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Asian Academy of Management Journal of Accounting and Finance (AAMJAF)

2005 - 2019

From Penerbit Universiti Sains Malaysia
Contact information at EDIRC.

Bibliographic data for series maintained by Journal Division, Penerbit Universiti Sains Malaysia ().

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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 Downloads
M. Kannadhasan and Debojyoti Das
Impacts of Risk Based Capital Regulation in Malaysian Islamic Insurers (Takaful) pp. 27-59 Downloads
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 Downloads
Chee-Hong Law, Chee-Lip Tee and Say Keat Ooi
Are there Psychological Barriers in Asian Stock Markets? pp. 83-106 Downloads
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 Downloads
Heejeong Shin, Su-In Kim, Sorah Park and Hyejeong Shin
Higher Co-Moments and Downside Beta in Asset Pricing pp. 129-155 Downloads
Imran Umer Chhapra and Muhammad Kashif
The Fund Characteristics, Fees, and expenses structure between Conventional and Islamic Mutual Fund pp. 157-190 Downloads
Sofi Mohd Fikri and M. H. Yahya
The Financial Performance of Islamic Real Estate Investment Trusts (REITs) in Malaysia pp. 191-220 Downloads
Siti Marsila Mhd Ruslan

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 Downloads
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 Downloads
Hussein Khasharmeh and Abdelmohsen M. Desoky
Impacts of Ownership Concentration and Liquidity on Stock Momentum Profitability in Malaysia pp. 57-81 Downloads
Tan Yeng May, Cheng Fan Fah and Taufiq Hassan
Board Gender Diversity and Its Risk Monitoring Role: Is it Significant? pp. 83-106 Downloads
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 Downloads
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 Downloads
Razali Haron
The Mediating Role of Environmental Performance on the Relationship between Corporate Governance Mechanisms and Environmental Disclosure pp. 153-183 Downloads
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 Downloads
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 Downloads
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 Downloads
Tuck Cheong Tang
Framing of Climate Change Impacts and Use of Management Accounting Practices pp. 45-68 Downloads
Jayanthi Kumarasiri and Christine Jubb
Dividend Capture on the Ex-Dividend Day: Evidence from Vietnamese Stock Market pp. 69-94 Downloads
Quoc Trung Tran
Does Hot Money Impact Stock and Exchange Rate Markets on China? pp. 95-108 Downloads
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 Downloads
Amarjit Gill, Harvinder S. Mand, Afshin Amiraslany and Neil Mathur
Corporate Governance, Institutional Characteristics, and Director Networks in Malaysia pp. 135-154 Downloads
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 Downloads
Jong-seo Choi, Hyoung-joo Lim and Dafydd Mali
Gender Diversity and Firms’ Financial Performance in Malaysia pp. 41-62 Downloads
Irean Yap Lee-Kuen, Sok-Gee Chan and Rozaimah Zainudin
An Empirical Evaluation of Hedge Fund Managerial Skills using Bayesian Techniques pp. 63-82 Downloads
John Weirstrasd Muteba Mwamba
Instrumental-Variable Estimation of Bangkok-Weather Effects in the Stock Exchange of Thailand pp. 83-111 Downloads
Anya Khanthavit
Normal, Abnormal Book-Tax Differences and Accounting Conservatism pp. 113-142 Downloads
Rakia Riguen Koubaa and Anis Jarboui
The Low-Risk Anomaly: Evidence from the Thai Stock Market pp. 143-158 Downloads
Kanis Saengchote
The Effect of Investor Sentiment on Stock Returns: Insight from Emerging Asian Markets pp. 159-178 Downloads
Shangkari V. Anusakumar, Ruhani Ali and Chee-Wooi Hooy

Volume 12, issue Suppl. 1, 2016

Cross-Border Mergers and Acquisitions (CBMAs): A Review on Top Six ASEAN Country CBMA Players pp. 123–158 Downloads
Nurhazrina Mat Rahim and Ruhani Ali
Alteration of Risk in Asian Bond Markets during and after Mortgage Crisis: Evidence from Value at Risk (VaR) Analysis pp. 159–182 Downloads
Samet Günay
A Note about the Finance Journal Rankings and Citation Counts pp. 183–194 Downloads
Luh-Yu (Louie) Ren
Stock Market Liberalisation and Cost of Equity: Firm-Level Evidence from Malaysia pp. 19–42 Downloads
Swee-Sim Foong and Kian-Ping Lim
Debt Maturity, Underinvestment Problem and Corporate Value pp. 1–17 Downloads
Karren Lee-Hwei Khaw and Benjie Chien Jiang Lee
The Roles of Investor Sentiment in Malaysian Stock Market pp. 43-75 Downloads
Jasman Tuyon, Zamri Ahmad and Hylmee Matahir
The Value of Governance Variables in Predicting Financial Distress Among Small and Medium-Sized Enterprises in Malaysia pp. 77–91 Downloads
Nur Adiana Hiau Abdullah, Muhammad M. Ma'aji and Karren Lee-Hwei Khaw
Effective Corporate Governance and Financial Reporting in Japan pp. 93–122 Downloads
Khondaker Mizanur Rahman and Marc Bremer

Volume 12, issue 1, 2016

Does Competition Foster Efficiency? Empirical Evidence from Malaysian Commercial Banks pp. 1-23 Downloads
Rossazana Ab Rahim
Evaluation of Performance of Malaysian Banks in Risk Adjusted Return on Capital (RAROC) and Economic Value Added (EVA) Framework pp. 25-47 Downloads
Asish Saha, Nor Hayati Ahmad and Siew Goh Yeok
Regional and International Linkages of the ASEAN-5 Stock Markets: A Multivariate Garch Approach pp. 49-71 Downloads
Stan Shun-Pinn Lee and Kim-Leng Goh
Interaction between Incentive to Expropriate and Investment Opportunities as a Determinant of Overinvestment Problem in Indonesia pp. 73-99 Downloads
Cynthia A. Utama and Sidharta Utama
Diversification in Crude Oil and Other Commodities: A Comparative Analysis pp. 101-128 Downloads
Ahmad Monir Abdullah and Abul Masih
Financial Information Quality and Investment Efficiency: Evidence from Malaysia pp. 129-151 Downloads
Seyed Sajad Ebrahimi Rad, Zaini Embong, Norman Mohd-Saleh and Romlah Jaffar
Effect of Managerial Overconfidence and Compensation on Share Repurchase: Empirical Evidence from Taiwanese Firms pp. 153-179 Downloads
Tzu-Yu Liu, Li-Lun Liu and John Francis Diaz

Volume 11, issue 2, 2015

Role of Lockup Provision and Institutional Investors in Restricting IPO Flipping Activity: Is There A Moderating Effect of Investor Demand? pp. 1-28 Downloads
Norliza Che-Yahya and Ruzita Abdul-Rahim
Monetary Policy, Firm Size and Equity Returns in An Emerging Market: Panel Evidence of Malaysia pp. 29-55 Downloads
Zulkefly Abdul Karim and Mohd Azlan Shah Zaidi
Ownership Structure, Board Structure And Performance In The Tunisian Banking Industry pp. 57-82 Downloads
Khadija Mnasri
Volatility Spillover And Investor Sentiment: Subprime Crisis pp. 83-101 Downloads
Mouna Abdelhédi-Zouch, Mouna Boujelbène Abbes and Younès Boujelbène
Dividend Policy Changes in The Pre-, Mid-, and Post-Financial Crisis: Evidence from The Nigerian Stock Market pp. 103-126 Downloads
Rihanat Idowu Abdulkadir, Nur Adiana Hiau Abdullah and Woei Chyuan Wong
Tunnelling: Evidence from Indonesia Stock Exchange pp. 127-150 Downloads
Ridwan Nurazi, Fitri Santi and Berto Usman
The Components of Systematic Risk and Their Determinants in The Malaysian Equity Market pp. 151-176 Downloads
Chee-Wooi Hooy and Robert D. Brooks

Volume 11, issue 1, 2015

Parity Theorems Revisited: An ARDL Bound Test with Non-Parity Factors pp. 1-26 Downloads
Mohamed Ariff and Alireza Zarei
Ranking of Malaysian Commercial Banks: Super-Efficiency Data Envelopment Analysis (DEA) Approach pp. 123–143 Downloads
 Rossazana Ab Rahim
Non-Audit Services, Audit Firm Tenure and Earnings Management in Malaysia pp. 145–168 Downloads
 Hasan Mohammed Bamahros,  Wan Nordin Wan-Hussin and  Othman Yeop Abdullah
Determinants of the Voluntary Formation of a Company Audit Committee: Evidence from Palestine pp. 27–46 Downloads
Yousef M. Hassan and Rafiq H. Hijazi
Profitability of Price, Earnings and Revenue Momentum Strategies: The Indian Evidence pp. 47–84 Downloads
Sanjay Sehgal and Kanu Jain
Environmental Stringency, Corruption and Foreign Direct Investment (Fdi): Lessons From Global Evidence pp. 85–96 Downloads
Tamat Sarmidi, Abu Hassan Shaari Md Nor and Sulhi Ridzuan
Management Perceptions of Share Repurchases in Emerging Markets: The Case for Malaysia pp. 97–121 Downloads
Lee Siew-Peng and Mansor Isa
Page updated 2020-08-09