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Articles 91 - 103 of 103
Full-Text Articles in Finance
The Implications Of The Malaysia Bank Merger Exercise, Mersy L. John, Meo Sing Teo
The Implications Of The Malaysia Bank Merger Exercise, Mersy L. John, Meo Sing Teo
Student Works (2000-2009)
The impetus to undertake this research project began about 2 years ago when we commenced our MBA programme. We became aware of the challenges facing the domestic banks in their quest to strengthen the banking sector to be better equipped to respond lo the new and challenging requirements of the local and global economy. The bank merger exercise was inevitable in the face of globalisation and borderless trade. The first step towards enhancing efficiency and alleviating the level of competitiveness was the consolidation of the 54 domestic banking institutions into 10 banking groups. There was significant rationalisation of the wide …
The Relationship Between Selected Economic Indicators And The Malaysian Stock Index Futures, Irwaan Iskandar Abrahim
The Relationship Between Selected Economic Indicators And The Malaysian Stock Index Futures, Irwaan Iskandar Abrahim
Student Works (2000-2009)
This research examines the relationship between selected economics indicators and Malaysian Stock Index Futures. It also focusses on the relevancy of the Efficient Market Hypothesis (EMH) in a developing derivatives market in South East Asia, namely the Malaysian Stock Index Futures market. The relationship analysis between selected economic indicators and Malaysian Stock Index Futures may give better understanding the degree our derivatives market grasp economics factors in determining market change and movements. In an efficient market, the relevant signal to be used in trading is the futures price. The relative forecasting power of futures price is applied with the various …
The Impact Of Bond Ratings On Equity Market : Malaysian Experience, P. Raman Ponnusamy
The Impact Of Bond Ratings On Equity Market : Malaysian Experience, P. Raman Ponnusamy
Student Works (2000-2009)
This research will examine the impact of bond ratings on market efficiency and stock returns. The study covered rating announcements from 1996 to 2001. Four types of rating announcements were covered namely initial announcement, reaffirmation, upgrades and downgrades. Each rating is categorized into investment grade and speculative grade. The mean adjusted model was used to determine the abnormal returns. The findings showed insignificant movement in abnormal returns for all type of ratings and also the sub-category of speculative and investment grades. The result also revealed that the market is efficient in semi-strong form as far as Malaysian market is concerned. …
Penglibatan Masyarakat Islam Dalam Aktiviti Pelaburan Di Bank Islam Malaysia Berhad (Bimb) : Suatu Kajian Di Banting, Selangor, Kamsuzilawati Kamin
Penglibatan Masyarakat Islam Dalam Aktiviti Pelaburan Di Bank Islam Malaysia Berhad (Bimb) : Suatu Kajian Di Banting, Selangor, Kamsuzilawati Kamin
Student Works (2000-2009)
Investment in Conventional economic has been practiced longer enough better than inventment in Islamic economic. For almost 20 years it has been introduced through the establishment of Bank Islam Malaysia Berhad (81MB), many scholars said that bank were insist on BBA and Murabahah (profit-based financing) modes of operations better than Mudafarabah and Musyarakah (equity-based financing) modes of operations although with the profit and loss sharing (PLS), its leads to better exploitation of labour and capital towards a just, stable and efficient society. This study tries to observe and evaluate the performances and the implementation of PLS in BIMB Holdings Berhad. …
A Monetary Analysis Of The Indonesian Economy, Elisabet Siahaan
A Monetary Analysis Of The Indonesian Economy, Elisabet Siahaan
Student Works (2000-2009)
This study is about monetary economic in Indonesia. There are three main topics on this study. First topic is about development of monetary economic in Indonesia. Second topic is about monetary policy in Indonesia. The third topic is about money supply in Indonesia. The period of this study is 1980-1999. The first topic provides a brief overview of the Indonesian monetary development, covers the three distinct periods of monetary experiences and financial regimes. The main period are pre-reform (pre-1983 ), post-reform (post 1983) and financial crisis(1997-1999). Second topic is about monetary policy in Indonesia. Indonesia's mam economic concern is development. …
Performance Of Islamic Banking Scheme At Foreign Banks : A Malaysian Case Study, Luqyan Tamanni
Performance Of Islamic Banking Scheme At Foreign Banks : A Malaysian Case Study, Luqyan Tamanni
Student Works (2000-2009)
Using trend and ratio analysis, this study analyses the performance of Islamic banking operations at three foreign banks in Malaysia i.e. HSBC, OCBC and SCB:MB. Using the data from 1996-2000, it is possible to track progress and evaluate performances of the Islamic Banking Scheme (IBS) versus its conventional counterpart at these banks. It is also possible to examine the impacts of the Asian Crisis in 1997-98 to the Islamic banking operations, especially at the foreign banks. This study concludes that, during 1996-2000, Islamic banking operations at foreign banks have been performing considerably well, during and post the crisis. On average, …
Dynamic Interactions Among Stock Prices, Interest Rates, Real Activity And Money In Malaysia, Chin Sieng Chong
Dynamic Interactions Among Stock Prices, Interest Rates, Real Activity And Money In Malaysia, Chin Sieng Chong
Student Works (2000-2009)
This study investigates the causal relations and dynamic interactions among stock prices, real interest rate, real money balances and real activity in Malaysia using monthly data from January 1987 to December 2001. This full sample period is also divided into two sub-periods for analysis. The first sub-period covers January 1987 to August 1998 while the second sub-period covers September 1998 to December 2001. The conventional unit root tests suggest that all variables are integrated of order one. This finding is further supported by the results of the unit root test which allows for a structural break in the series. All …
Bank Consolidation As A Strategic Response To The Banking Crisis : An Analysis Of The Choice Of Anchor Banks, Talagavathi R. Karapayah
Bank Consolidation As A Strategic Response To The Banking Crisis : An Analysis Of The Choice Of Anchor Banks, Talagavathi R. Karapayah
Student Works (2000-2009)
The financial crisis of 1997 and the result1ng effects showed the weaknesses and vulnerability of the Malaysian banking system. In addition, impending globalization and liberalization of the financial sector has increased the urgency to strengthen the banking sector. Strengthening of the banking sector was to be realized by the merger of banking institutions under 10 anchor banks. The decision to consolidate the banking industry under 10 anchor banks was a necessary decision but the reasons for the choice of these 10 banks were not explained. This paper looked at some of the possible reasons for the selection of the particular …
Krisis Minsky Dan Kerapuhan Sistem Kewangan Di Indonesia, Irfan Sungkar
Krisis Minsky Dan Kerapuhan Sistem Kewangan Di Indonesia, Irfan Sungkar
Student Works (2000-2009)
Berbagai keterangan dan jawapan telah diberikan oleh para pakar ekonomi dalam menjelaskan mengapa krisis kewangan boleh berlaku, termasuk dalam kes yang terjadi di Indonesia. Akan tetapi, secara amnya jawapan yang diberikan tersebut masih belum meyakinkan dan boleh dipertikaikan. Kertas kerja ini membahas apakah hipotesa dan hujah Minsky berkenaan dengan ketak-stabilan kewangan boleh diterapkan dalam memberikan penjelasan yang menyeluruh mengenai terjadinya krisis kewangan di Indonesia. Hujah Minsky berkenaan dengan terdapatnya suatu anjakan yang secara endogenous menyebabkan sistem kewangan menjadi tak stabil akan dikaji kesesuruannya di Indonesia. Hasil analisa dan dapatan kajian adalah membuktikan bahawa sememangnya telah terjadi suatu anjakan menuju ketakstabilan …
An Analysis Of The Islamic Unit Trusts In Malaysia, Mohd Nizam Barom
An Analysis Of The Islamic Unit Trusts In Malaysia, Mohd Nizam Barom
Student Works (2000-2009)
The objective of this research is to assess the growth, development and performance of the Islamic unit trust in Malaysia for almost a decade of its operation in the market. The growth and development of the sector is analysed using several indicator and compared with the overall unit trust industry. It is then followed by a risk-adjusted performance analysis of the Islamic funds based on three indices. namely the Adjusted Sharpe Index. Treynor Index and Adjusted Jensen Alpha. The analysis also includes adherence of risk and return characteristics of the funds to that stated objective, the degree of risk diversification …
Forecasting Volatility In The New Zealand Stock Market, Jun Yu
Forecasting Volatility In The New Zealand Stock Market, Jun Yu
Research Collection School Of Economics
This study evaluates the performance of nine alternative models for predicting stock price volatility using daily New Zealand data. The competing models contain both simple models such as the random walk and smoothing models and complex models such as ARCH-type models and a stochastic volatility model. Four different measures are used to evaluate the forecasting accuracy. The main results are the following: (1) the stochastic volatility model provides the best performance among all the candidates; (2) ARCH-type models can perform well or badly depending on the form chosen: the performance of the GARCH(3,2) model, the best model within the ARCH …
Asset Prices, The Real Exchange Rate, And Unemployment In A Small Open Economy: A Medium-Run Structuralist Perspective, Hian Teck Hoon, Edmund S. Phelps
Asset Prices, The Real Exchange Rate, And Unemployment In A Small Open Economy: A Medium-Run Structuralist Perspective, Hian Teck Hoon, Edmund S. Phelps
Research Collection School Of Economics
No abstract provided.
Money, Credit, And Banking In Colonial And Postcolonial West Africa, Akanmu G. Adebayo
Money, Credit, And Banking In Colonial And Postcolonial West Africa, Akanmu G. Adebayo
Faculty Articles
Scholarship in African economic history has been dominated by a wave of revisionism lately. The degree of African indebtedness, the imperatives of loan repayment, and the long-term implications of ongoing political and economic changes, all make such a revision exigent indeed. Focusing on the Yoruba of southwestern Nigeria, this paper produces new evidence to reinterpret and redefine African precolonial financial institutions. The paper has two main parts. Part 1 focuses on the introduction of cowrie currency into Yorubaland and its impact on social stratification. Part 2 examines ajo, the savings institution, esusu, the rotating savings and credit associations (roscas), and …