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Details about Kim-Leng Goh

Homepage:https://umexpert.um.edu.my/klgoh
Phone:379673749
Postal address:Faculty of Business and Economics University of Malaya 50603 Kuala Lumpur MALAYSIA
Workplace:Faculty of Business and Economics, Universiti Malaya (University of Malaya), (more information at EDIRC)

Access statistics for papers by Kim-Leng Goh.

Last updated 2024-05-07. Update your information in the RePEc Author Service.

Short-id: pgo137


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Journal Articles

2023

  1. Methodological problems in studies on the Taylor rule
    Studies in Economics and Econometrics, 2023, 47, (2), 127-143 Downloads
  2. The Happiness-Economic Well-Being Nexus: New Insights From Global Panel Data
    SAGE Open, 2023, 13, (4), 21582440231199659 Downloads

2022

  1. Malaysian Domestic Bond Market Experience:Lessons for Emerging Economies
    Capital Markets Review, 2022, 30, (2), 1-18 Downloads
  2. The dynamics and determinants of liquidity connectedness across financial asset markets
    International Review of Economics & Finance, 2022, 77, (C), 341-358 Downloads View citations (7)

2021

  1. Dependence Structure Between Renminbi Movements and Volatility of Foreign Exchange Rate Returns
    China Report, 2021, 57, (1), 57-78 Downloads
  2. Sociodemographic determinants of health care expenditure: micro level evidence of a fast-growing developing country
    International Journal of Social Economics, 2021, 48, (4), 640-656 Downloads View citations (1)
  3. The influence of sovereign credit ratings on sovereign credit default swaps: do splits matter?
    Economics Bulletin, 2021, 41, (4), 2433-2444 Downloads

2020

  1. Does proprietary day trading provide liquidity at a cost to investors?
    International Review of Financial Analysis, 2020, 68, (C) Downloads View citations (2)
  2. Liquidity and firm value in an emerging market: Nonlinearity, political connections and corporate ownership
    The North American Journal of Economics and Finance, 2020, 52, (C) Downloads View citations (9)
  3. More shareholders, higher liquidity? Evidence from an emerging stock market
    Emerging Markets Review, 2020, 44, (C) Downloads View citations (2)

2019

  1. Bond Market Development in Malaysia: Possible Crowding-Out from Persistent Fiscal Deficits?
    Economics Bulletin, 2019, 39, (3), 1798-1807 Downloads View citations (2)
  2. Impact of Chinese Yuan Devaluation on the Dependence Structure: The Archimedean Copula Approach
    Review of Pacific Basin Financial Markets and Policies (RPBFMP), 2019, 22, (01), 1-27 Downloads View citations (2)
  3. Natural gas industry transformation in Peninsular Malaysia: The journey towards a liberalised market
    Energy Policy, 2019, 128, (C), 197-211 Downloads View citations (2)
  4. The Malaysian Domestic Bond Market: Growing into its Rightful Role
    Capital Markets Review, 2019, 27, (1), 34-52 Downloads View citations (1)

2018

  1. Foreign equity flows: Boon or bane to the liquidity of Malaysian stock market?
    The North American Journal of Economics and Finance, 2018, 45, (C), 161-181 Downloads View citations (15)
  2. Linear and nonlinear causal relationship between energy consumption and economic growth in China: New evidence based on wavelet analysis
    PLOS ONE, 2018, 13, (5), 1-21 Downloads View citations (13)
  3. Nai-peng Tey; Faculty of Economics and Administration, University of Malaya Title: Personal income in Malaysia: distribution and differentials
    Economics Bulletin, 2018, 38, (2), 973-982 Downloads

2016

  1. Regional and International Linkages of the ASEAN-5 Stock Markets: A Multivariate Garch Approach
    Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2016, 12, (1), 49-71 Downloads View citations (2)

2015

  1. Informational Content of Yield Spread: Predicting Economic Growth of Malaysia
    Capital Markets Review, 2015, 23, (1&2), 84-95 Downloads

2012

  1. Determinants of Sectoral Cost of Equity for an Emerging Market: The Case of Malaysian Firms
    Capital Markets Review, 2012, 20, (1&2), 21-41 Downloads
  2. The pathway of development: science and technology of NIEs and selected Asian emerging economies
    Scientometrics, 2012, 92, (3), 523-548 Downloads View citations (7)
  3. The sustainability of functionality development of science and technology: Papers and patents of emerging economies
    Journal of Informetrics, 2012, 6, (1), 55-65 Downloads View citations (9)

2010

  1. 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 Downloads View citations (3)
  2. Growth behavior of publications and patents: A comparative study on selected Asian economies
    Journal of Informetrics, 2010, 4, (4), 460-474 Downloads View citations (14)
  3. Measuring the Cost of Equity of Emerging Market Firms: The Case of Malaysia
    Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2010, 6, (1), 25-46 Downloads View citations (1)
  4. Modeling the behaviour of science and technology: self-propagating growth in the diffusion process
    Scientometrics, 2010, 84, (3), 669-686 Downloads View citations (18)

2009

  1. Financial Disintermediation in the 1990s: Implications on Monetary Policy in Malaysia
    Hitotsubashi Journal of Economics, 2009, 50, (1), 1-27 Downloads View citations (1)

2008

  1. Stock Market Integration across National Boundaries: Causes and Impediments
    Capital Markets Review, 2008, 16, (1), 13-26 Downloads

2007

  1. BANK LENDING CHANNEL FOR MONETARY POLICY TRANSMISSION IN MALAYSIA: AN ARDL APPROACH
    Applied Econometrics and International Development, 2007, 7, (2) Downloads View citations (2)
  2. Bank lending and monetary policy: the effects of structural shift in interest rates
    Economics Bulletin, 2007, 5, (5), 1-14 Downloads View citations (5)

2006

  1. Beating the Random Walk: Intraday Seasonality and Volatility in a Developing Stock Market
    International Journal of Business and Economics, 2006, 5, (1), 41-59 Downloads View citations (1)

2005

  1. Financial Crisis and Intertemporal Linkages Across the ASEAN-5 Stock Markets
    Review of Quantitative Finance and Accounting, 2005, 24, (4), 359-377 Downloads View citations (12)

2001

  1. Causal Relationship Between Local and Foreign Tranche Stock Returns in the Malaysian Securities Market
    Capital Markets Review, 2001, 9, (1&2), 49-65 Downloads

2000

  1. Forecasting Sectoral Indices in The Kuala Lumpur Stock Exchange
    Capital Markets Review, 2000, 8, (1&2), 63-88 Downloads

1999

  1. A Correction for Local Biasedness of the Wald and Null Wald Tests
    Oxford Bulletin of Economics and Statistics, 1999, 61, (3), 435-450 Downloads View citations (1)

1996

  1. Modified Wald tests for non-linear restrictions: A cautionary tale
    Economics Letters, 1996, 53, (2), 133-138 Downloads View citations (1)

Chapters

2020

  1. Copulas and Tail Dependence in Finance
    Chapter 73 in HANDBOOK OF FINANCIAL ECONOMETRICS, MATHEMATICS, STATISTICS, AND MACHINE LEARNING, 2020, pp 2499-2524 Downloads
 
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