Stock market reaction towards change of Malaysian government
This study examines the effect of change of government on the Malaysian stock market for the last five years. The empirical model used in this study are abnormal return which calculated using three most-used method in research which are mean-adjusted model, market-adjusted model and market model. Th...
| Auteur principal: | Mohamad Annawi, Anuar |
|---|---|
| Format: | Thèse |
| Langue: | anglais anglais |
| Publié: |
2021
|
| Sujets: | |
| Accès en ligne: | https://etd.uum.edu.my/10357/1/grant%20the%20permission_s826015.pdf https://etd.uum.edu.my/10357/2/s826015_01.pdf |
Documents similaires
The effect of COVID-19 pandemic on stock market performance, Malaysia
par: Pavitra, Ravi
Publié: (2021)
par: Pavitra, Ravi
Publié: (2021)
Impact of corporate governance compliance on the financial performance of Malaysian government linked corporation
par: Ashwini, Jeyakumar
Publié: (2021)
par: Ashwini, Jeyakumar
Publié: (2021)
Macroeconomics determinants of stock market index in Malaysia
par: Suvarna Sree, Sellathurai
Publié: (2021)
par: Suvarna Sree, Sellathurai
Publié: (2021)
The effects of macroeconomic indicators to Malaysian government bond yield from year 2008-2018
par: Nor Nadia Atiqah, Ahmad
Publié: (2021)
par: Nor Nadia Atiqah, Ahmad
Publié: (2021)
Global determinants of Malaysia government bond
par: Ahmad Al Izham, Izadin
Publié: (2021)
par: Ahmad Al Izham, Izadin
Publié: (2021)
The determinants of capital structure on government linked companies in Malaysia
par: Nurul Najwa, Abdul Razak
Publié: (2021)
par: Nurul Najwa, Abdul Razak
Publié: (2021)
Currency order flow, exchange rate dynamics and market intervention: Empirical evidence from ASEAN-5 foreign exchange markets / Anifowose Abolaji Daniel
par: Anifowose Abolaji , Daniel
Publié: (2018)
par: Anifowose Abolaji , Daniel
Publié: (2018)
Housing market and financial crisis: An analysis of bibliometric from 1997 to 2021
par: Yoga Malar, Subramaniam
Publié: (2021)
par: Yoga Malar, Subramaniam
Publié: (2021)
The performance assessment of government bonds among COVID-19 affected top-10 countries
par: Muhammad Nadiy, mat Noh
Publié: (2021)
par: Muhammad Nadiy, mat Noh
Publié: (2021)
The impact of dividend tax changes on the performance of Malaysian REITs
par: Lee, Thean Leong
Publié: (2015)
par: Lee, Thean Leong
Publié: (2015)
Stock Market Reaction to Dividend Announcement in Indonesian Listed Companies
par: Dewi, Cynthia Sari
Publié: (2011)
par: Dewi, Cynthia Sari
Publié: (2011)
The influence of standardization and automation towards risk management effectiveness in finance shared service centre
par: Fazli, Sibon
Publié: (2020)
par: Fazli, Sibon
Publié: (2020)
Malaysia stock price reaction to company's name change: analysis and evidence
par: Lavenyaa, Tharmamurthy
Publié: (2021)
par: Lavenyaa, Tharmamurthy
Publié: (2021)
Determinants of transfer pricing decision in Malaysian multinational companies.
par: Eisah Asmai Husna, Muttadin
Publié: (2023)
par: Eisah Asmai Husna, Muttadin
Publié: (2023)
Determinants of Malaysian environmental, Social and Governance (ESG) stock market index
par: Mohammad Affiq, Saini
Publié: (2020)
par: Mohammad Affiq, Saini
Publié: (2020)
The impact of capital structure and board characteristics on firms performance: evidence from Malaysian plantation Industry
par: Ping Jian, Tee
Publié: (2020)
par: Ping Jian, Tee
Publié: (2020)
Technical analysis using a leading and lagging indicator – backtesting profitability in Malaysian equity market
par: Murali, Manogaran
Publié: (2020)
par: Murali, Manogaran
Publié: (2020)
Investigation into the impact of governance quality on stock price momentum in international stock markets
par: Imran, Zulfiqar Ali
Publié: (2020)
par: Imran, Zulfiqar Ali
Publié: (2020)
Market reaction to the company's name change: empirical evidence from Malaysia
par: Ahmad Azham, Zakaria
Publié: (2019)
par: Ahmad Azham, Zakaria
Publié: (2019)
The Relationship Between Good Government Governance and Organization Performance: The Case of MARA Credit Control Department
par: Muhamad Nizam, Jali
Publié: (2009)
par: Muhamad Nizam, Jali
Publié: (2009)
Talent of islamic finance in Malaysia: a bibliometric
analysis on selected universities
par: Siti Farah Norbaini, Mohamad
Publié: (2021)
par: Siti Farah Norbaini, Mohamad
Publié: (2021)
The relationship between macroeconomic variables and foreign direct investment: Evidence from asean-5 countries
par: Naqiuddin Naqib, Mohamad Khairi
Publié: (2020)
par: Naqiuddin Naqib, Mohamad Khairi
Publié: (2020)
The comovement of the selective ASEAN stock markets: is there any impact on Malaysian stock market?
par: Nurul Ezzati, Ahmad Yani
Publié: (2016)
par: Nurul Ezzati, Ahmad Yani
Publié: (2016)
Market reactions towards inclusion and exclusion
announcements of regulated short selling (RSS) stock in Bursa Malaysia: Evidence from Malaysia 2013-2016
par: Khairun Ridhuan, Abd Ghani
Publié: (2018)
par: Khairun Ridhuan, Abd Ghani
Publié: (2018)
Integration Analysis of the Malaysian Stock Market
par: Chan, Sok Gee
Publié: (2004)
par: Chan, Sok Gee
Publié: (2004)
The determinants of Malaysian stock market development
par: Norsyuhada, Zaharuddin
Publié: (2017)
par: Norsyuhada, Zaharuddin
Publié: (2017)
The determinants of Malaysian stock market performance
par: Nur Sofina, Johan Shahain
Publié: (2014)
par: Nur Sofina, Johan Shahain
Publié: (2014)
A study on the relationship between macroeconomic factors and number of IPOs in Malaysia
par: Rudra Raam, Murugasu
Publié: (2021)
par: Rudra Raam, Murugasu
Publié: (2021)
Capital structure determinants of public listed real estate companies in Malaysia
par: Vicneswaran, Anboo
Publié: (2021)
par: Vicneswaran, Anboo
Publié: (2021)
Financial distress identification among energy sector companies listed in bursa Malaysia
par: Wahyu Setia, Budi
Publié: (2021)
par: Wahyu Setia, Budi
Publié: (2021)
Macroeconomic factors affecting Malaysia’s GDP from 2000 to 2019
par: Tharane, Vicnaswaran
Publié: (2021)
par: Tharane, Vicnaswaran
Publié: (2021)
Risk management committee and CEO attributes on the financial performance of banks in Nigeria
par: Hasan, Yusuf Ali
Publié: (2021)
par: Hasan, Yusuf Ali
Publié: (2021)
The impact of board composition on financial performance of commercial banks in Malaysia
par: Hanisa, Mat
Publié: (2021)
par: Hanisa, Mat
Publié: (2021)
A study of financial distress prediction on nonfinancial sector in Pakistan
par: Hassan, Ehsan Ul
Publié: (2021)
par: Hassan, Ehsan Ul
Publié: (2021)
The influence of ceo power on firm risk-taking
par: Diniesha, Devarajan
Publié: (2021)
par: Diniesha, Devarajan
Publié: (2021)
Factors that influence the profitability of islamic banking in Malaysia
par: ‘IRFAN, BURHANUDDIN
Publié: (2021)
par: ‘IRFAN, BURHANUDDIN
Publié: (2021)
Health expenditure effects on selected health outcomes in ASEAN tiger cub economies
par: Muhd Naqiyuddin, Misran
Publié: (2021)
par: Muhd Naqiyuddin, Misran
Publié: (2021)
The determinants of financial literacy among students at Universiti Utara Malaysia
par: Abdul Rahman, Raouf Al-Samarraie
Publié: (2021)
par: Abdul Rahman, Raouf Al-Samarraie
Publié: (2021)
Ceo characteristics, corporate attributes, and earnings quality of Nigerian listed firms: Corporate age diversity as moderating role
par: Abdi, Abdikarin Ahmed
Publié: (2021)
par: Abdi, Abdikarin Ahmed
Publié: (2021)
Financial distress prediction of Airlines in ASIA
par: Nurfarah Lyana, Ahmad Razif
Publié: (2021)
par: Nurfarah Lyana, Ahmad Razif
Publié: (2021)
Documents similaires
-
The effect of COVID-19 pandemic on stock market performance, Malaysia
par: Pavitra, Ravi
Publié: (2021) -
Impact of corporate governance compliance on the financial performance of Malaysian government linked corporation
par: Ashwini, Jeyakumar
Publié: (2021) -
Macroeconomics determinants of stock market index in Malaysia
par: Suvarna Sree, Sellathurai
Publié: (2021) -
The effects of macroeconomic indicators to Malaysian government bond yield from year 2008-2018
par: Nor Nadia Atiqah, Ahmad
Publié: (2021) -
Global determinants of Malaysia government bond
par: Ahmad Al Izham, Izadin
Publié: (2021)