Asian Academy of Management Journal of Accounting and Finance (AAMJAF)
2005 - 2020
From Penerbit Universiti Sains Malaysia Contact information at EDIRC. Bibliographic data for series maintained by Journal Division, Penerbit Universiti Sains Malaysia (). Access Statistics for this journal.
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Volume 16, issue 2, 2020
- Busy Boards, Firm Performance and Operating Risk pp. 1-21
- Kin-Wai Lee and Char-Lee Lok
- Managerial Efficiency and Corporate Leverage Policy in Pakistan pp. 25-46
- Qamar uz Zaman, M. Kabir Hassan and Arshad Hafiz Muhammad
- Executive Compensation, Ownership Structure and Dividend Payout: Evidence from Malaysia pp. 47-75
- Ravichandran K. Subramaniam, Teh Chee Ghee and Murugasu Thangarajah
- Moderating Role of Financial Market Development on the Relationship between Stock Liquidity and Dividend pp. 77-99
- Mohd Ashari Bakri, Bany-Ariffin Amin Nordin, Bolaji Tunde Matemilola and Lau Wei Theng
- The Influence of Sustainable Earnings on Stock Price: Evidence from Publicly Listed Vietnamese Business Enterprises pp. 101-121
- Nung Hong Do and Nha Van Tue Pham
- The Capital Structure of Islamic-Compliant Firms: Is There a Financing Hierarchy? pp. 123-144
- Muncef Guizani
- When Good Things Turn Bad: Evidence from G-7 Serial Acquirer Bidding pp. 145-177
- Ibrahim Yousef
- Impact Size and Determinants of Indirect Cost of Financial Distress: Role of Receivable and Inventory Management pp. 179-207
- Umar Farooq, Muhammad Ali Jibran Qamar and Krishna Reddy
Volume 16, issue 1, 2020
- Environmental, Social and Governance (ESG) Practices And Performance In Shariah Firms: Agency or Stakeholder Theory? pp. 1-34
- Lee Siew Peng and Mansor Isa
- Asymmetric Exchange Rate Pass-Through to Import and Export Prices for Turkey: A Nonlinear Autoregressive Distributed Lag (NARDL) Approach pp. 35-44
- Serdar Simonyan
- Do Country Characteristics Affect the Complementary Level of Financial and Tax Aggressiveness? pp. 45-62
- Nurul Aisyah Rachmawati1, Sidharta Utama, Dwi Martani and Ratna Wardhani
- Does Foreign Ownership Restrict Earnings Management? The Case of China pp. 63-86
- Sang Ho Kim, Yohan An and Prabhu Udawatte
- Does Bank Diversification Affect Funding Cost? Evidence from the U.S. Banks pp. 87-107
- Dung Tran
- Geographic Variation in Religiosity and Its Impact of Dividend Policies pp. 109-125
- Omar Farooq, Mukhammadfoik Bakhadirov and Neveen Ahmed
- Impact of Chief Executive Officer (CEO) Succession Policy on CEO Turnover Announcement in Malaysia pp. 127-153
- Shubasini Sivapregasam, Aslam Izah Selamat, Norhuda Abdul Rahim and Junaina Muhammad
Volume 15, issue 2, 2019
- Assessing Bank Stability in Malaysia in the Framework of Distance to Default pp. 1-27
- Asish Saha, Nor Hayati Ahmad, Lim Hick Eam and Siew Goh Yeok
- A Test of the Catering Theory of Dividends: Empirical Evidence from an Emerging Economy India pp. 29-52
- Nishant B. Labhane
- Performance of Local Versus International Focus Malaysian-based Mutual Funds pp. 53-75
- Ruzita Abdul Rahim, Ling Pick Soon and Rasidah Mohd-Rashid
- Malaysian SMEs’ Liability Structure and Its Impact on Profitability and Growth pp. 77-94
- Woei-Chyuan Wong, Sharmilawati Sabki, Angappan Regupathi and Syed Mohd. Na’im Syed Salim
- A Comparative Analysis of Fixed Income Unit Trust Funds Versus Equity Unit Trust Funds in Malaysia pp. 95-117
- Nur Adiana Hiau Abdullah and Aminah Shari
- Discretionary Loan Loss Provision Behaviour and Banks' Liquidity Creation pp. 119-154
- Sanzid A. Haq, Dung Tran and M. Kabir Hassan
- The Effect of Economic and Fundamental Factors on the Australian Property Performance pp. 155-184
- Ramzi Tarazi and Mohammad Zahid Hasan
Volume 15, issue 1, 2019
- Has Co-Movement Dynamics in Brazil, Russia, India, China and South Africa (BRICS) Markets Changed After Global Financial Crisis? New Evidence from Wavelet Analysis pp. 1-26
- M. Kannadhasan and Debojyoti Das
- Impacts of Risk Based Capital Regulation in Malaysian Islamic Insurers (Takaful) pp. 27-59
- Hui Shan Lee, Fan Fah Cheng, Annuar Md Nassir and Nazrul Hisyam Ab Razak
- Threshold effect of Financial Integration on Linkages Between Monetary Independence and Foreign Exchange Reserves pp. 61-81
- Chee-Hong Law, Chee-Lip Tee and Say Keat Ooi
- Are there Psychological Barriers in Asian Stock Markets? pp. 83-106
- J˙lio Lob„o and Margarida Couto
- The effect of Industry Homogeneity on the Magnitude of Post- earnings Announcement Drift: Evidence from Korea pp. 107-127
- Heejeong Shin, Su-In Kim, Sorah Park and Hyejeong Shin
- Higher Co-Moments and Downside Beta in Asset Pricing pp. 129-155
- Imran Chhapra and Muhammad Kashif
- Managerial Aversion and Capital Structure: Evidence from Southeast Asia pp. 155-183
- Yusuf Babatunde Adeneye and Ei Yet Chu
- The Fund Characteristics, Fees, and expenses structure between Conventional and Islamic Mutual Fund pp. 157-190
- Sofi Mohd Fikri and M. H. Yahya
- The Financial Performance of Islamic Real Estate Investment Trusts (REITs) in Malaysia pp. 191-220
- Siti Marsila Mhd Ruslan
Volume 14, issue 2, 2018
- Retention ratio, lock-up period and prestige signals and their relationship with initial public offering (IPO) initial return: Malaysian evidence pp. 1-23
- Ali Albada, Othman Yong, Mohd. Ezani Mat Hassan and Ruzita Abdul-Rahim
- Impact of China on Malaysian Economy: Empirical Evidence of Sign-Restricted Structural Vector Autoregression (SVAR) Model pp. 25-44
- Mohd Azlan Shah Saidi, Zulkefly Abdul Karim and Zurina Kefeli@Zulkefli
- Financial Sector and Aggregate Import Demand: A General Equilibrium Perspective with Japan Data pp. 45-64
- Tuck Cheong Tang
- Governance of Behavioural Biases in Asset Management Industry: Insights from Fund Managers in Malaysia pp. 65-102
- Zamri Ahmad, Haslindar Ibrahim and Jasman Tuyon
- Do Insiders Trading Before Open Market Share Repurchase Announcement Give an Additional Signaling? A Study in The Indian Context pp. 103-135
- Sarthak Kumar Jena and Chandra Sekhar Mishra
- Monetary Policy, Bank Competitiveness and Bank Risk-Taking: Empirical Evidence from Vietnam pp. 137-156
- Nguyen Tran Thai Ha and Phan Gia Quyen
- Exchange Rate Exposure and Crude Oil Price: The Case of an Emerging Market pp. 157-184
- Meen Chee Hong, Ei Yet Chu and Saw Imm Song
Volume 14, issue 1, 2018
- The Role of Financial Development on Foreign Direct Investment in ASEAN-5 Countries: Panel Cointegration with Cross-Sectional Dependency Analysis pp. 1-23
- Elya Nabila Abdul Bahri, Abu Hassan Shaari Md Nor and Nor Hakimah Haji Mohd Nor
- Does the Provision of Non-audit Services Affect Auditor Independence and Audit Quality? Evidence from Bahrain pp. 25-55
- Hussein Khasharmeh and Abdelmohsen M. Desoky
- Impacts of Ownership Concentration and Liquidity on Stock Momentum Profitability in Malaysia pp. 57-81
- Tan Yeng May, Cheng Fan Fah and Taufiq Hassan
- Board Gender Diversity and Its Risk Monitoring Role: Is it Significant? pp. 83-106
- Karren Lee-Hwei Khaw and Jing Liao
- What Drives Bank Margins During and Post-Crisis? A Comparison between Islamic and Conventional Banks pp. 107-126
- Nurhafiza Abdul Kader Malim and Tajul Ariffin Masron
- Firm Level, Ownership Concentration and Industry Level Determinants of Capital Structure in an Emerging Market: Indonesia Evidence pp. 127-151
- Razali Haron
- The Mediating Role of Environmental Performance on the Relationship between Corporate Governance Mechanisms and Environmental Disclosure pp. 153-183
- Razieh Adinehzadeh, Romlah Jaffar, Zaleha Abdul Shukor and Mara Riduan Che Abdul Rahman
- Management Control for Microfinance: An Examination of the Belief System of a Malaysian Microfinance Provider pp. 185-208
- Siti-Nabiha A. K., Zubir Azhar and Mohd-Aatif Ali-Mokhtar
Volume 13, issue 2, 2017
- Bank Risk Taking Behaviour in Malaysia: Role of Board and Ownership Structure pp. 1-26
- Linda Loh and Sok-Gee Chan
- New Perspective on the ‘Net Errors and Omissions’ in Balance of Payment Accounts: An Empirical Study in Australia pp. 27-44
- Tuck Cheong Tang
- Framing of Climate Change Impacts and Use of Management Accounting Practices pp. 45-68
- Jayanthi Kumarasiri and Christine Jubb
- Dividend Capture on the Ex-Dividend Day: Evidence from Vietnamese Stock Market pp. 69-94
- Quoc Trung Tran
- Does Hot Money Impact Stock and Exchange Rate Markets on China? pp. 95-108
- Lee Yen-Hsien, Huang Ya-Ling and Chen Tsu-Hui
- Socially Responsible Investment, Internal Financing Sources and Access to Bank Financing: Evidence from Indian Survey Data pp. 109-133
- Amarjit Gill, Harvinder S. Mand, Afshin Amiraslany and Neil Mathur
- Corporate Governance, Institutional Characteristics, and Director Networks in Malaysia pp. 135-154
- Mohd Faizal Jamaludin and Fathyah Hashim
Volume 13, issue 1, 2017
- Mandatory Audit Firm Rotation and Big4 Effect on Audit Quality: Evidence from South Korea pp. 1-40
- Jong-seo Choi, Hyoung-joo Lim and Dafydd Mali
- Gender Diversity and Firms’ Financial Performance in Malaysia pp. 41-62
- Irean Yap Lee-Kuen, Sok-Gee Chan and Rozaimah Zainudin
- An Empirical Evaluation of Hedge Fund Managerial Skills using Bayesian Techniques pp. 63-82
- John Weirstrass Muteba Mwamba
- Instrumental-Variable Estimation of Bangkok-Weather Effects in the Stock Exchange of Thailand pp. 83-111
- Anya Khanthavit
- Normal, Abnormal Book-Tax Differences and Accounting Conservatism pp. 113-142
- Rakia Riguen Koubaa and Anis Jarboui
- The Low-Risk Anomaly: Evidence from the Thai Stock Market pp. 143-158
- Kanis Saengchote
- The Effect of Investor Sentiment on Stock Returns: Insight from Emerging Asian Markets pp. 159-178
- Shangkari V. Anusakumar, Ruhani Ali and Chee-Wooi Hooy
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