All Stories

  1. Usefulness of ASSET4 ESG for Socially Responsible Investing in a Small Economy
  2. Conceptualizing the duties and roles of auditors in Islamic financial institutions
  3. Financial constraints and corporate investment in Asian countries
  4. Institutionalization of risk management framework in Islamic NGOs for suppressing terrorism financing
  5. regulatory shortcoming
  6. Impact of cash holdings and ownership concentration on firm valuation
  7. Shareholder activism in family‐controlled firms in Malaysia
  8. A Survey on the Usage of Derivatives and Their Effecton Cost of Equity Capital
  9. Malaysian enterprise risk management (MERIM) framework: Exploratory research
  10. Turnaround prediction of distressed companies: evidence from Malaysia
  11. A new perspective on board composition and firm performance in an emerging market
  12. DETERMINANTS OF CORPORATE HEDGING PRACTICES IN MALAYSIA
  13. Readability of Corporate Social Responsibility Communication in Malaysia
  14. Corporate social and environmental reporting: Where are we heading? A survey of the literature
  15. Determinants and persistence of research and development investments
  16. Market risk disclosure: evidence from Malaysian listed firms
  17. Product market competition, regulation and dividend payout policy of Malaysian banks
  18. Time-varying Cost of Equity Capital in Southeast Asian Countries
  19. Dividend Payout of the Property Firms in Malaysia
  20. Financial Liberalization and Capital Structure Dynamics in Developing Countries: Evidence from Emerging Markets of South East Asia
  21. Financing Capabilities and Sustainability Strategy of Global Corporations: Implications for Sustainability-Corporate Performance Relationship
  22. Financial Constraints and Firm-Level Investment in Asia: Dynamic Panel Smooth Threshold Regression Approach
  23. Shareholder Activism in the Family-controlled Firms in Malaysia