The 2007 global financial crisis and the Malaysian stock market: a sectoral analysis
The study assesses the impact of the 2007 US sub-prime crisis on the Malaysian stock market by analysing both the benchmark and sectoral indices. Specifically, it empirically examines the integration of the Malaysian, US and Japanese stock markets at the sectoral level, such as finance, manufactu...
Saved in:
Main Authors: | Kassim, Salina, Abd. Majid, M. Shabri, Hamid, Zarinah |
---|---|
Format: | Article |
Language: | English |
Published: |
Inderscience Publishers
2011
|
Subjects: | |
Online Access: | http://irep.iium.edu.my/3259/1/2011-Global_Financial_Crisis_and_M%27sian_Stock_Market-AAJFA%5B1%5D.pdf http://irep.iium.edu.my/3259/ http://www.ingentaconnect.com/content/ind/aajfa/2011/00000002/00000003/art00001 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Do conventional and Islamic stock markets subject to different market anomalies? Empirical evidences from Indonesia and Malaysia
by: Abd. Majid, M. Shabri, et al.
Published: (2016) -
Financial contagion in the futures markets amidst global geo-economic events
by: Zainudin, Ahmad Danial, et al.
Published: (2021) -
Testing the validation of the financial cooperation agreement among ASEAN+3 stock markets
by: Rahman, Md. Saifur, et al.
Published: (2017) -
Dynamic linkages among ASEAN-5 emerging stock markets
by: Abd. Majid, M. Shabri, et al.
Published: (2009) -
The impact of subprime crisis on Asia-Pacific Islamic Stock Market
by: Zhang, H. C., et al.
Published: (2015)