Determinants of Malaysian stock returns in oil and gas industry
This research paper documents the determinants of Malaysian stock return in oil and gas industry by eight factors that influence the stock return namely dividend-price ratio, earningsprice ratio, price-to-book ratio, asset growth, company size, capital structure, unsystematic risk, and systematic ri...
Saved in:
主要作者: | Nur Farhana, Abd Aziz |
---|---|
格式: | Thesis |
语言: | eng eng |
出版: |
2016
|
主题: | |
在线阅读: | https://etd.uum.edu.my/6053/1/s813846_01.pdf https://etd.uum.edu.my/6053/2/s813846_02.pdf |
标签: |
添加标签
没有标签, 成为第一个标记此记录!
|
相似书籍
-
Determinants of Chinese Stock Market Returns
由: Wang, Fei
出版: (2012) -
The Co-Movement of the Malaysian Stock Return
由: Shanmugam, Nakesvari
出版: (2011) -
Determinants of insurance companies' stock return in GCC countries
由: Al-Shami, Hamdan Ahmed Ali
出版: (2013) -
The Impact of Financial Distress Risk to Malaysian Stock Return
由: Muhammad Noor Darwis, Nordin
出版: (2011) -
Volume And Stock Returns In Bursa Malaysia
由: Yeen, Chue Wen
出版: (2009)