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  3. Vol. 10 No. 1 (2014)

Published: 2014-06-30

Full Issue

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Articles

Impact of Foreign and Domestic Order Imbalances on Return and Volatility-volume Relation

Irwan Adi Ekaputra

1–19

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Institutional Investors Trading Strategy in Indonesia’s Government Bond Market During the 2008 Crisis

Isabelle Aranditha Gusdinar, Deddy Priatmodjo Koesrindartoto

21–44

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Market Reactions to Share Repurchase Announcements in Malaysia

Mansor Isa, Siew-Peng Lee

45–73

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Analysis of Corporate Control: Can the Voting Power Index Outshine Shareholding Size?

Norkhairul Hafiz Bajuri, Shanti Chakravarty, Noor Hazarina Hashim

75–94

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Default Risk Analysis in Micro, Small and Medium Enterprises: Does Debt Overhang Theory Occur?

Imam Wahyudi

95–131

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Linear Vector Error Correction Model Versus Markov Switching Vector Error Correction Model to Investigate Stock Market Behaviour

Seuk-Wai Phoong, Mohd Tahir Ismail, Siok-Kun Sek

133–149

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The Persistency of International Diversification Benefits: The Role of the Asymmetry Volatility Model

Ung Sze Nie, Choo Wei Chong, Murali Sambasivan, Annuar Md. Nassir

151–165

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ISSN: 1823-4992
eISSN: 2180-4192

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