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 4, issue 2, 2008
- Longer Tenure, Greater Seniority, or Both? Evidence from Open-End Equity Mutual Fund Managers in Taiwan pp. 1-20

- Jen Sin Lee, Shyan-Rong Chou and Ying-Jen Chen
- Economic Value Added (EVA®) and Sector Returns pp. 21-41

- Nuttawat Visaltanachoti, Robin Hang Luo and Yi Yi
- The Impact of Derivatives on Stock Market Volatility: A Study of the Nifty Index pp. 42-66

- T. Mallikarjunappa and Afsal E. M
- Corporate Governance and Institutional Investors: Evidence from Malaysia pp. 67-90

- Effiezal Aswadi Abdul Wahab, Effiezal.wahab@gmail.com and Janice How
- Determinants of Bank Profitability in a Developing Economy: Empirical Evidence from the Philipinnes pp. 91-112

- Fadzlan Sufian and Royfaizal Razali Chong
Volume 4, issue 1, 2008
- Do Macroeconomic Structural Changes Occur in China's Stock Markets? pp. 1-21

- Jen Sin Lee, Shyan-Rong Chou, Gow-Liang Huang and Chin-Tai Kuo
- Performance of Syariah and Composite Indices: Evidence from Bursa Malaysia pp. 23-43

- Mohamed Albaity and Rubi Ahmad
- Determinants of Implied Volatility Function on the Nifty Index Options Market: Evidence from India pp. 45-69

- Sanjay Sehgal and N. Vijayakumar
- Dividends and Expropriation in Hong Kong pp. 71-85

- Janice C. Y. How, Peter Verhoeven and Cici L. Wu
- Does Financial Structure Matter in Determining the Effectiveness of Monetary Policy? A Comparison Between Civil-Law and Common-Law Countries pp. 87-118

- Zukarnain Zakaria
Volume 3, issue 2, 2007
- Stock Market Development, Growth and Financial Openness: The Experience of Selected East Asian Nations pp. 1-19

- Noor A. Ghazali, Rasidah M. Said and Soo-Wah Low
- The Level of Economic Development and the Impact of Financial Structure on Economic Growth: Evidence from Dynamic Panel Data Analysis pp. 21-42

- Zukarnain Zakaria
- Predictability of Exchange Rates in Sri Lanka: A Test of the Efficient Market Hypothesis pp. 43-59

- Guneratne Wickremasinghe
- A Test of the Relationship Between Political Connection and Indirect Costs of Financial Distress in Indonesia pp. 61-81

- Wijantini and Afsal E. M.
- Does the Tunisian Stock Market Overreact? pp. 83-107

- Fatma Hammami Dhouib and Ezzeddine Abaoub
Volume 3, issue 1, 2007
- A Value at Risk Approach to Measuring Equity Trading Risk Exposure in Emerging Stock Markets pp. 1-19

- Mazin A. M. Al Janabi
- Does it Pay to Be Good in Developing Countries? The Relationship Between Corporate Social Responsibility and Financial Performance in Malaysia pp. 21-36

- Bala Ramasamy, Abdul Rahim Abdul Rahman, Hung Woan Ting and Matthew C.Y. Yeung
- What Explains Differences in the Efficiency of Non-Commercial Bank Financial Intermediaries? Empirical Evidence from Malaysia pp. 37-57

- Fadzlan Sufian
- Futures Trading and Market Votality in Indian Equity Market: A Study of CNX IT Index pp. 59-76

- T. Mallikarjunapp and Afsal E. M.
- Financial Integration Through Equity Markets and the Role of Exchange Rate: Evidence from ASEAN-5 Countries pp. 77-92

- Hawati Janor, Ruhani Ali and Roselee Shah Shaharudin
- What Moves the Primary Stock and Bond Markets? Influence of Macroeconomic Factors on Bond and Equity Issues in Malaysia and Korea pp. 93-116

- Rashid Ameer
Volume 2, issue 2, 2006
- Optimum Currency Area Criteria and Volatility in ASEAN pp. 1-18

- Tajul Ariffin Masron and Zulkornain Yusop
- Efficiency of Commercial Banks in Malaysia pp. 19-42

- Mohd Omar, Abdul Rahim Abdul Rahman, Rosylin Mohd. Yusof, M. Shabri Abd. Majid and Mohamed Shah
- A Comparison Between Fama and French Model and Liquidity-Based Three Factor Models in Predicting Portfolio Returns pp. 43-60

- Ruzita Abdul Rahim and Abu Hassan Shaari Mohd. Nor
- Interest Rates Uncertainty, Immediacy Cost and the Role of Banks pp. 61-74

- Shamshubaridah Ramlee and Nor Azlan Ghazali
- A Financial Distress Pre-Warning Study by Fuzzy Regression Model of TSE-Listed Companies pp. 75-93

- Wen-Ying Cheng, EnDer Su and Sheng-Jung Li
- Pricing of Risk in the Indian Corporate Bond Market: Some Evidence pp. 95-104

- Shailaja Gajjala
Volume 2, issue 1, 2006
- Accountants, Economists and Needles pp. 1-20

- Gerald Vinten and Sidney J. Gray
- The Provision of Non-Audit Services, Audit Fees and Auditor Independence pp. 21-40

- Ayoib Che Ahmad and Nava Subramaniam
- The Value Relevance of Fair Value Disclosures in Australian Firms in the Extractive Industries pp. 41-61

- Mohamat Sabri Hassan, Majella Percy and Jenny Stewart
- Wavelet Test of Multifractality of Asia-Pacific Index Price Series pp. 63-83

- Rossitsa Yalamova
- Expropriation of Minority Interests and Corporate Diversification in Malaysia pp. 85-113

- Zuaini Ishak and Christopher Napier
Volume 1, issue 1, 2005
- The Impact of Materiality: Accounting's Best Kept Secret pp. 1-30

- Niamh Brennan and Sidney J. Gray
- Outsourcing of Internal Audit Services in Australian Firms: Some Preliminary Evidence pp. 33-52

- Divesh Sharma and Nava Subramaniam
- Audit Challenges: Dilemmas for the Auditor in a Global Economy pp. 53-66

- Karen A Van Peursem
- Accuracy of Analysts' Earnings Forecasts: Evidence from Mergers and Acquisitions in Australia pp. 67-80

- Janice C. Y. How, Yion K. Phung and Peter Verhoeven
- Firm Size, Ownership and Performance in the Malaysian Palm Oil Industry pp. 81-104

- Bala Ramasamy, Darry Ong and Matthew C. H. Yeung
- What Drives the Shareholder Value? pp. 105-120

- Indra Pandey
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