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Details about Hui-Boon Tan

Workplace:Business School, University of Nottingham, (more information at EDIRC)

Access statistics for papers by Hui-Boon Tan.

Last updated 2015-08-24. Update your information in the RePEc Author Service.

Short-id: pta253


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Working Papers

2011

  1. Stock Market Capitalization and Financial Integration in the Asia Pacific Region
    Post-Print, HAL Downloads
    See also Journal Article in Applied Economics (2012)

2009

  1. Does Financial Deepening Improve Income Distribution? A Dynamic Panel Analysis on Developing Countries
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads View citations (3)
  2. Unexpected Volatility Shifts and Efficiency of Emerging Stock Market: The Case of Malaysia
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads View citations (1)

2008

  1. Choice of Exchange Rate System and Macroeconomic Volatility of Three Emerging Asian Countries
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads
  2. Exchange Rate Misalignment, Volatility and Import Flows in Malaysia
    MPRA Paper, University Library of Munich, Germany Downloads View citations (3)
  3. Financial Intermediary Development and Output Fluctuations: A Dynamic Panel Data Analysis on ASEAN-5 Plus 3
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads
  4. Performance of Innovative Knowledge Economies in the Asia Pacific Region
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads
  5. Regional Economic Integration and Trade Flows: The Experience of Asean-5 and Japan
    NUBS Malaysia Campus Research Paper Series, Nottingham University Business School Malaysia Campus Downloads

Journal Articles

2016

  1. Technical efficiency in the Malaysian water sector: A stochastic frontier approach
    Journal of Developing Areas, 2016, 50, (3), 149-165 Downloads

2015

  1. Bank integration and systemic risk: Panacea or pandemic?
    Journal of Developing Areas, 2015, 49, (4), 301-312 Downloads View citations (1)
  2. Globalisation, Institutional Reforms and Financial Development in East Asian Economies
    The World Economy, 2015, 38, (2), 379-398 Downloads View citations (7)
  3. The impact of volatility shifts on market efficiency: the case of four emerging Southeast Asian stock markets
    Global Business and Economics Review, 2015, 17, (2), 203-216 Downloads

2014

  1. Economic Globalization and Financial Development in East Asia: A Panel Cointegration and Causality Analysis
    Emerging Markets Finance and Trade, 2014, 50, (1), 210-225 Downloads View citations (8)
  2. Efficiency and Productivity Gains in Knowledge-Based Production: The Case of East Asian Economies
    Economic Studies journal, 2014, (2), 122-143 Downloads
  3. FIRM-SPECIFIC CHARACTERISTICS AND TECHNICAL EFFICIENCY OF ELECTRONICS MANUFACTURING FIRMS IN CHINA
    Review of Applied Economics, 2014, 10, (1-2) Downloads
  4. Financial Development and Income Inequality at Different Levels of Institutional Quality
    Emerging Markets Finance and Trade, 2014, 50, (1S), 21-33 Downloads View citations (23)

2012

  1. Nonlinear dynamics of the finance-inequality nexus in developing countries
    The Journal of Economic Inequality, 2012, 10, (4), 551-563 Downloads View citations (14)
  2. Stock market capitalization and financial integration in the Asia Pacific region
    Applied Economics, 2012, 44, (15), 1951-1961 Downloads View citations (4)
    See also Working Paper (2011)

2009

  1. THE ROLE OF FINANCIAL DEVELOPMENT ON INCOME INEQUALITY IN MALAYSIA
    Journal of Economic Development, 2009, 34, (2), 153-168 Downloads View citations (21)

2008

  1. Choice of exchange rate system and macroeconomic volatility of three Asian emerging economies
    Macroeconomics and Finance in Emerging Market Economies, 2008, 1, (2), 167-179 Downloads

2007

  1. Macroeconomic factors of exchange rate volatility: Evidence from four neighbouring ASEAN economies
    Studies in Economics and Finance, 2007, 24, (4), 266-285 Downloads View citations (1)

2004

  1. Risk Sensitivity of Bank Stocks in Malaysia: Empirical Evidence Across the Asian Financial Crisis
    Asian Economic Journal, 2004, 18, (3), 261-276 Downloads View citations (4)

2003

  1. DYNAMIC LINKAGES OF ASIAN STOCK MARKETS
    Journal of the Asia Pacific Economy, 2003, 8, (2), 180-209 Downloads View citations (1)

1999

  1. DETECTION AND MODELING OF REGRESSION PARAMETER VARIATION ACROSS FREQUENCIES
    Macroeconomic Dynamics, 1999, 3, (1), 69-83 Downloads View citations (11)
  2. Dynamic Causal Chain of Money, Output, Interest Rate and Prices in Malaysia: Evidence Based On Vector Error- Correction Modelling Analysis
    International Economic Journal, 1999, 13, (1), 103-120 Downloads View citations (12)

1998

  1. Inter-Sectoral Linkages and Risk Diversification in the Kuala Lumpur Stock Exchange
    Capital Markets Review, 1998, 6, (1&2), 41-54 Downloads
 
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