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Details about Muzafar Shah Habibullah

E-mail:
Homepage:http://www.econ.upm.edu.my/~muzafar
Phone:603-89467635
Postal address:Department of Economics, Faculty of Economics and Management, Universiti Putra Malaysia, 43400 UPM Serdang, Selangor, Malaysia
Workplace:Fakulti Ekonomi Dan Pengurusan (Faculty of Economics and Management), Universiti Putra Malaysia (University of Agriculture Malaysia), (more information at EDIRC)

Access statistics for papers by Muzafar Shah Habibullah.

Last updated 2008-10-06. Update your information in the RePEc Author Service.

Short-id: pha314


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Working Papers

2008

  1. Monetary exchange rate model: supportive evidence from nonlinear testing procedures
    MPRA Paper, University Library of Munich, Germany Downloads

2007

  1. Accounting for the Current Account Behavior in ASEAN-5
    MPRA Paper, University Library of Munich, Germany Downloads

2006

  1. Stock prices, exchange rates and causality in Malaysia: a note
    MPRA Paper, University Library of Munich, Germany Downloads
    See Also Journal Article in The Icfai Journal of Financial Economics (2007)

2003

  1. Are Non-Linear Dynamics a Universal Occurrence? Further Evidence From Asian Stock Markets
    Finance, EconWPA Downloads View citations
  2. The Validity of PPP Theory in ASEAN-Five: Another Look on Cointegration and Panel Data Analysis
    International Trade, EconWPA Downloads

Journal Articles

2008

  1. Monetary Conditions Index in Singapore
    The Icfai Journal of Applied Economics, 2008, VII, (4), 6-22
  2. The Tax-Spend Debate: Time Series Evidence from Sarawak Municipals, 1975-2003
    The Icfai Journal of Public Finance, 2008, VI, (1), 52-65

2007

  1. Is a regional trade bloc a prelude to multilateral trade liberalization?: Empirical evidence from the ASEAN-5 economies
    Journal of Asian Economics, 2007, 18, (2), 384-402 Downloads
  2. Stock Price and Exchange Rate Interactions: The Case of The Philippines
    The Icfai Journal of Applied Economics, 2007, VI, (3), 7-16
  3. Stock Prices, Exchange Rates and Causality in Malaysia: A Note
    The Icfai Journal of Financial Economics, 2007, V, (1), 7-13
    See Also Working Paper (2006)

2006

  1. AN ANALYSIS OF TECHNICAL PROGRESS AND EFFICIENCY IN MALAYSIAN COMMERCIAL BANKS BEFORE MERGERS
    The Icfai Journal of Bank Management, 2006, V, (2), 36-47
  2. TESTING LONG-RUN NEUTRALITY OF MONEY: EVIDENCE FROM MALAYSIAN STOCK MARKET
    The Icfai Journal of Applied Economics, 2006, V, (4), 15-37
  3. THE P-STAR MODEL APPROACH OF LINKING MONEY AND PRICES IN SRI LANKA: SOME EMPIRICAL EVIDENCE
    The Icfai Journal of Applied Economics, 2006, V, (6), 28-39
  4. Testing liquidity constraints in 10 Asian developing countries: an error-correction model approach
    Applied Economics, 2006, 38, (21), 2535-2543 Downloads

2005

  1. A Test of Price Convergence in the ASEAN-5 Economies
    The Icfai Journal of Monetary Economics, 2005, III, (4), 42 - 55
  2. Do Bankers Make Rational Economic Forecasts?
    The Icfai Journal of Bank Management, 2005, IV, (4), 7-15
  3. Is Wagner or Keynes Right? Testing the Government Expenditure and Economic Growth Nexus in Malaysia
    The Icfai Journal of Public Finance, 2005, III, (4), 35-42

2001

  1. Does PPP hold between Asian and Japanese economies? Evidence using panel unit root and panel cointegration
    Japan and the World Economy, 2001, 13, (1), 35-50 Downloads View citations

1999

  1. Liquidity Constraints and Financial Liberalization: The Case for Asian Developing Countries
    Applied Economics Letters, 1999, 6, (4), 259-62 Downloads

1998

  1. Divisia Money and Income in Indonesia: Some Results from Error-Correction Models, 1981:1-1994:4
    Applied Economics Letters, 1998, 5, (6), 387-91 Downloads

1996

  1. MONEY, OUTPUT AND STOCK PRICES IN MALAYSIA: AN APPLICATION OF THE COINTEGRATION TESTS
    International Economic Journal, 1996, 10, (2), 121-130 Downloads View citations

1992

  1. Returns to Scale and Optimal Output in Beekeeping in Malaysia
    Indian Economic Review, 1992, 27, (2), 229-234
 
 
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