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 12, issue Suppl. 1, 2016
- Cross-Border Mergers and Acquisitions (CBMAs): A Review on Top Six ASEAN Country CBMA Players pp. 123–158

- 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

- Samet Günay
- A Note about the Finance Journal Rankings and Citation Counts pp. 183–194

- Luh-Yu (Louie) Ren
- Stock Market Liberalisation and Cost of Equity: Firm-Level Evidence from Malaysia pp. 19–42

- Swee-Sim Foong and Kian-Ping Lim
- Debt Maturity, Underinvestment Problem and Corporate Value pp. 1–17

- Karren Lee-Hwei Khaw and Benjie Chien Jiang Lee
- The Roles of Investor Sentiment in Malaysian Stock Market pp. 43-75

- 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

- Nur Adiana Hiau Abdullah, Muhammad M. Ma'aji and Karren Lee-Hwei Khaw
- Effective Corporate Governance and Financial Reporting in Japan pp. 93–122

- Khondaker Mizanur Rahman and Marc Bremer
Volume 12, issue 1, 2016
- Does Competition Foster Efficiency? Empirical Evidence from Malaysian Commercial Banks pp. 1-23

- 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

- 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

- 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

- Cynthia A. Utama and Sidharta Utama
- Diversification in Crude Oil and Other Commodities: A Comparative Analysis pp. 101-128

- Ahmad Monir Abdullah and Abul Masih
- Financial Information Quality and Investment Efficiency: Evidence from Malaysia pp. 129-151

- 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

- 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

- 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

- Zulkefly Abdul Karim and Mohd Azlan Shah Zaidi
- Ownership Structure, Board Structure And Performance In The Tunisian Banking Industry pp. 57-82

- Khadija Mnasri
- Volatility Spillover And Investor Sentiment: Subprime Crisis pp. 83-101

- 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

- Rihanat Idowu Abdulkadir, Nur Adiana Hiau Abdullah and Woei Chyuan Wong
- Tunnelling: Evidence from Indonesia Stock Exchange pp. 127-150

- Ridwan Nurazi, Fitri Santi and Berto Usman
- The Components of Systematic Risk and Their Determinants in The Malaysian Equity Market pp. 151-176

- 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

- Mohamed Ariff and Alireza Zarei
- Ranking of Malaysian Commercial Banks: Super-Efficiency Data Envelopment Analysis (DEA) Approach pp. 123–143

- Â Rossazana Ab Rahim
- Non-Audit Services, Audit Firm Tenure and Earnings Management in Malaysia pp. 145–168

-  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

- Yousef M. Hassan and Rafiq H. Hijazi
- Profitability of Price, Earnings and Revenue Momentum Strategies: The Indian Evidence pp. 47–84

- Sanjay Sehgal and Kanu Jain
- Environmental Stringency, Corruption and Foreign Direct Investment (Fdi): Lessons From Global Evidence pp. 85–96

- 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

- Lee Siew-Peng and Mansor Isa
Volume 10, issue 2, 2014
- A Study On Dividend Determinants For Korea's Information Technology Firms pp. 1-12

- Sungsin Kim and Ji-Yong Seo
- Inflation And The Subsequent Timing Of The Chinese Stock Market pp. 13-35

- Hui Hong, Fergal O'Brien and James Ryan
- External Balance And Budget In Malaysia pp. 37-54

- Wong Hock Tsen
- Financial Constraints, Debt Overhang And Corporate Investment: A Panel Smooth Transition Regression Approach pp. 55-80

- Rashid Ameer
- How Does Group Affiliation Affect The Diversification Performance Of Family-Controlled Firms In Malaysia? – A Governance Perspective pp. 81-115

- Ng Sin Huei
- The Determinants Of Equity Based Compensation: A Bidimensional Validity Of The Agency Theory pp. 117-145

- Mehdi Bouras and Mohamed Gallali
- Perceived Environmental Factors And The Intention To Adopt A Standard Business Reporting Facility: A Survey Of Australian Corporate Cfos pp. 147-173

- Saiful Azam
Volume 10, issue 1, 2014
- Impact of Foreign and Domestic Order Imbalances on Return and Volatility-Volume Relation pp. 1-19

- Irwan Ekaputra
- Institutional Investors Trading Strategy in Indonesia’s Government Bond Market During the 2008 Crisis pp. 21-44

- Isabelle Aranditha Gusdinar and Deddy Koesrindartoto
- Market Reactions to Share Repurchase Announcements in Malaysia pp. 45-73

- Mansor Isa and Siew-Peng Lee
- Analysis of Corporate Control: Can the Voting Power Index Outshine Shareholding Size? pp. 75-94

- Norkhairul Hafiz Bajuri, Shanti Chakravarty and Noor Hazarina Hashim
- Default Risk Analysis in Micro, Small and Medium Enterprises: Does Debt Overhang Theory Occur? pp. 95-131

- Imam Wahyudi
- Linear Vector Error Correction Model versus Markov Switching Vector Error Correction Model to Investigate Stock Market Behaviour pp. 133-149

- Seuk-Wai Phoong, Mohd Tahir Ismai and Siok-Kun Sek
- The Persistency of International Diversification Benefits: The Role of The Asymmetry Volatility Model pp. 152-165

- Ung Sze Nie, Choo Wei Chong, Murali Sambasivan and Annuar Md Nassir
Volume 9, issue 2, 2013
- The Effect of Underinvestment on the Relationship between Earnings Management and Information Asymmetry pp. 1-28

- Aulia Fuad Rahman, Mohamat Sabri Hassan, Norman Mohd Saleh and Zaleha Abdul Shukor
- CEO Succession and Firm Performance: Evidence from Publicly Listed Malaysian Firms pp. 29-48

- Rokiah Ishak, Ku Nor Izah Ku Ismail and Shamsul Nahar Abdullah
- Does IFRIC 15 Matter? The Decision Usefulness of Accelerated Revenue and Earnings Recognition pp. 49-74

- Lau Chee Kwong
- The Global Financial Crisis and The Integration of Islamic Stock Markets in Developed and Developing Countries pp. 75-94

- Salina Kassim
- Impact of Information Technology on The Performance of Tunisian Banks: A Stochastic Frontier Analysis with Panel Data pp. 95-125

- Syrine Ben Romdhane
- Effectiveness of Classic Versions of Options Pricing Models in Recent Waves of Financial Upheavals pp. 127-155

- Vipul Kumar Singh and Naseem Ahmad
- Forecasting Malaysian Ringgit: Before and After The Global Crisis pp. 157-175

- Tze-Haw Chan, Lye Chun Teck and Chee-Wooi Hooy
Volume 9, issue 1, 2013
- Governance Structure, Ownership Structure and Earnings Predictability: Malaysian Evidence pp. 1-23

- Redhwan Ahmed al-Dhamari and Ku Nor Izah Ku Ismail
- Time-Varying Market, Interest Rate and Exchange Rate Risks of Thai Commercial Banks pp. 25-45

- Pariyada Sukcharoensin
- Internet Technologies Usage by Audit Firms in Malaysia pp. 47-66

- Phua Lian Kee, Siti Nabiha Abd. Khalid, Chee Hong Kok, Adeline Lau and Cheng Chai Yu
- Agency Costs and the Long-Run Performance of Debt Issuers pp. 67-87

- Yusnidah Ibrahim, Md Mohan Uddin, Kamarun Nisham Taufil Mohd and Mohd Sobri Minai
- The Impact of Risk Report Formats on Investment Analyst Decisions: An Experimental Case from Indonesia pp. 89-112

- Negina Kencono Putri and Triani Arofah
- Flipping Activity and Subsequent Aftermarket Trading in Malaysian IPOs pp. 113-128

- Ruzita Abdul Rahim, Ros Zam Zam Sapian, Othman Yong and Noor Azryani Auzairy
- Family Ownership, Related-Party Transactions and Earnings Quality pp. 129-153

- Sa’adiah Munir, Norman Mohd Saleh, Romlah Jaffar and Puan Yatim
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