Stock market reaction towards change of Malaysian government
This study examines the effect of change of government on the Malaysian stock market for the last five years. The empirical model used in this study are abnormal return which calculated using three most-used method in research which are mean-adjusted model, market-adjusted model and market model. Th...
محفوظ في:
المؤلف الرئيسي: | Mohamad Annawi, Anuar |
---|---|
التنسيق: | أطروحة |
اللغة: | eng eng |
منشور في: |
2021
|
الموضوعات: | |
الوصول للمادة أونلاين: | https://etd.uum.edu.my/10357/1/grant%20the%20permission_s826015.pdf https://etd.uum.edu.my/10357/2/s826015_01.pdf |
الوسوم: |
إضافة وسم
لا توجد وسوم, كن أول من يضع وسما على هذه التسجيلة!
|
مواد مشابهة
-
The effect of COVID-19 pandemic on stock market performance, Malaysia
بواسطة: Pavitra, Ravi
منشور في: (2021) -
Impact of corporate governance compliance on the financial performance of Malaysian government linked corporation
بواسطة: Ashwini, Jeyakumar
منشور في: (2021) -
The effects of macroeconomic indicators to Malaysian government bond yield from year 2008-2018
بواسطة: Nor Nadia Atiqah, Ahmad
منشور في: (2021) -
Global determinants of Malaysia government bond
بواسطة: Ahmad Al Izham, Izadin
منشور في: (2021) -
The determinants of capital structure on government linked companies in Malaysia
بواسطة: Nurul Najwa, Abdul Razak
منشور في: (2021)