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Vol. 12 No. Supp. 1 (2016)
Published:
2022-06-25
Full Issue
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Articles
Debt Maturity, Underinvestment Problem and Corporate Value
Karren Lee-Hwei Khaw, Benjie Chien Jiang Lee
1–17
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Stock Market Liberalisation and Cost of Equity: Firm-Level Evidence from Malaysia
Swee-Sim Foong, Kian-Ping Lim
19–42
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The Roles of Investor Sentiment in Malaysian Stock Market
Jasman Tuyon, Zamri Ahmad, Hylmee Matahir
43–75
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The Value of Governance Variables in Predicting Financial Distress Among Small and Medium-Sized Enterprises in Malaysia
Nur Adiana Hiau Abdullah, Muhammad M. Ma'aji, Karren Lee-Hwei Khaw
77–91
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Effective Corporate Governance and Financial Reporting in Japan
Khondaker Mizanur Rahman, Marc Bremer
93–122
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Cross-Border Mergers and Acquisitions (CBMAs): A Review on Top Six ASEAN Country CBMA Players
Nurhazrina Mat Rahim, Ruhani Ali
123–158
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Alteration of Risk in Asian Bond Markets during and after Mortgage Crisis: Evidence from Value at Risk (VaR) Analysis
Samet Günay
159–182
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A Note about the Finance Journal Rankings and Citation Counts
Luh-Yu (Louie) Ren
183–194
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