Effects of financial leverage on stock returns in Bursa Malaysia
Motivated by the over-leveraging problem widely claimed to have triggered the recent global financial crisis, this thesis aims to provide empirical evidence to three major issues of financial leverage: the role of cash flow, the existence of the leverage threshold,and the role of leverage maturity....
| 第一著者: | Lau, Wei Theng |
|---|---|
| フォーマット: | 学位論文 |
| 言語: | 英語 |
| 出版事項: |
2016
|
| 主題: | |
| オンライン・アクセス: | http://psasir.upm.edu.my/id/eprint/69465/1/FEP%202016%2020%20-%20IR.pdf |
類似資料
Empirical Test of Macroeconomic Variables and Stock Market Returns in Asian Emerging Market
著者:: Selamat, Zarehan
出版事項: (2001)
著者:: Selamat, Zarehan
出版事項: (2001)
Association between disclosure quality and stock return with the moderating effects of corporate governance practices and ownership structure in Malaysia
著者:: Mohamad Anwar, Nazratul Aina
出版事項: (2015)
著者:: Mohamad Anwar, Nazratul Aina
出版事項: (2015)
Study on the Lead and Lag Relationship Between the Kuala Lumpur Stock Exchange Composite Index Futures Contract and its Underlying Kuala Lumpur Stock Exchange Composite Index
著者:: Abdullah, Mahdhir
出版事項: (2001)
著者:: Abdullah, Mahdhir
出版事項: (2001)
Firm level stock returns volatility : The effects of capital account liberalization and macroeconomic factors in Malaysia
著者:: Saizal Pinjaman
出版事項: (2017)
著者:: Saizal Pinjaman
出版事項: (2017)
An Examination of the Conditional and Unconditional Relations Between Risk and Return on the Kuala Lumpur Stock Exchange
著者:: Haniff, Mohd Nizal
出版事項: (2000)
著者:: Haniff, Mohd Nizal
出版事項: (2000)
The determinants of household debt in Malaysia / Muhammad Najmi Abu Bakar
著者:: Abu Bakar, Muhammad Najmi
出版事項: (2016)
著者:: Abu Bakar, Muhammad Najmi
出版事項: (2016)
Detection of Rational Speculative Bubbles in the Malaysian Stock Market
著者:: Mokhtar, Suraya Hanim
出版事項: (2006)
著者:: Mokhtar, Suraya Hanim
出版事項: (2006)
Effects of insider trading on market efficiency and volatility in Bursa Malaysia
著者:: Lye, Wing Fah
出版事項: (2011)
著者:: Lye, Wing Fah
出版事項: (2011)
Estimating and forecasting value at risk and expected shortfall: a backstory of Malaysia stock market during global financial crisis / Ahmad Fauze Abdul Hamit
著者:: Abdul Hamit, Ahmad Fauze
出版事項: (2018)
著者:: Abdul Hamit, Ahmad Fauze
出版事項: (2018)
Bank Stock Returns And Financial Volatility: A MGARCH-M Modeling
著者:: Hooy, Chee Wooi
出版事項: (2002)
著者:: Hooy, Chee Wooi
出版事項: (2002)
Speed of stock price adjustment to information arrival in the Middle East and North Africa stock market
著者:: Erfanian, Azadeh
出版事項: (2015)
著者:: Erfanian, Azadeh
出版事項: (2015)
Risk management approach on selected key companies listed on the Kuala Lumpur Stock Exchange
著者:: Pek, Thian Kor
出版事項: (2001)
著者:: Pek, Thian Kor
出版事項: (2001)
Stock market and economic growth of Malaysia, Thailand and Indonesia
著者:: Hii Hie Ping
出版事項: (2016)
著者:: Hii Hie Ping
出版事項: (2016)
A multidimensional study of weak-form efficiency for finance stocks in Malaysia
著者:: Kok, Sook Ching
出版事項: (2017)
著者:: Kok, Sook Ching
出版事項: (2017)
Foreign ownership and the liquidity of Malaysian stocks
著者:: Thian, Tze Chung
出版事項: (2012)
著者:: Thian, Tze Chung
出版事項: (2012)
Roles of financial ratios to predict stock return: A study on Malaysian Construction Companies / Nasiha Hashim
著者:: Hashim, Nasiha
出版事項: (2017)
著者:: Hashim, Nasiha
出版事項: (2017)
Foreign ownership and the informational efficiency of Malaysian stocks
著者:: Chang, Kwok Boon
出版事項: (2012)
著者:: Chang, Kwok Boon
出版事項: (2012)
The Efficient Market Hypothesis and the Thinly Traded Kuala Lumpur Stock Exchange: Tests with Appropriate Refinements
著者:: Md Nassir, Annuar
出版事項: (1991)
著者:: Md Nassir, Annuar
出版事項: (1991)
Dynamic Linkages of Asian Emerging Stock Markets: An Analysis of the Pre- and Post-liberalization Era
著者:: Sarmidi, Tamat
出版事項: (1998)
著者:: Sarmidi, Tamat
出版事項: (1998)
Conceptual Metaphors in Stock Market Reports in the Malaysian Business Times
著者:: Tengku Mahmood, Tengku Farah Petri
出版事項: (2010)
著者:: Tengku Mahmood, Tengku Farah Petri
出版事項: (2010)
Co-movement and performance of conventional and Islamic stock markets in selected countries
著者:: Sahabuddin, Mohammad
出版事項: (2020)
著者:: Sahabuddin, Mohammad
出版事項: (2020)
Effect of Oil Price on the Stock Market Return and Volatility in Six Major Oil Exporting Countries
著者:: Amin, Masoud Yousefi
出版事項: (2011)
著者:: Amin, Masoud Yousefi
出版事項: (2011)
Generalised Autoregressive Conditional Heteroscedasticity (Garch) Models For Stock Market Volatility
著者:: Choo, Wei Chong
出版事項: (1998)
著者:: Choo, Wei Chong
出版事項: (1998)
January effect: the existence in Malaysia stock market /
Muhamad Faiz Irwan Fadzil
著者:: Fadzil, Muhamad Faiz Irwan
出版事項: (2013)
著者:: Fadzil, Muhamad Faiz Irwan
出版事項: (2013)
Determination of Arbitrage Pricing Factors in the Malaysian Stock Market
著者:: Zakaria, Azhar
出版事項: (2006)
著者:: Zakaria, Azhar
出版事項: (2006)
Market Efficiency in the Kuala Lumpur Stock Exchange:
Further Evidence Using Garch Model
著者:: Aru Bol, Victoria Samuel
出版事項: (2001)
著者:: Aru Bol, Victoria Samuel
出版事項: (2001)
A network structural analysis of Malaysian stock market with edge density constraint
著者:: Lam, Shi Xiang
出版事項: (2013)
著者:: Lam, Shi Xiang
出版事項: (2013)
The Effects of Credit Rating Announcements on Stock Return in Malaysia
著者:: Husin, Norsuhaida
出版事項: (2010)
著者:: Husin, Norsuhaida
出版事項: (2010)
Fuzzy time series and geometric brownian motion in forecasting stock prices in Bursa Malaysia / Nur Ezzati Dayana Mohd Ramli
著者:: Mohd Ramli, Nur Ezzati Dayana
出版事項: (2020)
著者:: Mohd Ramli, Nur Ezzati Dayana
出版事項: (2020)
Relative forecasting performance of stock return for real activity in emerging markets of ASEAN countries
著者:: Lim, Yin Ping
出版事項: (2012)
著者:: Lim, Yin Ping
出版事項: (2012)
The determinants of stock market performance : a study in Malaysia / Muhammad Syazwan Malek
著者:: Malek, Muhammad Syazwan
出版事項: (2013)
著者:: Malek, Muhammad Syazwan
出版事項: (2013)
Stock liquidity and dividend payouts in the emerging markets
著者:: Bakri, Mohd Ashari
出版事項: (2020)
著者:: Bakri, Mohd Ashari
出版事項: (2020)
Factors influencing the rate of returns on initial public offerings a study on : KLSE’s second board / Rashdan Saferan Saat
著者:: Saat, Rashdan Saferan
出版事項: (1994)
著者:: Saat, Rashdan Saferan
出版事項: (1994)
Effects of a financial capability intervention program on financial wellbeing of medical practitioners in Selangor, Malaysia
著者:: R.Anthony, Rajna
出版事項: (2018)
著者:: R.Anthony, Rajna
出版事項: (2018)
Determinants of Price-Earning Ratio of Listed Companies on the Kuala Lumpur Stock Exchange
著者:: Thuraisingham, Jeyanthi
出版事項: (2001)
著者:: Thuraisingham, Jeyanthi
出版事項: (2001)
Stock market integration and its implications for international trade, exchange rates and interest rates in ASEAN-5 countries
著者:: Saeedi, Mitra
出版事項: (2014)
著者:: Saeedi, Mitra
出版事項: (2014)
The Evidence of Size Effect During Bull and Bear Markets
著者:: Mohd Yacob, Nathrah
出版事項: (2006)
著者:: Mohd Yacob, Nathrah
出版事項: (2006)
Testing the arbitrage pricing theory on the Tehran stock exchange
著者:: Sabetfar, Pooyar
出版事項: (2011)
著者:: Sabetfar, Pooyar
出版事項: (2011)
The Impact of Types of Issues, Sectors, Lifespan and Different Economic Periods on the Short-Run and Long-run
Performance of IPOs
著者:: Tapa, Afiruddin
出版事項: (2003)
著者:: Tapa, Afiruddin
出版事項: (2003)
Moderating effects of gender on the relationship between financial knowledge, financial attitude and self-control and financial behaviour among college- bound Gen Y in Klang Valley, Malaysia
著者:: Maarof, Zuhairah
出版事項: (2015)
著者:: Maarof, Zuhairah
出版事項: (2015)
類似資料
-
Empirical Test of Macroeconomic Variables and Stock Market Returns in Asian Emerging Market
著者:: Selamat, Zarehan
出版事項: (2001) -
Association between disclosure quality and stock return with the moderating effects of corporate governance practices and ownership structure in Malaysia
著者:: Mohamad Anwar, Nazratul Aina
出版事項: (2015) -
Study on the Lead and Lag Relationship Between the Kuala Lumpur Stock Exchange Composite Index Futures Contract and its Underlying Kuala Lumpur Stock Exchange Composite Index
著者:: Abdullah, Mahdhir
出版事項: (2001) -
Firm level stock returns volatility : The effects of capital account liberalization and macroeconomic factors in Malaysia
著者:: Saizal Pinjaman
出版事項: (2017) -
An Examination of the Conditional and Unconditional Relations Between Risk and Return on the Kuala Lumpur Stock Exchange
著者:: Haniff, Mohd Nizal
出版事項: (2000)