaysia. In: Centre for Public Sector Governance, Accountability and Performance 2014 Annual Symposium, 28 Oct 2014, Melbourne, Australia. (Submitted)

Samad, M.F. and Shaharudin, R.S. and Ha, S.G. (2007) Does dividend stability provide a promising stock return? evidence from Bursa Malaysia. In: Australasian Finance Banking Conference 2007 , 12-14 Dis 2007, Sydney, Australia. (Unpublished)

Sapiei, N.S. (2014) Tax agents perceptions of the corporate taxpayers' compliance costs under the self-assessment system. In: 2014 International Academic Conference, 13-16 Apr 2014, Istanbul, Turkey. (Submitted)

Sukor, M.E.A. and Nasehi, P. and Koh, E.H.Y. (2017) Financial risk attitudes, demographic profiles and behavioural traits: Do they interrelate? In: International Conference on Arts, Business, Education and Social Sciences (ABESS 2017), 15-17 August 2017, Langkawi Island, Kedah, Malaysia.

Sulaiman, A.A. and Mohd, N.A. and Mohamad, M.T. (2012) Analisis pulangan saham terhadap keuntungan perbankan Islam Malaysia. In: Persidangan Kebangsaan Ekonomi Malaysia (PERKEM) 2012, 04-06 June 2012, Ipoh, Perak.

Yahya, Y. and Mahzan, N.M. (2012) The role of internal auditing in ensuring governance in Islamic financial institution (IFI). In: International Conference on Business and Economic Research, 12-13 March 2012, Bandung, Indonesia.

Yong, C.C. and Yew, S.Y. and Mizuno, K. and Teh, P.L. (2011) International market penetration by Japanese affiliates via exporting from ASEAN4 and China. In: 3rd International Conference on Information and Financial Engineering, 19-21 Aug 2011, Shanghai, China.

Yong, C.C. and Yew, S.Y. and Teh, P.L. (2009) The mediating role of export-oriented Japanese foreign direct investment in China. In: The All China Economics International Conference, 14-16 Dec 2009, Hong Kong.

Zainal, A. and Muhamad, R. (2014) Internal mechanisms of corporate governance and the likelihood of financial statements fraud: A study from Indonesian public listed companies. In: International Conference on Business, Information and Cultural Creative Industry 2014, 06-08 Aug 2014, Taipei, Taiwan. (Submitted)

Zakaria, R.H. (2008) Foreign banks and credit stability: Evidence from Malaysia. In: International Conference Business and Economics Societal, 15-19 Jul 2008, Lugano, Switzerland. (Submitted)

This list was generated on Wed Dec 18 19:03:08 2024 +08.