Stock market integration and international portfolio diversification : a study of the Asian financial crisis (1996–2007) / Surianor binti Kamaralzaman
The purpose of this thesis is to investigate a comprehensive, concurrent comparison of the linkages and the potential benefits of international diversification between Malaysian financial market and developed and developing countries. This study takes a two-fold approach to investigate the issue of...
Saved in:
Main Author: | Kamaralzaman, Surianor |
---|---|
Format: | Thesis |
Published: |
2015
|
Subjects: | |
Online Access: | http://studentsrepo.um.edu.my/5804/1/TO_SUBMIT_%2D_Final_(4).pdf http://studentsrepo.um.edu.my/5804/ |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Market integration and international portfolio diversification from Malaysian perspective / Surianor Binti Kamaralzaman
by: Surianor, Kamaralzaman
Published: (2011) -
E-learning satisfaction: a perspective on UiTM E-PJJ students / Surianor Kamaralzaman … [et al.]
by: Kamaralzaman, Surianor, et al.
Published: (2018) -
Portfolio selection: efficient diversification of investment in gold during financial crisis
by: Cheng, Fan Fah, et al.
Published: (2013) -
Dynamic linkages between the China and ASEAN stock markets:
Asian financial crisis and the 2007 subprime crisis
by: Abdul Manap, Turkhan Ali
Published: (2011) -
Portfolio diversification in Malaysia stock market
by: Kok, Adam Ka Hoh, et al.
Published: (2011)