Items where Subject is "HG4501-6051 Investment, capital formation, speculation"

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Number of items at this level: 28.


Ab Razak, Ruzanna and Ismail, Noriszura (2017) Symmetric co-movement between Malaysia and Japan stock markets. AIP Conference Proceedings, 1830. 080011. ISSN 1551-7616

Abdullah Salim, Abdullah Sallehhuddin (2015) Factors Influencing Socially Responsible Investment Behaviour among Institutional Investors in Malaysia. PhD thesis, Multimedia University.

Abdullah Salim, Abdullah Sallehhuddin and Abdul Jalil, Abdul Aziz and Md Yatim, Norzarina and Talha, Mohammad (2020) Sensitivity Of Socially Responsible Investment Behaviour To Experience And Size Of Funds. Journal of Applied Business Research, 36 (2). pp. 77-90. ISSN 0892-7626

Adebola, Solarin Sakiru and Gil-Alana, Luis A. and Madigu, Godfrey (2019) Gold prices and the cryptocurrencies: Evidence of convergence and cointegration. Physica A: Statistical Mechanics and its Applications, 523. pp. 1227-1236. ISSN 0378-4371


Boey, Huey Ming (2016) Intention to Invest in Environmentally-Friendly Shares in Malaysia. Masters thesis, Multimedia University.


Chew, Xin Er and Ng, Sin Huei and Ong, Tze San and Teh, Boon Heng (2020) Underpinning Theories of IPO Underpricing: Evidence from Malaysia. International Journal of Asian Social Science, 10 (10). pp. 560-573. ISSN 2226-5139

Chio, Hui Yee (2021) Determinants of Individual Investors' Intention Towards Renewable Energy Investments in Malaysia. Masters thesis, Multimedia University.


Hashim, Haniza and Shafee, Nur Baiti and Suhaimi, Shadia and Mohd, Siti Nurul Huda (2021) Analysis Of M-REITs Performance Based On Financial Factors and The Degree Of Specialization. Studies of Applied Economics, 39 (4). pp. 1-10. ISSN 1133-3197

Hoong, Chan Kar and Almowallad, Fadi and Hock, Ng Tuan (2018) What do undergraduates think about green investment? Empirical evidence from a developing nation. Indian Journal of Public Health Research & Development, 9 (11). pp. 1627-1632. ISSN 0976-0245


Karoushi, Sayed Ali Barzin (2014) Share price reaction to stock split and stock repurchase. Masters thesis, Multimedia University.

Khan, Mohammad Tariqul Islam (2022) Trust in peer-to-peer (P2P) lending platforms in Malaysia: understanding the determinants from retail investors' perspectives. Journal of Economic and Administrative Sciences. ISSN 1026-4116

Khan, Mohammad Tariqul Islam and Tan, Siow Hooi and Chong, Lee Lee (2016) Gender differences in preferences for firm characteristics across different groups of investors. Qualitative Research in Financial Markets, 8 (1). pp. 2-15. ISSN 1755-4179

Khan, Mohammad Tariqul Islam and Tan, Siow Hooi and Chong, Lee Lee (2017) Perception of past portfolio returns, optimism and financial decisions. Review of Behavioral Finance, 9 (1). pp. 79-98. ISSN 1940-5979

Khan, Mohammad Tariqul Islam and Tan, Siow Hooi and Chong, Lee Lee (2016) The effects of stated preferences for firm characteristics, optimism and overconfidence on trading activities. International Journal of Bank Marketing, 34 (7). pp. 1114-1130. ISSN 0265-2323

Khan, Mohammad Tariqul Islam and Xuan, Yong Yee (2022) Drivers of lending decision in peer-to-peer lending in Malaysia. Review of Behavioral Finance, 14 (3). pp. 379-393. ISSN 1940-5979


Lim, Kean Hua (2014) Factors affecting abnormal trades in Malaysian stock market. Masters thesis, Multimedia University.

Lim, Keng Meng (2015) Influence of financial fundamentals on share price of small capital companies in Bursa Malaysia. Masters thesis, Multimedia University.


Mohammad Tariqul Islam, Khan (2015) Influence of perceived past portfolio returns on investing decisions in Malaysia under the presence of behavioural biases and preferences for firm characteristics. PhD thesis, Multimedia University.


Nguyen, Thi Phuong Lan and Kalabeke, Wisdom and Muthaiyah, Saravanan and Cheng, Ming Yu and Kwan, Jing Hui and Mohamed, Hazik (2022) P2P lending platforms in Malaysia: What do we know? F1000Research, 10. p. 1088. ISSN 2046-1402


Pillay, Shalini Devi and Ramasamy, Suganthi and Yuen, Yee Yen (2022) Marketing Equity using a Five-Factor Asset Pricing Model in ASEAN Countries. Asian Economic and Financial Review, 12 (12). pp. 982-1001. ISSN 2305-2147


Rahman, Mahfuzur and Lim, Ying Zhee and Ismail, Izlin and Isa, Che Ruhana (2019) Investors’ Perspective on the Impact Of IFRS Convergence on Malaysian Capital Markets. In: 9th International Economics and Business Management Conference 2019, 2-3 Nov. 2019, Imperial Heritage Melaka, Melaka, Malaysia.

Roslan, Farah (2014) The causal relationship between foreign direct investment and financial development in ASEAN countrues. Masters thesis, Multimedia University.


Sukumaran, Shangeetha and Thai, Siew Bee and Wasiuzzaman, Shaista (2022) Cryptocurrency Adoption in Malaysia. In: Postgraduate Social Science Colloquium 2022, 1 - 2 June 2022, Online.

Sukumaran, Shangeetha and Thai, Siew Bee and Wasiuzzaman, Shaista (2022) Cryptocurrency as an Investment: The Malaysian Context. Risks, 10 (4). p. 86. ISSN 2227-9091


Tay, Lee Ying and Lye, Chun Teck and Ng, Tuan Hock (2022) Press Freedom, Corporate Governance and Stock Price Informativeness. In: Postgraduate Colloquium December 2022, 1-15 December 2022, Multimedia University, Malaysia. (Unpublished)

Tay, Lee Ying and Rasiah, Devinaga and Lai, Ming Ming (2020) Freedom Indices and Capital Asset Pricing Model: Some Malaysian Evidence. International Journal of Management, Finance and Accounting, 1 (1). pp. 1-21. ISSN 2735-1009


Wasiuzzaman, Shaista and Chong, Lee Lee and Ong, Hway Boon (2022) Influence of perceived risks on the decision to invest in equity crowdfunding: a study of Malaysian investors. Journal of Entrepreneurship in Emerging Economies, 14 (2). pp. 1-23. ISSN 2053-4604

Wasiuzzaman, Shaista and Subramaniam, Vasanthan (2018) Corporate diversification and dividend policy: empirical evidence from Malaysia. Journal of Management and Governance, 23. 735-758(2019). ISSN 1385-3457

This list was generated on Sat Dec 9 01:51:39 2023 +08.