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241
Comparison between dominant working capital variables in Malaysia trading and service industry / Nurfarhana Amiruldin
Published 2014“…The sample was taken from the 25 companies listed on the main board of Bursa Malaysia in trading and services industry. The result of study showed that, there is relationship between average collection period and average payment period with profitability. …”
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Thesis -
242
Financial restructuring of financial distressed firms / Norsyamira Ayub
Published 2007“…A sample of 81 distressed syariah compliant firms listed on the main board and the second board of Bursa Malaysia from the period of 2000 until 2002 is taken for this research. …”
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Student Project -
243
Financial restructuring of financial distressed firms / Norsyamira Ayub
Published 2007“…A sample of 81 distressed syariah compliant firms listed on the main board and the second board of Bursa Malaysia from the period of 2000 until 2002 is taken for this research. …”
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Student Project -
244
Long memory and asymmetric volatility behaviour of the Malaysian stock market: a statistical modelling approach
Published 2006“…This paper analyzes the asymmetric long memory volatility dependency of the interday prices of Composite Index (CI) at Bursa Malaysia by using GARCH family models. The GARCH type models are used with the assumption that the innovations series follow either one of the following distributions: Gaussian, Student -t and skewed Student -t. …”
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245
The Effects Of Owners' Participation And Lockup On Ipo Underpricing In Malaysia
Published 2005“…Examining IPOs between August 1996 and June 2000 in Bursa Malaysia, the evidence lends support to the theoretical predictions that IPO underpricing is negatively related to owners' participation ratio and positively associated with the fraction of directors' shares which is subject to liquidity restrictions.…”
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246
The Components Of Systematic Risk And Their Determinants In The Malaysian Equity Market
Published 2015“…We examine the country components of world systematic risk in the context of Bursa Malaysia. World systematic risk is divided into the US, developed markets, regional markets, major trading partners, and the rest of the world. …”
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247
Corporate Social Responsibility – Firm Performance – Corporate Social Responsibility Loop: The Role Of Assurance, Reputation And Industry Type
Published 2018“…A total of 200 firms listed in Bursa Malaysia was selected in this study using stratified random sampling technique.…”
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Thesis -
248
Types of institutional investors and earnings management in Malaysia
Published 2015“…Our sample consists of 525 companies listed on Bursa Malaysia for financial year 2009.The results suggest that short-term institutional investors exacerbate discretionary accruals.However, long-term institutional investors do not have significant relationship with the level of discretionary accruals in Malaysia.…”
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249
Are There Non-Linear Relationships Between Ownership Structure and Corporate Social Responsibility? Malaysian Perspective
Published 2021“…The population is the listed companies on Bursa Malaysia in 2018 and 2019 with a total of 783 active companies and the final sample of 261 Malaysian public listed companies (PLCs) examined. …”
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Monograph -
250
Audit committee attributes and corporate fraud / Maliah Alwi
Published 2013“…The sample includes 116 frauds and non-fraud companies listed on Bursa Malaysia from the year 2005 to 2010. The finding of this study indicates that the audit committee's independence is positively associated with fraudulent financial reporting. …”
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Thesis -
251
Study of performance of portfolio investment between industrial and financial sector / Siti Hawa Anuar
Published 2011“…This paper wills concentrated on the 3 companies for each sector that are listed in Bursa Malaysia Main Board. This study uses monthly stock price of each sectors over the period 2005 to 2009 that also included the market capitalization. …”
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Student Project -
252
Causes of financial distress: The case of syariah compliant companies / Marliyana Mohtar
Published 2007“…In order to locate firms in financial distress, firstly we need to analyze all the listed Syariah compliant firms of Main and Second Board of Bursa Malaysia over the period of 2000 to 2002. A firm is identified as having suffered from financial distress when the interest cover is less than 1. …”
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Student Project -
253
Quality awards and market reactions: The case of Malaysia / Hasnizahanim Masilan
Published 2007“…Three methodologies are this study consists Of Event Study Methodology, Capital Assets pricing Model (CAPM) and & Jensen'S Index, The data used in this study consist of the data Bursa Malaysia Composite Index (BMCI), Treasury Dills, of stocks and also daily closing prices of companies Winning the Quality Management Excellence Award (QMEA) from year Of 1996 until 2006, It was found that results were consistent with findings of previous researches, suggesting the absence of abnormal returns for winner companies. …”
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Student Project -
254
The relationship between portfolio diversification strategies and property companies stock price / Saifuliza Omar
Published 2007“…This data obtained from Bursa Malaysia as well as from Data Stream. The dependent variable for this study is property company stock price that is measures its volatility using coefficient of variation and independent variable is the portfolio diversification. …”
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Student Project -
255
Determinants of profitability of post merger and acquisition companies: evidence of companies in Malaysia / Hayat Jamaludin and Muhammad Naufal Ahmad Barizi
Published 2014“…The main objective of this research is to investigate determinants of profitability of post merger and acquisition companies in Malaysia that made announcement in Bursa Malaysia. The scope of this study covers 4 years included with the announcement year of acquisition companies. …”
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Student Project -
256
The interaction effect of earnings and dividend / Nurulashikin Lokman
Published 2007“…A sample of 251 Syariah Compliance firms listed on main boards in Bursa Malaysia was chosen for this study over the year 2001 to 2005. …”
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Student Project -
257
The relationship between indices and Kuala Lumpur syariah index / Ungku Zareen Ungku Zolkipli
Published 2014“…The variables involved in this research are, Kuala Lumpur Shariah Index (KLSI), Consumer Price Index (CPI), FTSE Bursa Malaysia Hijrah Index (FBMHI), Kuala Lumpur Composite Index (KLCI), and Dow Jones Islamic Index (DJII). …”
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Student Project -
258
Financial leverage in manufacturing sector in Malaysia / Nur Shafiera Aspal Anawal
Published 2017“…This research paper will investigate the financial leverage of manufacturing firms that are listed in Bursa Malaysia. The sample of the data covers ten of manufacturing firm for the ten years period from 2005 until 2015. …”
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Student Project -
259
Board mechanisms and Malaysian Family Companies' Performance
Published 2011“…The sample size is 189 family companies listed on Bursa Malaysia from 2003 to 2007. The findings from this study reveal that some of the board mechanisms influence family companies’ performance. …”
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Article -
260
Effects of ownership structure on Malaysian companies performance
Published 2013“…The sample consists of four hundred and twenty companies listed on Bursa Malaysia for the year from 2003 to 2007. The study shows that equity ownerships in Malaysia are concentrated on few owners mainly by the State government, families or large corporations. …”
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