Details about Chee-Wooi Hooy
Access statistics for papers by Chee-Wooi Hooy.
Last updated 2023-05-10. Update your information in the RePEc Author Service.
Short-id: pho325
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Working Papers
2017
- The Sources of Country and Industry Variations in ASEAN Stock Returns
MPRA Paper, University Library of Munich, Germany View citations (1)
2015
- Corporate Shareholdings and the Liquidity of Malaysian Stocks: Investor Heterogeneity, Trading Account Types and the Underlying Channels
MPRA Paper, University Library of Munich, Germany
2014
- Diversification strategy, Ownership Structure, and Firm Value: a study of public‐listed firms in Indonesia
MPRA Paper, University Library of Munich, Germany
2013
- A Macro Assessment of China Effects on Malaysian Exports and Trade Balances
MPRA Paper, University Library of Munich, Germany View citations (5)
2011
- China-Malaysia’s long run trading and exchange rate: complementary or conflicting?
MPRA Paper, University Library of Munich, Germany
- NONLINEAR ANALYSIS OF CHINESE AND MALAYSIAN EXCHANGE RATES PREDICTABILITY WITH MONETARY FUNDAMENTALS
2nd International Conference on Business and Economic Research (2nd ICBER 2011) Proceeding, Conference Master Resources View citations (1)
See also Journal Article NONLINEAR ANALYSIS OF CHINESE AND MALAYSIAN EXCHANGE RATES PREDICTABILITY WITH MONETARY FUNDAMENTALS, Journal of Global Business and Economics, Global Research Agency (2012) (2012)
2010
- China-Malaysia’s Trading and Exchange Rate: Complementary or Conflicting Features?
MPRA Paper, University Library of Munich, Germany View citations (1)
- Forecasting Malaysian Exchange Rate: Do Artificial Neural Networks Work?
MPRA Paper, University Library of Munich, Germany View citations (1)
2008
- Examining Exchange Rates Exposure, J-Curve and the Marshall-Lerner Condition for High Frequency Trade Series between China and Malaysia
MPRA Paper, University Library of Munich, Germany View citations (2)
- Performance of Innovative Knowledge Economies in the Asia Pacific Region
NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus
- The Impact of Yuan/Ringgit on Bilateral Trade Balance of China and Malaysia
MPRA Paper, University Library of Munich, Germany
2006
- On Volatility Spillovers and Dominant Effects in East Asian: Before and After the 911
MPRA Paper, University Library of Munich, Germany
Journal Articles
2023
- A New Measure for Idiosyncratic Risk Based on Decomposition Method
JRFM, 2023, 16, (1), 1-8 View citations (1)
- Economic policy uncertainty and carbon footprint: International evidence
Journal of Multinational Financial Management, 2023, 67, (C) View citations (8)
- Political connections and economic policy uncertainty: A global evidence
Finance Research Letters, 2023, 51, (C) View citations (4)
2022
- CEO age and risk-taking of family business in Malaysia: The inverse S-curve relationship
Asia Pacific Journal of Management, 2022, 39, (1), 273-293 View citations (2)
- Corporate Governance Code Revisions, Corporate Social Performance and Firm Value: International Evidence
Malaysian Journal of Economic Studies, 2022, 59, (1), 1-25
- Do Political Connections Matter for Firm Trade Credit?
Emerging Markets Finance and Trade, 2022, 58, (14), 4014-4032
- Generation effects and managerial risk taking
Journal of Business Research, 2022, 139, (C), 918-934 View citations (2)
- Government power and the value of political connections: Evidence from Covid-19 economic lockdowns
Finance Research Letters, 2022, 47, (PB) View citations (4)
- Muslim CEOs, risk-taking and firm performance
Pacific-Basin Finance Journal, 2022, 74, (C) View citations (3)
- THE IMPACTS OF DATA-DRIVEN LEADERSHIP IN IR4.0 ADOPTION ON FIRM PERFORMANCE IN MALAYSIA
Annals of Financial Economics (AFE), 2022, 17, (03), 1-36
- THE ROLE OF IMPLICIT DETERMINANTS IN A HIGHLY LIBERALIZED EMERGING MARKET: EVIDENCE FROM MALAYSIA
The Singapore Economic Review (SER), 2022, 67, (04), 1287-1305
2021
- Board independence and private information-based trading: evidence from Malaysia
International Journal of Managerial Finance, 2021, 18, (3), 466-487
- Corporate Social Responsibility, Firm Value and Corporate Governance Code Revisions: The Asian Evidence*
Asian Economic Journal, 2021, 35, (1), 27-56 View citations (3)
- Foreign Experience of CEOs and Managerial Risk Taking
Malaysian Journal of Economic Studies, 2021, 58, (2), 239-265
- Investor protection, corporate governance and private information-based trading
Studies in Economics and Finance, 2021, 38, (4), 712-747
- Muslim CEOs and bank risk-taking: Evidence from Indonesia
Global Finance Journal, 2021, 50, (C) View citations (1)
2020
- An Augmented Measurement of the Housing Affordability Cycles in Malaysia
Malaysian Journal of Economic Studies, 2020, 57, (1), 133-145
- Banks’ Risk-taking and State Ownership: Evidence from Asian Emerging Markets
Malaysian Journal of Economic Studies, 2020, 57, (1), 59-80 View citations (1)
- Market response towards different types of politically connected firms during political events: evidence from Malaysia
International Journal of Managerial Finance, 2020, 17, (1), 49-71 View citations (1)
- Ultimate Ownership, Control Mechanism, and Firm Performance: Evidence from Malaysian Firms
Emerging Markets Finance and Trade, 2020, 56, (15), 3805-3828 View citations (2)
2019
- Board Gender Diversity, Investor Protection, and Private Information-Based Trading
Global Economic Review, 2019, 48, (4), 419-439 View citations (1)
2018
- Can informal corporate governance mechanisms mitigate diversification discount? Evidence from Malaysia
International Journal of Managerial Finance, 2018, 14, (5), 522-541
- Decomposition of systematic and total risk variations in emerging markets
International Finance, 2018, 21, (2), 158-174
- Do types of political connection affect firm performance differently?
Pacific-Basin Finance Journal, 2018, 51, (C), 297-317 View citations (28)
- Ownership Identity and Mitigation of Diversification Discount: Evidence from Malaysia
Malaysian Journal of Economic Studies, 2018, 55, (1), 97-113
- The impact of board ethnic diversity on firm performance: evidence from public listed firms in Malaysia
International Journal of Monetary Economics and Finance, 2018, 11, (3), 260-270 View citations (2)
- The sources of country and industry variations in ASEAN
Macroeconomics and Finance in Emerging Market Economies, 2018, 11, (1), 19-35
2017
- Does a Muslim CEO matter in Shariah-compliant companies? Evidence from Malaysia
Pacific-Basin Finance Journal, 2017, 42, (C), 126-141 View citations (7)
- Effect of Geographical Diversification on Informational Efficiency in Malaysia
Economics Bulletin, 2017, 37, (1), 19-29
- Investor heterogeneity, trading account types and competing liquidity channels for Malaysian stocks
Research in International Business and Finance, 2017, 41, (C), 220-234 View citations (4)
- The Effect of Investor Sentiment on Stock Returns: Insight from Emerging Asian Markets
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2017, 13, (1), 159-178 View citations (15)
- Volatility Contagion in Selected Six Asian Countries: Evidence from Country Debt Risk and Determinant Indicators
International Journal of Business and Administrative Studies, 2017, 3, (2), 36-55 View citations (1)
2016
- Effect of Geographical Diversification on Informational Efficiency in Emerging Countries
Capital Markets Review, 2016, 24, (1), 16-37
- Foreign investors and stock price efficiency: Thresholds, underlying channels and investor heterogeneity
The North American Journal of Economics and Finance, 2016, 36, (C), 1-28 View citations (17)
- The impact of earnings management on the extent of disclosure and true financial performance: Evidence from listed firms in Hong Kong
The British Accounting Review, 2016, 48, (2), 206-219 View citations (6)
2015
- Diversity in human and social capital: Empirical evidence from Asian tourism firms in corporate board composition
Tourism Management, 2015, 48, (C), 139-153 View citations (8)
- Does tropical weather condition affect investor behaviour? Case of Indonesian stock market
Global Business and Economics Review, 2015, 17, (2), 188-202 View citations (2)
- The Components of Systematic Risk and Their Determinants in The Malaysian Equity Market
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2015, 11, (2), 151-176 View citations (1)
- The impact of the Renminbi real exchange rate on ASEAN disaggregated exports to China
Economic Modelling, 2015, 47, (C), 253-259 View citations (19)
2014
- A STOCHASTIC SETTING TO BANK FINANCIAL PERFORMANCE FOR REFINING EFFICIENCY ESTIMATES
Intelligent Systems in Accounting, Finance and Management, 2014, 21, (4), 225-245 View citations (1)
- Are momentum and contrarian effects related? Evidence from the Chinese stock market
Economics Bulletin, 2014, 34, (4), 2361-2367 View citations (1)
- Moon Phase as the Cause of Monday Irrationality: Case of Asean Day of the Week Anomaly
The International Journal of Economic Behavior - IJEB, 2014, 4, (1), 51-65
- Moon phase effect on investor psychology and stock trading performance
International Journal of Social Economics, 2014, 41, (3), 182-200 View citations (1)
- Technological Innovation in Services and the Efficiency of Malaysian Commercial Banks
Jurnal Ekonomi Malaysia, 2014, 48, (2), 111-125
- The Role of Weather on Investors’ Monday Irrationality: Insights from Malaysia
Contemporary Economics, 2014, 8, (2) View citations (2)
2013
- Controlling Shareholders and the Implied Cost of Equity of Malaysian Firms
Capital Markets Review, 2013, 21, (1&2), 13-37
- Country Versus Industry Diversification in ASEAN-5
Emerging Markets Finance and Trade, 2013, 49, (2), 44-63 View citations (5)
- Forecasting Malaysian Ringgit: Before and After The Global Crisis
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2013, 9, (2), 157-175
- Is market integration associated with informational efficiency of stock markets?
Journal of Policy Modeling, 2013, 35, (1), 29-44 View citations (23)
- NON-LINEAR PREDICTABILITY IN G7 STOCK INDEX RETURNS
Manchester School, 2013, 81, (4), 620-637 View citations (9)
2012
- A structural VARX modelling of international parities between China and Japan in the liberalization era
Economics Bulletin, 2012, 32, (1), 730-736 View citations (2)
- Determinants of systematic financial risk exposures of airlines in North America, Europe and Asia
Journal of Air Transport Management, 2012, 24, (C), 31-35 View citations (7)
- Malaysia--China in the Liberalization Era: Structural Modelling of International Parity Conditions and Transmission Mechanism
Global Economic Review, 2012, 41, (3), 259-277
- NONLINEAR ANALYSIS OF CHINESE AND MALAYSIAN EXCHANGE RATES PREDICTABILITY WITH MONETARY FUNDAMENTALS
Journal of Global Business and Economics, 2012, 5, (1), 38-49 
See also Working Paper NONLINEAR ANALYSIS OF CHINESE AND MALAYSIAN EXCHANGE RATES PREDICTABILITY WITH MONETARY FUNDAMENTALS, 2nd International Conference on Business and Economic Research (2nd ICBER 2011) Proceeding (2011) View citations (1) (2011)
- The Role of Herd Behaviour in Determining the Investor‘s Monday Irrationality
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2012, 8, (2), 1-20 View citations (6)
- The value impact of international and industrial diversifications on public‐listed firms in Malaysia
Emerging Markets Review, 2012, 13, (3), 366-380 View citations (7)
- Weather, investor irrationality and day-of-the-week anomaly: case of Indonesia
Journal of Bioeconomics, 2012, 14, (2), 129-146 View citations (3)
2011
- A Structural Modeling of International Parities between Malaysia and China in the Liberalisation Era
Capital Markets Review, 2011, 19, (1&2), 73-87
- Japan-U.S. Real Exchange Rate Behaviour: Evidence from Linear and Non-Linear Endogenous Break Tests
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2011, 7, (1), 95-109 View citations (2)
- Nonlinear prediction of Malaysian exchange rate with monetary fundamentals
Economics Bulletin, 2011, 31, (3), 1960-1967 View citations (1)
2010
- Exposure to the world and trading-bloc risks: A multivariate capital asset pricing model
Research in International Business and Finance, 2010, 24, (2), 206-222 View citations (3)
- The Impact of Exchange Rate Volatility on World and Intra-trade Flows of SAARC Countries
Indian Economic Review, 2010, 45, (1), 67-86 View citations (8)
- The delay of stock price adjustment to information: A country-level analysis
Economics Bulletin, 2010, 30, (2), 1609-1616 View citations (4)
- The monitoring role of independent directors in CEO pay-performance relationship: the case of Malaysian government linked companies
Macroeconomics and Finance in Emerging Market Economies, 2010, 3, (2), 245-259
- Time-varying World Integration of the Malaysian Stock Market: A Kalman Filter Approach
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2010, 6, (2), 1-17 View citations (1)
2009
- Financial Efficiency of SMEs in the Northern Corridor Economic Region: A DEA Analysis
Capital Markets Review, 2009, 17, (1&2), 1-19
2008
- Does trade regionalism increase stock market segmentation within a trading bloc?
International Economic Journal, 2008, 22, (1), 113-126
- Stock Market Integration across National Boundaries: Causes and Impediments
Capital Markets Review, 2008, 16, (1), 13-26
2007
- Exchange Rate Volatility and the Asian Financial Crisis: Evidence from South Korea and ASEAN-5
Review of Pacific Basin Financial Markets and Policies (RPBFMP), 2007, 10, (02), 237-264 View citations (1)
- The Development of East Asian Countries towards a Knowledge-based Economy: A DEA Analysis
Journal of the Asia Pacific Economy, 2007, 12, (1), 17-33 View citations (2)
2004
- Risk Sensitivity of Bank Stocks in Malaysia: Empirical Evidence Across the Asian Financial Crisis
Asian Economic Journal, 2004, 18, (3), 261-276 View citations (7)
Edited books
2013
- Emerging Markets and Financial Resilience
Palgrave Macmillan Books, Palgrave Macmillan View citations (7)
Chapters
2013
- Emerging Markets and Financial Resilience
Palgrave Macmillan View citations (8)
- Momentum and Contrarian Strategies on ASEAN Markets
Palgrave Macmillan
Editor
- Capital Markets Review
Malaysian Finance Association
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