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Paradigm shift from a liquidation culture to a corporate rescue culture in Malaysia: A legal review
Published 2020“…Previously, the insolvency laws under the CA 1965 were based on the traditional pro‐creditor laws of winding up and receivership, which embodied the liquidation culture. This article examines the transition of the insolvency laws in Malaysia from a liquidation culture under the CA 1965 to a corporate rescue culture under the CA 2016. …”
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SME liquidity and its determinants
Published 2019“…This paper examines the determinants of 250 Malaysian SMEs’ liquidity position (measured by cash conversion cycle-CCC) during the period 2005 to 2013. …”
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The effect of liquidity and profitability to return on investment
Published 2017“…The results showed that partially and simultaneously there is a significant effect of earning after tax and liquidity to Return on Investment (ROI).…”
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The effect of liquidity and profitability to return on investment
Published 2017“…The purpose of this research is to know empirically about influence Liquidity and Profitability to Return on Investment. …”
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Systematic review of literature on effect of liquidity on bank
Published 2018“…This study carries out a systematic review on related empirical literature on the role of liquidity on banks’ performance as well as risk-taking. …”
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Assessing the impact of liquidity on the value of assets return
Published 2022“…The concept of liquidity has been widely discussed in the literature of financial management to determine its influence on the different aspects of company’s financial performance. …”
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Long term effect of liquidity on stock market development
Published 2016“…The study investigates the long run relationship between stock market liquidity and development of stock market using panel dataset that spans 1990-2013 for seven selected Sub-Saharan African countries.It employs dynamic heterogeneous panel data analysis using the technique of Pooled Mean Group.Liquidity of the stock market is measured by both the stock value traded and turnover ratio.The result of PMG technique shows that there is a long run relationship between stock market liquidity and the development of stock market.It is thus recommended that the policy makers in these countries should design strategy to boost the liquidity of the stock market in order for the stock market to contribute to growth.…”
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Cost efficiency and liquidity risk in banking: New evidence
Published 2017“…Purpose - The financial intermediation role of banks that transform short term deposits to long term loans exposed banks into inherent liquidity risk (Berger & Bouwman 2009). The impact of liquidity risk can be detrimental to banks’ earnings and solvency, as evidenced by failures of a large number of financial institutions including Islamic banks during the second wave of 2008 crisis (Hasan & Dridi, 2010; Ali, 2012; Beck et al. 2013).However, unlike conventional banks (notwithstanding the difference in underlying principles, risk profile and regulatory frameworks), Islamic banks faced higher constraints in managing liquidity risk in the absence of Shariah compliant risk management tools and developed institutional infrastructure (Ali, 2012; Mohammad, 2013).A major policy concern is the implication of liquidity risk management of Islamic banks on financial instability.Thus the question is: What are the determinants of liquidity risk that is unique to Islamic banking framework?…”
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Capital structure , profitability, liquidity, and solvency of banking institutions
Published 2017“…Purpose - The purpose of this study is to analyze the capital structure, in terms of profitability, liquidity and solvency.Methodology - Through an empirical and analytical research, the analysis of variance results (ANOVA) of a sample containing financial information from annual report Bank Rakyat Indonesia (BRI) for the year 2008-2016.Findings - A certain structure – where financial current assets exceed onerous current liabilities,and cyclical current assets exceed cyclical current liabilities – is associated with higher levels of profitability, liquidity and solvency.…”
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An Empirical Analysis of Liquidity Risk and Performance in Malaysia Banks
Published 2015“…The nature of banking business exposed banks to various risks which culminate in the form of liquidity risks. Banks with high liquidity risk may face difficulties in fulfilling its financial obligation to the customers, extending their business and eventually may affect the overall performance of the bank. …”
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Re-estimating the impact of liquidity on bank profitability in Nigeria
Published 2019“…In respond to the heightened banking operational risk linked to the liquidity crunch, the Basel Committee for Bank Supervision has continued to advocate for banks holding a considerable liquid asset and also operating profitably. …”
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Standardization of Trading Board Lot: Effect on Price and Liquidity
Published 2017“…Regardless, this claim has never been verified from an academic perspective, which spurred us to compare its effects on liquidity in the pre- and post-standardization period. …”
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Exchange listing changes: volatility and liquidity effects in Taiwan
Published 2003“…We examine the volatility, liquidity and returns effects on stocks that switch exchange listings from the ROSE to the TSE in Taiwan from 1992 to 2000. …”
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Liquidity-profitability trade-off : is it evident among Malaysian SMEs?
Published 2006“…The purpose of this study is to empirically examine the relationship between liquidity and profitability on a sample of small and medium sized enterprises (SMEs) in the Malaysian manufacturing sector.Using the nonparametric spearman rank correlation coefficient analysis,the result reveals that there is a moderate positive association between liquidity levels.The same test is again employed to establish the association between the two variables, signifying that larger small firms tend to maintain higher liquidity levels.Finally,the Kruskal-Wallis test statistic was applied to investigate whether or not different industry sectors had different levels of liquidity. …”
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An Asian Study of the Monetary and Banking Liquidity Impact on Share Prices
Published 2016“…This liquidity binge following a monetary impact on share prices was tested in four major Asian economies.As per the theory’s prediction, monetary changes led to a positive banking liquidity effect, based on lengthy quarterly equations using the dynamic OLS method. …”
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The impact of IFRS 9 and IFRS 7 on liquidity in banks: Theoretical aspects
Published 2014“…The conviction that capital markets could always satisfy Liquidity needs of agents has been strongly questioned during recent years.One consequence has been the IASB introducing IFRS 9, as substitute of IAS 39, in order to improve mechanisms of classification and measurement of Financial Instruments, deemed as one of the main causes triggering the financial crisis.Despite the effort of the International Board to introduce provisions able to assure relevant and useful information for the assessment of the amounts, timing and uncertainty of the entity’s future cash flows, there are some critical points associated with those requirements focused in the paper.We first introduced concepts of Liquidity and of Liquidity Risk, instrumental to a critical study of IFRS 9 insides.We then enriched the analysis, investigating IFRS 7 contents (just for what regards disclosure on Liquidity Risk), looking for information that could overcome IFRS 9 limits. …”
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Impact of credit risk (NPLs) and capital on liquidity risk of Malaysian banks
Published 2015“…We investigate the relationship between bank liquidity risk and credit risk and the impact of bank capital on liquidity risk.Using 19 Malaysian commercial banks data over 2002-2011 and applying dynamic panel data GMM estimation after controlling for bank-specific and macroeconomic variables, empirical results document a positive relationship between liquidity and credit risk and a non-linear U-shaped relationship between bank capital and liquidity risk.…”
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Systematic and unsystematic risk determinants of liquidity risk between Islamic and conventional banks
Published 2016“…The early signal of banking crisis can be observed from the volatility of liquidity risk. Hence, this study attempted to investigate the influence of external and internal factors affecting liquidity risk of Islamic and conventional banks. …”
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