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  3. Vol. 3 No. 1 (2007)

Published: 2007-06-30

Articles

A Value at Risk Approach to Measuring Equity Trading Risk Exposure in Emerging Stock Markets

Mazin A. M. Al Janabi

1–19

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Does it Pay to Be Good in Developing Countries? The Relationship Between Corporate Social Responsibility and Financial Performance in Malaysia

Bala Ramasamy, Hung Woan Ting, Matthew C.Y. Yeung

21–36

PDF

What Explains Differences in the Efficiency of Non-Commercial Bank Financial Intermediaries? Empirical Evidence from Malaysia

Fadzlan Sufian

37–57

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Futures Trading and Market Votality in Indian Equity Market: A Study of CNX IT Index

T. Mallikarjunappa, Afsal E. M.

59–76

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Financial Integration Through Equity Markets and the Role of Exchange Rate: Evidence from ASEAN-5 Countries

Hawati Janor, Ruhani Ali, Roselee Shah Shaharuddin

77–92

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What Moves the Primary Stock and Bond Markets? Influence of Macroeconomic Factors on Bond and Equity Issues in Malaysia and Korea

Rashid Ameer

93–116

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ISSN: 1823-4992
eISSN: 2180-4192

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All articles published in Asian Academy of Management Journal of Accounting and Finance are licensed under a Creative Commons Attribution 4.0 International License.

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