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Vol. 6 No. 1 (2010)
Published:
2010-06-30
Articles
The Monetary Policy Reaction Function: Evidence from Asean-3
Pei-Tha, Gan, Kian-Teng, Kwek
1–24
PDF
Measuring the Cost of Equity of Emerging Market Firms: The Case of Malaysia
Swee-Sim, Foong, Kim-Leng, Goh
25–46
PDF
Three-Factor CAPM Risk Exposures: Some Evidence from Malaysian Commercial Banks
Aisyah Abdul Rahman
47–67
PDF
The Effects of the Asian Financial Crisis on Accounting Conservatism in Indonesia
Dezie L. Warganegara, Vina Vionita
69–88
PDF
Equity Valuation Using Price Multiples: Evidence from India
Sanjay Sehgal, Asheesh Pandey
89–108
PDF
Do Malaysian Investors' Judgement Exhibit Reference Dependence?
Toh Guat Guan, Zamri Ahmad
109–133
PDF