Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff

This study is to examine the mean difference of earnings management. opportunistic behaviour, pressure behaviour and financial risk ratio between Asean countries namely Thailand, Malaysia and Indonesia, and also to find the relationship between opportunistic behaviour, pressure behaviour and financi...

Full description

Bibliographic Details
Main Author: Mohd Yusoff, Muhammad Asyraff
Format: Student Project
Language:English
Published: Faculty of Business and Management 2018
Subjects:
Online Access:https://ir.uitm.edu.my/id/eprint/28636/1/PPb_MUHAMMAD%20ASYRAFF%20MOHD%20YUSOFF%20BM%20J%2018_5.pdf
_version_ 1796902736489349120
author Mohd Yusoff, Muhammad Asyraff
author_facet Mohd Yusoff, Muhammad Asyraff
author_sort Mohd Yusoff, Muhammad Asyraff
collection UITM
description This study is to examine the mean difference of earnings management. opportunistic behaviour, pressure behaviour and financial risk ratio between Asean countries namely Thailand, Malaysia and Indonesia, and also to find the relationship between opportunistic behaviour, pressure behaviour and financial risk ratio on earnings management. Based on the data gathered amounting 194 listed firms from Bursa Malaysia (Malaysia), Stock Exchange of Thailand (SET) and Indonesia Stock Exchange (IDX) for each country from the year Of 2014 to 2017. The study proposed that there will be a significant mean difference in earnings management, opportunistic behaviour, pressure behaviour and financial risk ratio between these three countries. Besides that, it is assumed that there will he significant relationship between opportunistic behaviour, pressure behaviour and financial risk ratio on earnings management. The result of this study enables the readers or regulators to have better explanation on the relationship between variables thus alter the rules and regulation a better and soundness of financial reporting in which will increase reliabilities.
first_indexed 2024-03-06T02:09:38Z
format Student Project
id uitm.eprints-8636
institution Universiti Teknologi MARA
language English
last_indexed 2024-03-06T02:09:38Z
publishDate 2018
publisher Faculty of Business and Management
record_format dspace
spelling uitm.eprints-86362020-03-09T06:05:26Z https://ir.uitm.edu.my/id/eprint/28636/ Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff Mohd Yusoff, Muhammad Asyraff Risk management. Risk in industry. Operational risk This study is to examine the mean difference of earnings management. opportunistic behaviour, pressure behaviour and financial risk ratio between Asean countries namely Thailand, Malaysia and Indonesia, and also to find the relationship between opportunistic behaviour, pressure behaviour and financial risk ratio on earnings management. Based on the data gathered amounting 194 listed firms from Bursa Malaysia (Malaysia), Stock Exchange of Thailand (SET) and Indonesia Stock Exchange (IDX) for each country from the year Of 2014 to 2017. The study proposed that there will be a significant mean difference in earnings management, opportunistic behaviour, pressure behaviour and financial risk ratio between these three countries. Besides that, it is assumed that there will he significant relationship between opportunistic behaviour, pressure behaviour and financial risk ratio on earnings management. The result of this study enables the readers or regulators to have better explanation on the relationship between variables thus alter the rules and regulation a better and soundness of financial reporting in which will increase reliabilities. Faculty of Business and Management 2018 Student Project NonPeerReviewed text en https://ir.uitm.edu.my/id/eprint/28636/1/PPb_MUHAMMAD%20ASYRAFF%20MOHD%20YUSOFF%20BM%20J%2018_5.pdf Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff. (2018) [Student Project] (Unpublished)
spellingShingle Risk management. Risk in industry. Operational risk
Mohd Yusoff, Muhammad Asyraff
Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title_full Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title_fullStr Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title_full_unstemmed Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title_short Monitoring opportunistic behaviour, pressure behaviour and financial risk ratio between ASEAN countries / Muhammad Asyraff Mohd Yusoff
title_sort monitoring opportunistic behaviour pressure behaviour and financial risk ratio between asean countries muhammad asyraff mohd yusoff
topic Risk management. Risk in industry. Operational risk
url https://ir.uitm.edu.my/id/eprint/28636/1/PPb_MUHAMMAD%20ASYRAFF%20MOHD%20YUSOFF%20BM%20J%2018_5.pdf
work_keys_str_mv AT mohdyusoffmuhammadasyraff monitoringopportunisticbehaviourpressurebehaviourandfinancialriskratiobetweenaseancountriesmuhammadasyraffmohdyusoff