Risk and return analysis of tax adjusted versus unadjusted REITS indexes and other financial indexes
This study develops the tax adjusted and unadjusted Malaysian real estate investment trusts (REITs) indexes based on the value weighted approach by using a monthly data of 19 Malaysian REITs from January 1999 to December 2014. It also investigates the performance of the tax adjusted versus unadjuste...
| 第一著者: | Chunya, Ma |
|---|---|
| フォーマット: | 学位論文 |
| 言語: | 英語 英語 |
| 出版事項: |
2015
|
| 主題: | |
| オンライン・アクセス: | https://etd.uum.edu.my/5548/1/s817907_01.pdf https://etd.uum.edu.my/5548/2/s817907_02.pdf |
類似資料
Performance of REITS in comparison to other financial assets
著者:: Rahman, Audia Syafaatur
出版事項: (2015)
著者:: Rahman, Audia Syafaatur
出版事項: (2015)
The financial performance of real estate investment trusts (REITS) in Malaysia
著者:: Mohamad Hakam Harith, Mohamad Rodzi
出版事項: (2021)
著者:: Mohamad Hakam Harith, Mohamad Rodzi
出版事項: (2021)
Measuring financial stress index (MFSI) for Malaysian economy
著者:: Jamaatun Zahariah, Suhaimi
出版事項: (2016)
著者:: Jamaatun Zahariah, Suhaimi
出版事項: (2016)
The Impact of Financial Distress Risk to Malaysian Stock Return
著者:: Muhammad Noor Darwis, Nordin
出版事項: (2011)
著者:: Muhammad Noor Darwis, Nordin
出版事項: (2011)
Determinants of M-REITS share price in Malaysia
著者:: Mohd Arif, Md Nasir
出版事項: (2021)
著者:: Mohd Arif, Md Nasir
出版事項: (2021)
Impact of diversification on Singapore REIT firm value
著者:: Ussha Rani, Nadarajan
出版事項: (2021)
著者:: Ussha Rani, Nadarajan
出版事項: (2021)
The impact of dividend tax changes on the performance of Malaysian REITs
著者:: Lee, Thean Leong
出版事項: (2015)
著者:: Lee, Thean Leong
出版事項: (2015)
The Relationship Between Trading Volume and Stocks' Returns :
Value Versus Growth Stocks in Malaysia
著者:: Kadour, Ahmad
出版事項: (2009)
著者:: Kadour, Ahmad
出版事項: (2009)
Detecting Financial Distress : Discriminant Versus Logistic Regression Analysis
著者:: Abd. Halim @ Hamilton, Ahmad
出版事項: (2003)
著者:: Abd. Halim @ Hamilton, Ahmad
出版事項: (2003)
Developing sustainability index of microfinance institutions in Pakistan
著者:: Saad, Muhammad
出版事項: (2019)
著者:: Saad, Muhammad
出版事項: (2019)
Relationship between risk and return in Sukuk market
著者:: Rauf, Ahamed Lebbe Abdul
出版事項: (2015)
著者:: Rauf, Ahamed Lebbe Abdul
出版事項: (2015)
Distress risk and stock returns : Malaysia evidence
著者:: Ahmad Harith Ashrofie, Hanafi
出版事項: (2023)
著者:: Ahmad Harith Ashrofie, Hanafi
出版事項: (2023)
The Impact of Change to Components of Composite Index on the Affected Stocks
著者:: Lu, Ming Pey
出版事項: (2010)
著者:: Lu, Ming Pey
出版事項: (2010)
The Determinants of Capital Structure: Analysis of Real Estate Investment Trust (REITs) and Properties Companies Listed in Bursa Malaysia
著者:: Husnizam, Hosin
出版事項: (2012)
著者:: Husnizam, Hosin
出版事項: (2012)
Analysing the demand factors affecting housing price index in China
著者:: Rui, Lan
出版事項: (2015)
著者:: Rui, Lan
出版事項: (2015)
ESG Practices in Ftse4good Bursa Malaysia Index
著者:: Kartika Hazni, Iskandar
出版事項: (2024)
著者:: Kartika Hazni, Iskandar
出版事項: (2024)
Determinants of house price index in Malaysia: An islamic economic perspective
著者:: Siti Salwah, Abdul Mohamed
出版事項: (2019)
著者:: Siti Salwah, Abdul Mohamed
出版事項: (2019)
Factors that influence environmental, social and governance (ESG) rating for public listed companies in FTSE4 good bursa saham Malaysia index (F4GBM Index)
著者:: Yasmin, Mohamad Tahir
出版事項: (2019)
著者:: Yasmin, Mohamad Tahir
出版事項: (2019)
Examining the liquidity risk of ASEAN banks by using partial adjustment model
著者:: Abdo, Khalil Yahya Mohammed
出版事項: (2016)
著者:: Abdo, Khalil Yahya Mohammed
出版事項: (2016)
The Effects of Economic Factors on Kuala Lumpur Stock Exchange Composite Index
著者:: Loo, Hooi Beng
出版事項: (1998)
著者:: Loo, Hooi Beng
出版事項: (1998)
Analysing of macro-economic factors on Malaysian house price index (MHPI)
著者:: Natashah, Ghazi
出版事項: (2020)
著者:: Natashah, Ghazi
出版事項: (2020)
Determinants of Malaysian environmental, Social and Governance (ESG) stock market index
著者:: Mohammad Affiq, Saini
出版事項: (2020)
著者:: Mohammad Affiq, Saini
出版事項: (2020)
Green bonds and other financial markets; diversification and volatility transmission patterns amidst COVID-19
著者:: Saeed, Muhammad
出版事項: (2022)
著者:: Saeed, Muhammad
出版事項: (2022)
Debt Securities Issuance in Malaysia: Type of Security and Impact on Equity Returns, Systematic and Total Risk
著者:: Chin, Sze Kim
出版事項: (2010)
著者:: Chin, Sze Kim
出版事項: (2010)
Comparative analysis of financial risks towards financial stability of Islamic and conventional banks in GCC countries
著者:: Al-Wesabi, Hamid Abdulkhaleq Hasan
出版事項: (2022)
著者:: Al-Wesabi, Hamid Abdulkhaleq Hasan
出版事項: (2022)
Financial Risk Literacy and Financial Wellbeing Among Youths In Northern Malaysia.
著者:: Parvin, Mst Monira
出版事項: (2022)
著者:: Parvin, Mst Monira
出版事項: (2022)
Relationship Between Growth, Profitability And Stock Returns Amongst The Non-Financial Companies Listed On FTSE Bursa Malaysia KLCI
著者:: Soon, Yu Shen
出版事項: (2021)
著者:: Soon, Yu Shen
出版事項: (2021)
Return On Equity : An Empirical Study
著者:: Ong, Pow Ying
出版事項: (2000)
著者:: Ong, Pow Ying
出版事項: (2000)
Financial stability index, credit and external shocks in Malaysia
著者:: Koong, Seow Shin
出版事項: (2014)
著者:: Koong, Seow Shin
出版事項: (2014)
The Co-Movement of the Malaysian Stock Return
著者:: Shanmugam, Nakesvari
出版事項: (2011)
著者:: Shanmugam, Nakesvari
出版事項: (2011)
Determinants of Chinese Stock Market Returns
著者:: Wang, Fei
出版事項: (2012)
著者:: Wang, Fei
出版事項: (2012)
The Effects of Interest Rate and Exchange Rate on Stock Returns
著者:: Boo, Hooi Laing
出版事項: (2010)
著者:: Boo, Hooi Laing
出版事項: (2010)
Determinants of insurance companies' stock return in GCC countries
著者:: Al-Shami, Hamdan Ahmed Ali
出版事項: (2013)
著者:: Al-Shami, Hamdan Ahmed Ali
出版事項: (2013)
Determinants of Malaysian stock returns in oil and gas industry
著者:: Nur Farhana, Abd Aziz
出版事項: (2016)
著者:: Nur Farhana, Abd Aziz
出版事項: (2016)
The Effect of Quality Differentiated Auditor-Cum-Tax Agent on Corporate Tax Payable
著者:: Mohd. Jaafar, Embong
出版事項: (2004)
著者:: Mohd. Jaafar, Embong
出版事項: (2004)
Tax evasion exposure due to cryptocurrency transactions among income tax officers
著者:: Balashanmugam, Apparoo
出版事項: (2024)
著者:: Balashanmugam, Apparoo
出版事項: (2024)
Credit Risk Management: A Case Study on Maybank Automobile Financial Services
著者:: Bentan, Ghazalli
出版事項: (2011)
著者:: Bentan, Ghazalli
出版事項: (2011)
Self-Auditing Efficiency as Risk Identifier in Financial Management Process at CIDB Malaysia
著者:: Shahrulizam, Zainal Abidin
出版事項: (2022)
著者:: Shahrulizam, Zainal Abidin
出版事項: (2022)
The impact of economic shocks on stock return and trading volume relationship
著者:: Lee, Jih Shin
出版事項: (2018)
著者:: Lee, Jih Shin
出版事項: (2018)
The effects of regulated short selling on stock returns of affected companies
著者:: Siti Munirah, Baharuddin
出版事項: (2017)
著者:: Siti Munirah, Baharuddin
出版事項: (2017)
類似資料
-
Performance of REITS in comparison to other financial assets
著者:: Rahman, Audia Syafaatur
出版事項: (2015) -
The financial performance of real estate investment trusts (REITS) in Malaysia
著者:: Mohamad Hakam Harith, Mohamad Rodzi
出版事項: (2021) -
Measuring financial stress index (MFSI) for Malaysian economy
著者:: Jamaatun Zahariah, Suhaimi
出版事項: (2016) -
The Impact of Financial Distress Risk to Malaysian Stock Return
著者:: Muhammad Noor Darwis, Nordin
出版事項: (2011) -
Determinants of M-REITS share price in Malaysia
著者:: Mohd Arif, Md Nasir
出版事項: (2021)