Relationship between bond and stock market performance in Malaysia, Singapore and south Korea.
This study aim to examines the relationship between bond and stock market performance in Malaysia, Singapore and South Korea by using ordinary least square (OLS), correlation analysis, Augmented Dickey-Fuller (ADF) Unit Root, Johensen & Juselius (1&1) cointegration, Vector Error Correction M...
| Main Author: | Phang, Chia Yi |
|---|---|
| Format: | Thesis |
| Language: | English |
| Published: |
Universiti Malaysia Sarawak, (UNIMAS)
2013
|
| Subjects: | |
| Online Access: | http://ir.unimas.my/id/eprint/9384/ |
| Abstract | Abstract here |
Similar Items
Malaysian bond market : problems and prospects / Baba Jarjusey
by: Jarjusey, Baba
Published: (1996)
by: Jarjusey, Baba
Published: (1996)
Day-of-the-week effect of 30 large market capital stocks on the Kuala Lumpur Stock Exchange / Lim Keh Chay
by: Lim, Keh Chay
Published: (1997)
by: Lim, Keh Chay
Published: (1997)
Capital Structure and Firm Performance: Moderating Effect of Economic Conditions, Monetary Policy, and Stock Market Volatility
by: Jerry Arickson, Anak Kuta
Published: (2025)
by: Jerry Arickson, Anak Kuta
Published: (2025)
Financial ratio comparison analysis of manufacturing firms listed in stock exchange of Malaysia and Singapore
by: Chia, Poh Yin
Published: (2019)
by: Chia, Poh Yin
Published: (2019)
The impact of bond ratings on market efficiency and stock returns / Ambalagam Marappan.
by: Marappan, Ambalagam
Published: (2003)
by: Marappan, Ambalagam
Published: (2003)
Day-of-the-week effect of Second Board stocks on the Kuala Lumpur Stock Exchange / by Ho Peng Choong
by: Ho, Peng Choong
Published: (1996)
by: Ho, Peng Choong
Published: (1996)
The relationship between economic factors and Malaysian stock market performance (1993-2002)
by: Abdullah, bin Sulaiman.
Published: (2003)
by: Abdullah, bin Sulaiman.
Published: (2003)
"Would bond market be a more viable investment alternative to the stock market?" / Chew Hock Poon
by: Chew, Hock Poon
Published: (2002)
by: Chew, Hock Poon
Published: (2002)
BETA forecasts of the Second Board securities of the Kuala Lumpur Stock Exchange / by Leong Yew Mun
by: Leong, Yew Mun
Published: (1996)
by: Leong, Yew Mun
Published: (1996)
The determinants of Malaysian stock market performance
by: Nur Sofina, Johan Shahain
Published: (2014)
by: Nur Sofina, Johan Shahain
Published: (2014)
The comovement of the selective ASEAN stock markets: is there any impact on Malaysian stock market?
by: Nurul Ezzati, Ahmad Yani
Published: (2016)
by: Nurul Ezzati, Ahmad Yani
Published: (2016)
Macroeconomic determinants of stock market performance in Malaysia
by: Hashim, Haslyza
Published: (2021)
by: Hashim, Haslyza
Published: (2021)
The interdependence of Indonesia stock market against the
price volatility of G-20 countries’ stock market
by: Akwan, Itmamul
Published: (2020)
by: Akwan, Itmamul
Published: (2020)
The Stocks Market Overreaction On The Kuala
Lumpur Stock Exchange (Klse)
by: Suw, Andi Tjan
Published: (2000)
by: Suw, Andi Tjan
Published: (2000)
The Relationship Between Trading Volume and Stocks' Returns :
Value Versus Growth Stocks in Malaysia
by: Kadour, Ahmad
Published: (2009)
by: Kadour, Ahmad
Published: (2009)
Nexus Between Macroeconomic Indicators and Stock Market Composite Index in ASEAN-4
by: Aung San, Lwin
Published: (2024)
by: Aung San, Lwin
Published: (2024)
Factors affecting sukuk market, bond market, Islamic banking and conventional banking development in selected countries
by: Aman, Ameenullah
Published: (2020)
by: Aman, Ameenullah
Published: (2020)
Integration Analysis of the Malaysian Stock Market
by: Chan, Sok Gee
Published: (2004)
by: Chan, Sok Gee
Published: (2004)
The determinants of Malaysian stock market development
by: Norsyuhada, Zaharuddin
Published: (2017)
by: Norsyuhada, Zaharuddin
Published: (2017)
Determinants of Chinese Stock Market Returns
by: Wang, Fei
Published: (2012)
by: Wang, Fei
Published: (2012)
The Relation between Average Stock Return to Earning
Ratio and Book to Market Ratio in FTSEBM
by: Al-Rawashdeh, Najed Massad Sulaiman
Published: (2009)
by: Al-Rawashdeh, Najed Massad Sulaiman
Published: (2009)
The Linkages Between
Stock Return And Macroeconomic Variables
In Malaysia
by: Phang, Chee Kong
Published: (2006)
by: Phang, Chee Kong
Published: (2006)
Investigation into the impact of governance quality on stock price momentum in international stock markets
by: Imran, Zulfiqar Ali
Published: (2020)
by: Imran, Zulfiqar Ali
Published: (2020)
Constructing Stock Market Performance Index and Identifying Its Determinants
by: Kelvin, Lee Yong Ming
Published: (2021)
by: Kelvin, Lee Yong Ming
Published: (2021)
Bond rating of upgrades and downgrades : the impact on stock returns / C.Thaneswary Chelliah.
by: Chelliah, C. Thaneswary
Published: (2002)
by: Chelliah, C. Thaneswary
Published: (2002)
Evaluating the impact of inflation on stock market in China
by: Dengke, Li
Published: (2015)
by: Dengke, Li
Published: (2015)
Effectiveness of Candlestick Charting in Malaysian Stock Market
by: Chin, Chee Ling
Published: (2017)
by: Chin, Chee Ling
Published: (2017)
A comparison between Islamic and conventional bond fund’s performance in Malaysia
by: Koo, Von Siong
Published: (2015)
by: Koo, Von Siong
Published: (2015)
Speculative Influences In Stock Market : A Case Study Of Kuala Lumpur Stock Exchange
by: Rahana, Abdul Rahman
Published: (2002)
by: Rahana, Abdul Rahman
Published: (2002)
Bank lending and stock market performance:
evidence from ASEAN banks
by: Hussein, Ahmed Abbas
Published: (2016)
by: Hussein, Ahmed Abbas
Published: (2016)
The impact of Covid-19 on stock market performance:
Evidence from Malaysia
by: Shahiran, Muhamad Fitri
Published: (2021)
by: Shahiran, Muhamad Fitri
Published: (2021)
Testing market efficiency in Malaysia's large, medium and small stock market indices
by: Heng, Cheat Yee
Published: (2020)
by: Heng, Cheat Yee
Published: (2020)
Relationship Between Marketing of Financial Services and Bank Performance in Jordan
by: Kurdi, Ibrahim Ali
Published: (2012)
by: Kurdi, Ibrahim Ali
Published: (2012)
Relationship between stock return and financial ratios: evidence from Malaysia
by: Ang, Hui Mei
Published: (2015)
by: Ang, Hui Mei
Published: (2015)
Monetary Policy, Inflation Rate, and Stock Market in Malaysia
by: Yeap, Sin Yean
Published: (2004)
by: Yeap, Sin Yean
Published: (2004)
Investment propensity among Malaysian youth in the stock market
by: Noor Aiza Natasha, Yob
Published: (2022)
by: Noor Aiza Natasha, Yob
Published: (2022)
The relationship between capital structure and performance of non-financial firms listed in Amman Stock Exchange
by: Alfawareh, Faraj Salman Hameed
Published: (2019)
by: Alfawareh, Faraj Salman Hameed
Published: (2019)
Macroeconomic determinants of stock market liquidity: Evidence from selected Asian emerging markets / Ijaz Ur Rehman
by: Ijaz , Ur Rehman
Published: (2016)
by: Ijaz , Ur Rehman
Published: (2016)
Green bonds and other financial markets; diversification and volatility transmission patterns amidst COVID-19
by: Saeed, Muhammad
Published: (2022)
by: Saeed, Muhammad
Published: (2022)
Stock-Bond Correlations In Asean-5: The Roles Of Financial Integration And Financial Development
by: Khalid, Muhammad Airil Syafiq Mohd
Published: (2020)
by: Khalid, Muhammad Airil Syafiq Mohd
Published: (2020)
Similar Items
-
Malaysian bond market : problems and prospects / Baba Jarjusey
by: Jarjusey, Baba
Published: (1996) -
Day-of-the-week effect of 30 large market capital stocks on the Kuala Lumpur Stock Exchange / Lim Keh Chay
by: Lim, Keh Chay
Published: (1997) -
Capital Structure and Firm Performance: Moderating Effect of Economic Conditions, Monetary Policy, and Stock Market Volatility
by: Jerry Arickson, Anak Kuta
Published: (2025) -
Financial ratio comparison analysis of manufacturing firms listed in stock exchange of Malaysia and Singapore
by: Chia, Poh Yin
Published: (2019) -
The impact of bond ratings on market efficiency and stock returns / Ambalagam Marappan.
by: Marappan, Ambalagam
Published: (2003)