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Vol. 14 No. 2 (2018)
Published:
2018-12-31
Articles
Retention Ratio, Lock-Up Period and Prestige Signals and Their Relationship with Initial Public Offering (IPO) Return: Malaysian Evidence
Ali Albada, Othman Yong, Mohd. Ezani Mat Hassan, Ruzita Abdul-Rahim
1–23
PDF
Impact of China on Malaysian Economy: Empirical Evidence of Sign-Restricted Structural Vector Autoregression (SVAR) Model
Mohd Azlan Shah Zaidi, Zulkefly Abdul Karim, Zurina Kefeli @ Zulkefli
25–44
PDF
Financial Sector and Aggregate Import Demand: A General Equilibrium Perspective with Japan Data
Tuck Cheong Tang
45–64
PDF
Governance of Behavioural Biases in Asset Management Industry: Insights from Fund Managers in Malaysia
Zamri Ahmad, Haslindar Ibrahim, Jasman Tuyon
65–102
PDF
Do Insiders Trading Before Open Market Share Repurchase Announcement Give an Additional Signaling? A Study in the Indian Context
Sarthak Kumar Jena, Chandra Sekhar Mishra, Prabina Rajib
103–135
PDF
Monetary Policy, Bank Competitiveness and Bank Risk-Taking: Empirical Evidence from Vietnam
Nguyen Tran Thai Ha, Phan Gia Quyen
137–156
PDF
Exchange Rate Exposure and Crude Oil Price: The Case of an Emerging Market
Meenchee Hong, Ei Yet Chu, Saw Imm Song
157–184
PDF