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Vol. 2 No. 2 (2006)
Published:
2006-12-31
Articles
Optimum Currency Area Criteria and Volatility in ASEAN
Tajul Ariffin Masron, Zulkornain Yusop
1–17
PDF
Efficiency of Commercial Banks in Malaysia
Mohd. Azmi Omar, Abdul Rahim Abdul Rahman, Rosylin Mohd. Yusof, M. Shabri Abd. Majid, Mohd. Eskandar Shah Mohd. Rasid
19–42
PDF
A Comparison Between Fama and French Model and Liquidity-Based Three Factor Models in Predicting Portfolio Returns
Ruzita Abdul Rahim, Abu Hassan Shaari Mohd. Nor
43–60
PDF
Interest Rates Uncertainty, Immediacy Cost and the Role of Banks
Shamshubaridah Ramlee, Nor Azlan Ghazali
61–74
PDF
A Financial Distress Pre-Warning Study by Fuzzy Regression Model of TSE-Listed Companies
Wen-Ying Cheng, Ender Su, Sheng-Jung Li
75–93
PDF
Pricing of Risk in the Indian Corporate Bond Market: Some Evidence
Shailaja Gajjala
95–104
PDF