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UNSPECIFIED The diversification benefits within Islamic investments: the case of Malaysia-based Islamic equity investors.

Abd. Majid, M. Shabri and Meera, Ahamed Kameel Mydin and Omar, MOhd. Azmi and Abdul Aziz, Hassanuddeen (2009) Dynamic linkages among ASEAN-5 emerging stock markets. International Journal of Emerging Markets, 4 (2). pp. 160-184. ISSN 1746-8809

Abd. Majid, M. Shabri and Vakhira, Zulfa Alvi and Kassim, Salina (2016) Do conventional and Islamic stock markets subject to different market anomalies? Empirical evidences from Indonesia and Malaysia. Journal of Applied Economic Sciences, Volume XI (5(43)). pp. 45-57. ISSN 1843-6110 E-ISSN 2393-5162

Abduh, Muhamad (2012) Peran pasar modal Syariah terhadap pertumbuhan ekonomi. Republika. p. 26.

Abduh, Muhamad and Sukmana, Raditya (2013) The role of stock markets in promoting economic growth in Malaysia: Islamic vis-à-vis conventional. Global Review of Islamic Economics and Business, 1 (1). pp. 1-12. ISSN 2338-7920 (O), 2338-2619 (P)

Abduh, Muhamad and Surur, Miftaskhus (2013) The dynamics of macroeconomics variables and the volatility of Indonesia stock markets: evidence from Islamic and conventional stock markets. Journal of Islamic Banking and Finance, 30 (3). pp. 25-33. ISSN 1814-8042

Abdul Jalil, Norasibah and Mat Ghani, Gairuzazmi and Daud, Jarita and Ibrahim, Mansor (2009) Stock price movements : does change in energy price matter? International Business Education Journal (IBEJ), 2 (1). pp. 1-18. ISSN 1985 - 7918

Abdul Karim, Bakri and Abd. Majid, M. Shabri and Abdul Karim, Shamsul Ariffin (2009) Financial integration between Indonesia and its major trading partners. Munich Personal RePEc Archive. (Unpublished)

Abdul Manap, Turkhan Ali and Kassim, Salina (2011) Long memory properties and asymmetric effects of emerging equity market: evidence from Malaysia. The Journal of Risk Finance, 12 (5). pp. 356-370. ISSN 1526-5943

Abdul Rahman, Maya Puspa and Kassim, Salina (2014) Understanding investors' behavior from the variation of sukuk spreads. Islamic Finance News, 14 (2). pp. 19-20. ISSN 0891-060X

Abdullah, Adam and Hassan, Rusni and Kassim, Salina (2017) Developing an Islamic investment framework for maritime assets. The Social Sciences, 12 (10). pp. 1865-1876. ISSN 1818-5800 E-ISSN 1993-6125

Abdullah, Adam and Hassan, Rusni and Kassim, Salina (2017) An Islamic wealth management investment appraisal of oil tankers. International Journal of Economics and Financial Issues, 7 (5). pp. 59-70. ISSN 2146-4138

Abdullah, Adam and Hassan, Rusni and Kassim, Salina (2018) A conceptual framework for Islamic institutional and retail investment in maritime assets. International Business Research, 11 (2). pp. 176-188. ISSN 1913-9004 E-ISSN 1913-9012

Abdullah, Adam and Hassan, Rusni and Kassim, Salina (2020) A real asset management approach for Islamic investment in containerships. Journal of Islamic Accounting and Business Research, 11 (1). pp. 27-48. ISSN 1759-0817

Abdullah, Adam and Hassan, Rusni and Kassim, Salina (2017) Modeling the performance of bulk-carriers for Islamic equity investors. Journal of Islamic Economics, Banking and Finance, 13 (4). pp. 91-118. ISSN 2070-4658

Abdullah, Ahmad Monir and Saiti, Buerhan and Masih, Mansur (2016) The impact of crude oil price on Islamic stock indices of South East Asian countries: evidence from MGARCH-DCC and wavelet approaches. Borsa Istanbul Review, 16 (4). pp. 219-232. ISSN 2214-8450

Ahmad Kamal, Siti Aisyah and Hasnan, Suhaily and Mohd Nasarudin, Ahmad Fawwaz (2018) Corporate governance and insider trading: evidence from Malaysia. Journal of Social Sciences Research, Special Issue 2. pp. 31-39. ISSN 2413-6670 E-ISSN 2411-9458

Ajmi, Hechem and Arfaoui, Nadia (2020) Effects of the political risk on Bitcoin return and volatility: evidence from the 2016 US presidential election. Journal of Financial Economic Policy, ahead-of-print. pp. 1-22. ISSN 17576385 E-ISSN 1757-6393 (In Press)

Ayojimi, Salami Monsurat and Haron, Razali (2018) Long-term relationship of crude palm oil commodity pricing under structural break. Journal of Capital Market Studies, 2 (2). pp. 162-174. ISSN 2514-4774

Bacha, Obiyathulla Ismath and A. Rashid, Mohamed Eskandar S and Ramlee, Roslily (2008) The efficiency of trading halts: emerging market evidence. The International Journal of Banking and Finance, 5 (2). pp. 125-148. ISSN 1675-7227 E-ISSN 2590-423X

Bayram, Kamola and Othman, Anwar Hasan Abdullah (2019) Islamic versus conventional stock market indices performance: empirical evidence from Turkey. IQTISHADIA : Jurnal Kajian Ekonomi dan Bisnis Islam, 12 (1). pp. 90-104. ISSN 2442-3076 E-ISSN 2502-3993

Bhuiyan, Rubaiyat Ahsan and Rahman, Maya Puspa and Saiti, Buerhan and Mat Ghani, Gairuzazmi (2019) Co-movement dynamics between global sukuk and bond markets: new insights from a wavelet analysis. International Journal of Emerging Markets, 14 (4). pp. 550-581. ISSN 1746-8809

Bhuiyan, Rubaiyat Ahsan and Rahman, Maya Puspa and Saiti, Buerhan and Mat Ghani, Gairuzazmi (2019) Does the Malaysian sovereign sukuk market offer portfolio diversification opportunities for global fixed-income investors? Evidence from wavelet coherence and multivariate-GARCH analyses. North American Journal of Economics and Finance, 47. pp. 675-687. ISSN 1062-9408

Che Mohd Salleh, Marhanum and Mohd Nasarudin, Ahmad Fawwaz and Chowdhury, Mohammad Abdul Matin (2022) Determinants of herding behaviour on financial decisions: a theory of planned behaviour. Journal of Islamic Management Studies, 4 (2). pp. 54-67. E-ISSN 2600-7126

Duasa, Jarita and Kassim, Salina (2009) Foreign portfolio investment and economic growth in Malaysia. The Pakistan Development Review, 48 (2). ISSN 0030-9729

Gafoordeen, Nagoor and Mohamed Mohideen, Nayeem and Akbar, Mohamed Aslam (2016) Zakat investment in Shariah. International Business Management, 10 (12). pp. 2398-2401. ISSN 1993-5250

Hakim, Shabir Ahmad and Hamid, Zarinah and Mydin Meera, Ahamed Kameel (2016) Capital asset pricing model and pricing of Islamic financial instruments. Journal of King Abdulaziz University Islamic Economics, 29 (1). pp. 21-39. ISSN 7383-1018

Haron, Razali (2006) The pricing efficiency of equity warrants: a Malaysian case. The ICFAI Journal of Derivatives Markets, III (3). pp. 6-22. ISSN 0972-9119

Haron, Razali and Arif Siraj, Mukhtar (2022) The influence of investment, debt, and dividend policies on the stock return of Shariah compliant companies in Indonesia (ISSI). Global Review of Islamic Economics and Business, 9 (2). 067-076. ISSN 2338-2619 E-ISSN 2338-7920

Haron, Razali and Ayojimi, Salami Monsurat (2019) The effect of GST announcement on stock market volatility: evidence from intraday data. Journal of Advances in Management Research, 16 (3). pp. 313-328. ISSN 0972-7981

Haron, Razali and Ibrahim, Khairunisah (2019) Residential property price hike and speculation. Planning Malaysia, 17 (1). pp. 328-337. ISSN 1675-6215 E-ISSN 0128-0945

Haron, Razali and Zainal Abidin, Sazali (2006) Correlation and benefits of portfolio diversification among equity markets of developed countries and emerging countries in South East Asia region. International Journal of Economics and Management, 1 (1). pp. 43-66. ISSN 1823-836X

Haron, Razali and Zainal Abidin, Sazali (2006) Correlation studies on equity markets using linear regression model - Malaysia, developing and developed markets. Journal of International Business and Entrepreneurship, 12 (2). pp. 45-63. ISSN 0128-7494

Islam, Mohd Aminul (2014) Applying generalized autoregressive conditional heteroscedasticity models to model univariate volatility. Journal of Applied Sciences, 14 (7). pp. 641-650. ISSN 1812-5662 (O), 1812-5654 (P)

Islam, Mohd Aminul (2013) Estimating volatility of stock index returns by using symmetric Garch models. Middle-East Journal of Scientific Research, 18 (7). pp. 991-999. ISSN 1990-9233

Islam, Mohd Aminul (2013) Modeling univariate volatility of stock returns using stochastic GARCH models:Evidence from 4-Asian markets. Australian Journal of Basic and Applied Sciences, 7 (11). pp. 294-303. ISSN 1991-8178

Islam, Mohd Aminul (2017) Optimal hedge ratio and the hedging performance of commodity futures: the case of Malaysian crude palm oil futures market. International Journal of Research in Finance and Marketing, 7 (10). pp. 56-73. ISSN 2231-5985

Islam, Mohd Aminul (2017) An empirical evaluation of hedging effectiveness of crude palm oil futures market in Malaysia. International Journal of Economics and Financial Research, 3 (11). pp. 303-314. ISSN 2411-9407 E-ISSN 2413-8533

Jaiyeoba, Haruna Babatunde and Adewale, Abideen Adeyemi and Haron, Razali and Che Ismail, Che Muhammad Hafiz (2017) Investment decision behaviour of the Malaysian retail investors and fund managers: A qualitative inquiry. Qualitative Research in Financial Markets, 10 (2). pp. 134-151. ISSN 1755-4179 E-ISSN 1755-4187

Jaiyeoba, Haruna Babatunde and Haron, Razali (2016) A qualitative inquiry into the investment decision behaviour of the Malaysian stock market investors. Qualitative Research in Financial Markets, 8 (3). pp. 246-267. ISSN 1755-4179

Karim, Bakri Abdul and Majid, M. Shabri ABD. (2009) International linkages among stock markets of Malaysia and its major trading partners. Journal of Asia-Pacific Business, 10 (4). pp. 326-351. ISSN 1059-9231

Kassim, Nawal Seif and Ramlee, Roslily and Kassim, Salina (2017) Impact of inclusion into and exclusion from the Shariah index on a stock price and Trading Volume: Event study approach. International Journal of Economics and Financial Issues, 7 (2). pp. 40-51. ISSN 2146-4138

Kassim, Salina and Abd. Majid, M. Shabri and Hamid, Zarinah (2011) The 2007 global financial crisis and the Malaysian stock market: a sectoral analysis. Afro-Asian Journal of Finance and Accounting, 2 (3). pp. 185-209. ISSN 1751-6447

Masih, Mansur and Mustaffa Kamil, Nazrol Kamil and Bacha, Obiyathulla Ismath (2018) Issue in Islamic equities: a literature survey. Emerging Markets Finance and Trade, 54 (1). pp. 1-26. ISSN 1540-496X

Mohamad, Azhar (2013) Creating a two-way market via short selling and its potential use in the Islamic paradigm. International Journal of Economics, Management and Accounting, 21 (2). pp. 29-43. ISSN 0128-006

Mohamad, Azhar (2017) Data envelopment analysis of efficiency of real estate investment trusts in Singapore. International Journal of Law and Management, 59 (6). pp. 826-838. ISSN 1754-243X E-ISSN 1754-2448

Mohamad, Azhar (2022) Elections and financial markets puzzle: Malaysian evidence. Managerial Finance. ISSN 0307-4358 E-ISSN 1758-7743 (In Press)

Mohamad, Azhar (2016) Implied volatility forecasting in the options market: a survey. Sains Humanika, 8 (2). pp. 9-18. ISSN 2289-6996

Mohamad, Azhar (2017) Seeking negative alphas through shorting. Global Business Review, 18 (6). pp. 1488-1506. ISSN 0972-1509 E-ISSN 0973-0664

Mohamad, Azhar and Bacha, Obiyathulla Ismath and Ibrahim, Mansor (2003) Daily returns seasonality and impact of stock index futures: evidence from the Kuala Lumpur Stock Exchange. KLSE Capital Markets Review, 11 (1 & 2). pp. 1-22.

Mohamad, Azhar and Fromentin, Vincent (2023) Herd and causality dynamics between energy commodities and ethical investment: Evidence from the different phases of the COVID-19 pandemic. Energy Economics, 126. pp. 1-19. ISSN 0140-9883

Mohamad, Azhar and Hakim, Shabir Ahmad (2016) Asset pricing in developed and emerging markets:a survey. Sains Humanika, 8 (3). pp. 47-64. ISSN 2289-6996

Mohamad, Azhar and Jaafar, Aziz and Goddard, John (2016) Short selling and exchange-traded funds returns: evidence from the London Stock Exchange. Applied Economics, 48 (2). pp. 152-164. ISSN 0003-6846 E-ISSN 1466-4283

Mohamad, Azhar and Jaafar, Aziz and Goddard, John (2015) Short-selling ban and cross-sectoral contagion: evidence from the UK. Journal of Asset Management, 16 (7). pp. 1-18. ISSN 1470-8272 E-ISSN 1479-179X

Mohamad, Azhar and Jaafar , Aziz and Hodgkinson, Lynn and Wells, Jo (2013) Short selling and stock returns: evidence from the UK. The British Accounting Review, 45 (2). pp. 125-137. ISSN 0890-8389

Mohamad, Azhar and Samsudin, Najmi Ismail Murad and Sifat, Imtiaz, Mohammad (2021) Implied volatility of structured warrants: Emerging market evidence. The Quarterly Review of Economics and Finance, 80. pp. 464-479. ISSN 1062-9769

Mohamad, Azhar and Sifat, Imtiaz Mohammad (2018) Trading aggression when price limit hits are imminent: NARDL based intraday investigation of magnet effect. Journal of Behavioral and Experimental Finance, 20. pp. 1-8. ISSN 2214-6350

Mohamad, Azhar and Sifat, Imtiaz Mohammad and Hamid, Zarinah (2018) An investigation of magnet effect via overnight returns: the Malaysian case. Journal of Capital Markets Studies, 2 (2). pp. 121-135. ISSN 2514-4774

Mohamad, Azhar and Sifat, Imtiaz Mohammad and Mohamed Shariff, Mohammad Syazwan (2019) Lead-lag relationship between Bitcoin and Ethereum: evidence from hourly and daily data. Research in International Business and Finance, 50 (1). pp. 306-321. ISSN 0275-5319

Mohamed Cherif, Benaouali and Mohd Noor, Azman (2015) تطبيقات التورق في سوق السلع الماليزية دراسة نظرية تطبيقية = Applications of Tawarruq in the Malaysian commodity market (Bursa Suq Al-Sila') = Penggunaan Tawarruq dalam pasaran komoditi Malaysia: Kajian teori dan amali. At-Tajdid (التجديد), 19 (37). pp. 207-230. ISSN 1823-1926

Mohammad Sifat, Imtiaz and Mohamad, Azhar (2015) Order imbalance and selling aggression under a shorting ban: Evidence from the UK. International Review of Financial Analysis, 42. pp. 368-379. ISSN 1057-5219

Mohammad Sifat, Imtiaz and Mohamad, Azhar and Amin, Kevin Reinaldo (2020) Intertemporal price discovery between stock index futures and spot markets: new evidence from high-frequency data. International Journal of Finance and Economics. E-ISSN 1099-1158

Mohd Fauzi, Puteri Nur Farah Naadia and Abdul Rashid, Khairuddin (2016) Transparency in the assessment of Takaful claims for construction works loss & damage. Global Journal Al Thaqafah, 6 (1). pp. 23-35. ISSN 2232-0474 E-ISSN 2232-0482

Mohd Nasarudin, Ahmad Fawwaz and Amin Noordin, Bany Ariffin Amin and Law, Siong Hook and Yahya, Mohd Hisham (2017) Investigation of herding behaviour in developed and developing countries: does country governance factor matters? Capital Market Review, 25 (2). pp. 1-14. ISSN 1823-4445

Mohd Nasarudin, Ahmad Fawwaz and Ateeq, Lubainah (2022) Examining herding in the BSE100 pre and during pandemic era: does governance matter? Journal of Development Economics and Finance, 3 (1). pp. 189-204. ISSN 2582-5194

Mohd Nasarudin, Ahmad Fawwaz and Hanijito, Agus and Amin Noordin, Bany Ariffin and Matemilola, B. T. (2017) Herding behavior and information effect of firm's ownership. The Empirical Economics Letters, 16 (5). pp. 349-355. ISSN 1681-8997

Mohd Sabri, Heidi Maryssa and Mohd Nasarudin, Ahmad Fawwaz and Azrai Azaimi Ambrose, Azniza Hartini (2022) The effect on stock price inclusion or exclusion from the FTSE4good Bursa Malaysia. Management and Accounting Review, 21 (3). pp. 91-110. ISSN 2600-7975 E-ISSN 2550-1895

Mohd Thas Thaker, Hassanudin and Mohamad, Azhar and Mustaffa Kamil, Nazrol Kamil and Duasa, Jarita (2019) Information content and informativeness of analysts’ report: evidence from Malaysia. Journal of Financial Reporting and Accounting, 16 (4). pp. 742-763. ISSN 1985-2517

Mohd Thas Thaker, Hassanudin and Mohamad, Azhar and Mustaffa Kamil, Nazrol Kamil and Duasa, Jarita (2020) Information content and informativeness of the analyst report in Malaysia: Evidence from Sharīʿah-compliant shares. Journal of Islamic Accounting and Business Research, 11 (3). pp. 869-888. ISSN 1759-0817

Mohd Thas Thaker, Hassanudin and Mohamad, Azhar and Mustaffa Kamil, Nazrol Kamil and Duasa, Jarita (2018) Information content of analysts' report: a literature survey. Etikonomi, 17 (1). pp. 135-152. ISSN 1412-8969 E-ISSN 2461-0771

Mohd. Noor, Azman (2017) Shari’ah issues in gold trading and gold related scam schemes. Al-Shajarah: Journal of the International Institute of Islamic Thought and Civilization (ISTAC), 2017 (Special Issue: Islamic Banking and Finance). pp. 1-26. ISSN 1394-6870

Murad Samsudin, Najmi Ismail and Mohamad, Azhar and Mohammad Sifat, Imtiaz and Hamid, Zarinah (2020) Predictive power of implied volatility of structured call warrants: evidence from Singapore. International Journal of Finance & Economics, 17 December 2020. pp. 1-19. ISSN 1076-9307 E-ISSN 1099-1158

Mustafa, Siti Aisyah and Ramlee, Roslily and Kassim, Salina (2017) Economic forces and Islamic stock market: Empirical evidences from Malaysia. Asian Journal of Business and Accounting, 10 (1). pp. 45-85. ISSN 1985-4064 E-ISSN 2180-3137

Mustaffa Kamil, Nazrol Kamil and Alhabshi, Syed O. and Bacha, Obiyathulla I. and Masih, Mansur (2014) Heads we win, tails you lose: Is there equity in Islamic equity funds? Pacific-Basin Finance Journal , 28. pp. 7-28. ISSN 0927-538X

Mustaffa Kamil, Nazrol Kamil and Bacha, Obiyathulla Ismath and Masih, Mansur (2012) Do 'Sin Stocks' deprive Islamic stock portfolios of diversification? Some insights from the Use of MGARCH-DCC. Capital Markets Review, 20. pp. 43-64. ISSN 1823-4445

Mustaffa Kamil, Nazrol Kamil and Bacha, Obiyathulla Ismath and Masih, Mansur (2021) Is there a diversification “cost” of Shari’ah compliance? empirical evidence from Malaysian equities. Economic Systems, 45 (1). E-ISSN 0939-3625

Noordin, Nazrul Hazizi and Kassim, Salina (2017) Corporate governance and financial performance: Empirical evidence from public listed construction companies in Malaysia. International Journal of Applied Management Science, 9 (4). pp. 313-334. ISSN 1755-8913 E-ISSN 1755-8921

Othman, Anwar Hasan Abdullah (2012) Micro & Macroeconomic determinants of NAV of Islamic equity unit trust funds in Malaysia: qualitative approach. International Journal Economics and Business, 2 (1). pp. 19-37. ISSN 1948-5166

Othman, Anwar Hasan Abdullah and Abd Aziz, Hassanuddeen and Kassim, Salina (2018) Is the ‎Islamic unit trust market efficient empirical evidence from ‎Malaysia‎. Journal of Private Equity, 21 (3 (Summer)). pp. 53-68. ISSN 1096-5572 (In Press)

Othman, Anwar Hasan Abdullah and Abdul Aziz, Hassanuddeen and Kassim, Salina (2018) Identification of macroeconomic determinants for diversification and investment strategy for Islamic unit trust funds in Malaysia. International Journal of Emerging Markets, 13 (4). pp. 653-675. ISSN 1746-8809

Othman, Anwar Hasan Abdullah and Abdul Aziz, Hassanuddeen and Kassim, Salina (2017) What does the relationship among unit trust funds indicate about optimal portfolio investment diversification strategy? Case of the Malaysian Islamic unit trust funds industry. Journal of Wealth Management, 20 (3). pp. 113-128. ISSN 1534-7524

Othman, Anwar Hasan Abdullah and Mydin Meera, Ahamed Kameel and Abd. Aziz, Hassanuddeen (2013) Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry. Global Journal of Business and Social Science Review, 1 – 16 (2013) ((3) 5). pp. 5-16. ISSN 2289-8506

Quadry, Mahmud Oluwaseyi and Adewale, Abideen Adeyemi and Jaiyeoba, Haruna Babatunde and Alli, Rafat Motunrayo (2016) Effect of crude oil spot and futures price volatility on South East Asia Islamic equity market. Journal of Islamic Finance.

Rafikov, Ildus and Saiti, Buerhan (2017) An analysis of financial speculation: from the Maqasid Al-Shari'ah perspective. Humanomics, 33 (1). pp. 2-14. ISSN 0828-8666

Rahman, Maya Puspa (2018) Final research report RAGS (RAGS15-061-0124) identifying the macroeconomic factors influencing the pricing methods of sovereign sukuk. RAGS Research Report. pp. 1-14. (Unpublished)

Rahman, Maya Puspa and Kassim, Salina (2017) Are shariah-compliant structured products able to withstand global financial shocks? A new perspective on the performance of shariah-compliant structured investment-linked plans in Malaysia. Journal of Economic Cooperation and Development, 38 (1). pp. 161-182. ISSN 1308-7800

Rahman, Maya Puspa and Omar, Mohd. Azmi and Kassim, Salina (2015) Modelling the conditional variance and asymmetric response to past shocks in the Malaysian bond market. Asian Journal of Business and Accounting, 8 (1). pp. 1-37. ISSN 1985-4064

Rahman, Md. Saifur and Othman, Anwar Hasan Abdullah and Shahari, Farihana (2017) Testing the validation of the financial cooperation agreement among ASEAN+3 stock markets. International Journal of Emerging Markets, 12 (3). pp. 572-592. ISSN 1746-8809 E-ISSN 1746-8817

Rahman, Md. Saifur and Shahari, Farihana (2017) Does financial cooperation agreement improve the cointegration among ASEAN+3 money markets? International Journal of Applied Economics, 31 (1). pp. 108-125. ISSN 0269-2171 E-ISSN 1465-3486

Rahman, Md. Saifur and Shahari, Farihana (2021) Does the US influence ASEAN+3 equity market integration? Journal of Financial Economic Policy. pp. 1-23. ISSN 1757-6385 (In Press)

Rusmita, Sylva Alif and Che Mohd Salleh, Marhanum and Sukmaningrum, Puji Sucia and , Siti Zulaikha (2019) Growth and value effect on Jakarta Islamic Index: analysis towards performance of Sharia equity mutual fund. Al-Iqtishad: Jurnal Ilmu Ekonomi Syariah, 11 (1). pp. 153-166. ISSN 2087-135X E-ISSN 2407-8654

Sadique, Muhammad Abdurrahman (2020) Investment and entrepreneurship in Islamic law: a comparative analysis of the fundamental criteria. Journal of Research in Humanities and Social Science, 8 (12). 09-17. ISSN 2321 - 9467

Saiti, Buerhan (2015) Cointegration of Islamic stock indices: evidence from five ASEAN countries. International Journal of Scientific & Engineering Research, 6 (7). pp. 1392-1405. ISSN 2229-5518

Saiti, Buerhan (2017) The lead-lag relationship among East Asian economies: a wavelet analysis. International Business Research, 10 (3). pp. 57-68. ISSN 1913-9004 E-ISSN 1913-9012

Saiti, Buerhan and Ahmad, Khaliq (2017) Fundamentals, universe creation and appraisal of major shari’ah- compliant stocks screening methodologies. Al-Shajarah, 2017 (Special Issue: Islamic Banking and Finance). pp. 105-138. ISSN 1394-6870

Saiti, Buerhan and Bacha, Obiyathulla Ismath and Masih, Mansur (2016) Testing the conventional and Islamic financial market contagion: evidence from wavelet analysis. Emerging Markets Finance and Trade, 52 (8). pp. 1832-1849. ISSN 1540-496X E-ISSN 1558-0938

Saiti, Buerhan and Bacha, Obiyathulla Ismath and Masih, Mansur (2014) The diversification benefits from Islamic investment during the financial turmoil: the case for the US-based equity investors. Borsa Istanbul Review, 14 (4). pp. 196-211. ISSN 2214-8450

Saiti, Buerhan and Dewandaru, Ginangar and Masih, Mansur (2013) A wavelet-based approach to testing shari’ah-compliant stock market contagion:evidence from the ASEAN countries. Australian Journal of Basic and Applied Sciences, 7 (7). pp. 268-280. ISSN 1991-8178

Saiti, Buerhan and Masih, Mansur (2016) The co-movement of selective conventional and Islamic stock indices: is there any impact on shariah compliant equity investment in China? International Journal of Economics and Financial Issues, 6 (4). pp. 1895-1905. ISSN 2146-4138

Saiti, Buerhan and Noordin, Nazrul Hazizi (2018) Does Islamic equity investment provide diversification benefits to conventional investors? Evidence from the multivariate GARCH analysis. International Journal of Emerging Markets, 13 (1). pp. 267-289. ISSN 1746-8809

Sifat, Imtiaz Mohammad and Mohamad, Azhar (2018) Circuit breakers as market stability levers: a survey of research, praxis, and challenges. International Journal of Finance & Economics. ISSN 1076-9307 E-ISSN 1099-1158 (In Press)

Sifat, Imtiaz Mohammad and Mohamad, Azhar (2019) Circuit breakers as market stability levers: a survey of research, praxis, and challenges. International Journal of Finance and Economics, 24 (3). pp. 1130-1169. ISSN 1076-9307 E-ISSN 1099-1158

Sifat, Imtiaz Mohammad and Mohamad, Azhar (2016) Selling short as Ijarāh with Istiḥsān and its ethical implication. Arab Law Quarterly, 30 (4). pp. 357-377. ISSN 0268-0556 E-ISSN 1573-0255

Sifat, Imtiaz Mohammad and Mohamad, Azhar (2020) A survey on the magnet effect of circuit breakers in financial markets. International Review of Economics and Finance, 69. pp. 138-151. E-ISSN 1099-1158

Sifat, Imtiaz Mohammad and Mohamad, Azhar and Hamid, Zarinah (2018) An investigation of magnet effect via overnight returns: the Malaysian case. Journal of Capital Markets Studies, 2 (2). pp. 121-135. ISSN 2514-4774

Tawfeeq, Abu Baker and Ibrahim Mohamed, Hossam El Din (2017) الصكوك الاستثمارية الإسلامية بين ماليزيا ومصر: دراسة فقهية مقارنة = Islamic investment Sukuk between Malaysia and Egypt: a juristic comparative study. International Journal of Fiqh and Usul al-Fiqh Studies, 1 (1). pp. 9-41. E-ISSN 2600-8408

Thas Thaker, Hassanudin Mohd and Mohamad, Azhar and Mustaffa Kamil, Nazrol Kamil and Duasa, Jarita (2020) Information content and informativeness of the analyst report in Malaysia: Evidence from Sharīʿah-compliant shares. Journal of Islamic Accounting and Business Research, 11 (4). pp. 869-888. ISSN 1985-2517 E-ISSN 1759-0825

Thas Thaker, Hassanudin Mohd and Mohamad, Azhar and Omar, Azura and Mustaffa Kamil, Nazrol Kamil and Duasa, Jarita (2017) A qualitative inquiry into the issues of information content of analysts' report: Evidence from Malaysia. Labuan Bulletin of International Business and Finance, 15. pp. 1-21. ISSN 1675-7262 E-ISSN 2600-7894

Yusof, Abdul Hafiz and Mohd Nasarudin, Ahmad Fawwaz and Haris, Sharazad and Muhamad Yusuf, Noor Hafizha and Wan Zakaria, Wan Mohd Farid (2013) The existence of insider trading in Malaysia: an event study approach. Jurnal Intelek, 8 (1). pp. 12-23. ISSN 2231-7716

Zainudin, Ahmad Danial and Mohamad, Azhar (2021) Cross hedging with stock index futures. The Quarterly Review of Economics and Finance, 82. pp. 128-144. ISSN 1062-9769 E-ISSN 1878-4259

Zainudin, Ahmad Danial and Mohamad, Azhar (2021) Financial contagion in the futures markets amidst global geo-economic events. The Quarterly Review of Economics and Finance, 81. pp. 288-308. ISSN 1062-9769

Zainudin, Ahmad Danial and Mohamad, Azhar (2023) Pandemic impact on the co-movement and hedging effectiveness of the global futures markets. Investment Analysts Journal, 52 (2). pp. 132-152. ISSN 1029-3523 E-ISSN 2077-0227

Zhang, H. C. and Hamid, Zarinah (2015) The impact of subprime crisis on Asia-Pacific Islamic Stock Market. Journal of Asia-Pacific Business, 16 (2). pp. 105-127. ISSN 1059-9231

Zhang, H. C. and Mohamad, Azhar and Hamid, Zarinah (2019) Financial interdependence or contagion? evidence from a meta-analysis. Journal of Economic Cooperation and Development, 40 (1). pp. 79-102. ISSN 1308-7800

Book

Saiti, Buerhan (2016) BBFD4103 Financial derivatives. Open University Malaysia.

Book Chapter

Ahmad, Norfaieqah and Islam, Mohd Aminul (2011) Analysis of crude palm oil futures prices traded on Bursa Malaysia. In: Investigations on Pure Mathematics, Finance Mathematics and Optics. IIUM Press, Kuala Lumpur, pp. 160-165. ISBN 9789674181987

Aulia, Mahdiah and Hassan, Rusni (2020) The analysis of Investment Account Platform (IAP) to promote investment account product in Malaysia and Indonesia. In: The importance of new technologies and entrepreneurship in business development: in the context of economic diversity in developing countries. Lecture Notes in Networks and Systems . Springer Nature, Switzerland, pp. 1-12. (In Press)

Che Ismail, Che Muhamad Hafiz and Abideen, Adewale Abideen and Haron, Razali (2019) An investigation of Sharīʿah penny stocks’ performance and its determinants: evidence from Bursa Malaysia. In: Islamic Fund & Wealth Management. A way forward. IIUM Institute of Islamic Banking and Finance, Kuala Lumpur, pp. 227-239. ISBN 978-983-44568-4-9

Engku Ali, Engku Rabiah Adawiah (2015) Produk pengurusan dana Islam: penilaian dari aspek Maqasid Syariah. In: Kewangan Islam: Pemikiran dan Penilaian. Institut Kefahaman Islam Malaysia (IKIM), Kuala Lumpur, pp. 83-101. ISBN 978-983-2636-98-4

Haron, Razali and Ayojimi, Salami Monsurat (2019) Malaysian stock index futures market hedging effectiveness: symmetric and asymmetric model. In: Islamic Fund & Wealth Management. A way forward. IIUM Institute of Islamic Banking and Finance, Kuala Lumpur, pp. 197-207. ISBN 978-983-44568-4-9

Hassan, Rusni and Yusoff, Adnan (2011) Malaysian Islamic capital market : regulatory and legal scaffold altercations in the legal 'Thick" jungle. In: Islamic Banking & Finance: Issues & Solutions. IIUM Press, IIUM, pp. 90-107. ISBN 9789670225906

Ibrahim, Izleen and Islam, Mohd Aminul (2011) Stock performance analysis between Malaysian Airlines System Berhad and Airasia Berhad. In: Investigations on Pure Mathematics, Finance Mathematics and Optics. IIUM Press, Kuala Lumpur, pp. 144-150. ISBN 9789674181987

Jaiyeoba, Haruna Babatunde and Abideen, Adewale Abideen and Haron, Razali (2019) Investors’ confidence in the Malaysian stock market and religiosity during investment decisions. In: Islamic Fund & Wealth Management. A way forward. IIUM Institute of Islamic Banking and Finance (IIiBF), Kuala Lumpur, pp. 77-96. ISBN 978-983-44568-4-9

Mohammed Idris, Umar and Lahsasna, Ahcene (2011) Examination of the AAOIFI pronouncement on Sukuk Issuance and its implication on the Future Sukuk structure in the islamic capital market in Malaysia. In: Islamic Banking & Finance: Issues & Solutions. IIUM Press, IIUM, pp. 109-135. ISBN 978-967-022-590-6

Mustaffa Kamil, Nazrol Kamil (2012) Islamic equity market. In: Islamic financial system: principles and operations. International Shari'ah Research Academy for Islamic Finance (ISRA), Kuala Lumpur, pp. 451-496. ISBN 978-967-349-127-8

Nazmi, Nor Asila and Jaiyeoba, Haruna Babatunde (2023) Making your money work for your beliefs. Investment for youth, where to start. In: Halal Al-Basirah: A Series of Insights on Halal Business and Lifestyle. Ravon Media Sdn Bhd, Petaling Jaya, Selangor, pp. 123-127. ISBN 978-629-97445-2-8

Othman, Anwar Hasan Abdullah and Aziz, Hasanuddeen Abdul and Kassim, Salina (2019) Making the right investment choice? comparing the performance between Islamic and conventional equity unit trust funds in Malaysia. In: Islamic Fund & Wealth Management. A way forward. IIUM Institute of Islamic Banking and Finance (IIiBF), IIUM Institute of Islamic Banking and Finance (IIiBF), 07-117. ISBN 978-983-44568-4-9

Rahman, Maya Puspa and Omar, Mohd. Azmi (2015) Factors influencing the excess returns of Sukuk: an empirical analysis on USD denominated Sukuk issued by corporations in the Gulf Cooperation Council Countries (GCC). In: Islamic Finance: Performance and Efficiency. Islamic Finance , 3 (1). Gerlach Press, Berlin, Germany, pp. 233-254. ISBN 978-3-940924-18-6

Ramlee, Roslily and Che Embi, Nor Azizan and Kassim, Salina (2017) Exploring potentials of iREITs as an instrument to develop waqf assets. In: Contemporary issues in Islamic thought. IIUM Press, International Islamic University Malaysia, Kuala Lumpur, pp. 298-317. ISBN 978-967-491-008-2

Ramli, Nurshamimitul Ezza and Haron, Razali (2019) Debt financing determinants of Sharīʿah approved firms in Malaysia: evidence across industries. In: Islamic Fund & Wealth Management. A way forward. IIUM Institute of Islamic Banking and Finance, Kuala Lumpur, pp. 365-381. ISBN 978-983-44568-4-9

Proceeding Paper

Abdul Manap, Turkhan Ali (2011) A note on Chinese stock market efficiency: fresh evidence from non-linear unit root test. In: International conference on "China's Growth and the World Economy", 7-8 July, 2011, Perth, Australia . (Unpublished)

Abdul Manap, Turkhan Ali and Omar, Mohd. Azmi (2010) The behavior of Malaysian stock market: evidence from nonlinear unit root test. In: Terengganu International Business and Economics Conference 2010 (TiBÉC II), 5th–7th August 2010, Primula Beach Hotel, Kuala Terengganu, Malaysia. (Unpublished)

Abdullah, Nurdianawati Irwani and Laldin, Mohd Akram and Ahmad, Muhammad Ali Jinnah and Abdullah, Syahida and Md. Zuki, Mazrul Shahir and Ali, Mohammad Mahbubi (2012) Isu-isu investasi dalam industri takaful: belajar dari pengalaman Malaysia. In: Muzakarah Cendiakawan Shariah Nusantara 2012, 14 May 2012, Brunei.

Alatrturi, Basheer H. M. and Alshammri, Ahmad Alrazni and Tuan Hussin, Tuan Muhd Taufik and Saiti, Buerhan (2016) Oil price and exchange rates: a wavelet analysis for OPEC members. In: The 18th Malaysian Finance Association Annual Conference (MFAC) and 7th Islamic Banking, Accounting and Finance Conference 2016 (iBAF 2016), 29th-31st May 2016, Melaka. (Unpublished)

Alom, Shahedin and Mohd Nasarudin, Ahmad Fawwaz (2019) Empirical study of herding behavior impacts on South Asia Nation. In: 1st International Conference on Financial Markets (ICFM 2019), 11th-12th July 2019, Kuala Lumpur. (Unpublished)

Aulia, Mahdiah and Hassan, Rusni (2020) The analysis of Investment Account Platform (IAP) to promote investment account product in Islamic banks. In: The International Conference on Business and Technology (ICBT 2020), 14th-15th November 2020, Istanbul, Turkey. (Unpublished)

Ayojimi, Salami Monsurat and Fa-Yusuf, Habeebah Simisola and Haron, Razali (2020) Will inclusion of precious metals in Nigerian stocks and oil portfolio lead to diversification benefit in the era of covid-19? MGARCH-DCC approach. In: 22nd Malaysian Finance Association Conference 2020 (MFAC 2020), 17th-19th November 2020, Shah Alam, Selangor. (Unpublished)

Bahaludin, Hafizah and Abdullah, Mimi Hafizah and Mat Salleh, Supian (2014) Minimal spanning tree for 100 companies in Bursa Malaysia. In: The 2nd ISM International Statistical Conference 2014 with Applications in Sciences and Engineering (ISM-II) , 12th -14th August 2014, Kuantan, Pahang. (Unpublished)

Che Embi, Nor Azizan and Rahim, Ruzita and Ibrahim, Izani (2013) The impact of shariah-compliance extensiveness screening on the initial performance of Malaysian IPOs. In: IIUM Research, Invention and Innovation Exhibition (IRIIE) 2013, 19-20th February 2013, Kuala Lumpur. (Unpublished)

Che Ismail, Che Muhamad Hafiz and Adewale, Abideen Adeyemi and Haron, Razali (2017) An investigation of shariah penny stocks’ performance and its determinants: Evidence from Bursa Malaysia. In: International Islamic Fund And Wealth Management Forum (IIFWMF), 2nd-3rd May 2017, Kuala Lumpur. (Unpublished)

Dahiru, Abdulnasir and Saiti, Buerhan (2017) Diversification benefits in energy, metal and agricultural commodities for Islamic investors: evidence from dynamic conditional correlations. In: lnternational Islamic Fund and Wealth Management Forum (IIFWMF), 2nd-3rd May 2017, Kuala Lumpur. (Unpublished)

Engku Ali, Engku Rabiah Adawiah (2013) Maqasid Syariah dan produk kewangan patuh Syariah dalam sektor pengurusan dana Islam. In: Muktamar Kewangan Islam Brunei Darussalam 2013, 17 June 2013, The Empire Hotel & Country Club, Brunei. (Unpublished)

Haron, Razali and Salami, Monsurat Ayojimi (2014) Crude palm oil market volatility: Malaysian evidence. In: National Research & Innovation Conference for Graduate Studies in Social Sciences 2014 (GS-NRIC 2014) , 5-7th December 2014, Corus Paradise Resort, Port Dickson, Negeri Sembilan.

Haron, Razali and Zainal Abidin, Sazali (2008) Correlation and portfolio diversification among South East Asia, emerging and developed countries. In: 15th Annual Conference of the Multinational Finance Society, 6-8 July, 2008, Orlando, Florida, USA.

Haron, Razali and Zainal Abidin, Sazali and Larbani, Moussa (2006) Correlation studies on equity markets using linear regression model - Malaysia developing and developed markets. In: MFA's 8th. Annual Conference , 8-9 May, 2006, Universiti Malaysia Sabah.

Hasan, Aznan and Abu Samah, Zariah and Mohamed, Siti Hasmah and Zein Isma, Syaza Nawwarah (2013) Innovation in Sukuk market: the case of Abu Dhabi perpetual Sukuk. In: 1st ASEAN International Conference on Islamic Finance, 6 November - 07 November 2013, Institute of Islamic Banking and Finance (IIiBF). (Unpublished)

Hasan, Aznan and Khan, Sarfaraz Dawar and Bachok, Rabiatul Adawiyah and Redzuan, Nur Harena (2013) Replication of short selling in Islamic Finance: potential structures and issues. In: 1st ASEAN International Conference on Islamic Finance (1st AICIF), 6 November -7 November 2013, Damansara heights Kuala lumpur Malaysia. (Unpublished)

Hasan, Aznan and Rafidah, Neng and Hamber, Norliana and Mohd Zuhri, Muhammad Zhahiruddin and Khurshid, Usman (2013) Islamic Capital Market and Waqf. In: 1st ASEAN International Conference on Islamic Finance (1st AICIF), Damansara Heights, Kuala Lumpur, Malaysia. (Unpublished)

Islam, Mohd Aminul (2016) Constant & time-varying hedge ratio for FBMKLCI stock index futures. In: 37th International Conference on Quantum Probability and Related Topics (QP37) 2016, 22-26 August 2016, Kuantan, Pahang, Malaysia. (Unpublished)

Islam, Mohd Aminul (2016) Estimating constant and time varying hedge ratios of Crude palm Oil futures (CPO) Contracts in Malaysia. In: 31st International Research Conference on Business, Economics and Social Sciences, IRC-2016, December 29-30, 2016, Intercontinental Hotel, Kuala Lumpur. (Unpublished)

Islam, Mohd Aminul (2013) Modeling volatility using GARCH (1, 1) Model: The case of Kuala Lumpur Composite Index (KLCI). In: IIUM Research, Invention and Innovation Exhibition 2013, 19 - 20 February 2013, Cultural Activity Centre (CAC) and KAED Gallery, IIUM.

Islam, Mohd Aminul and Mohd Noar, Nor Zaihan (2014) Estimating Hedge Ratio and The Hedging Effectiveness of Stock Index Futures Contract. In: IIUM Research, Invention and Innovation Exhibition 2014, 11-13 June, 2014, Gombak, Kuala Lumpur. (Unpublished)

Jaiyeoba, Haruna Babatunde and Adewale, Abideen Adeyemi and Haron, Razali (2017) An empirical investigation of fund managers’ religiosity level during investment decisions. In: International Islamic Fund And Wealth Management Forum (IIFWMF), 2nd-3rd May 2017, Kuala Lumpur. (Unpublished)

Kamaluddin, Norlela and Ab. Manan, Siti Khadijah and Sufian, Fadzlan and Htay, Sheila (2012) Shari’ah principles of sukuk structure in Malaysia Islamic capital market. In: 3rd Terengganu International Business and Economics Conference 2012 (TIBEC 111), 18-20 Oct 2012, Primula Beach Hotel, Terengganu, Malaysia. (Unpublished)

Mohamad, Azhar (2015) Creating a two-way market via short selling and its potential use in the Islamic paradigm. In: International Conference on Islamic Perspective of Accounting, Finance, Economics and Management (IPAFEM 2015), 7-9 April, 2015, University of Glasgow, Scotland. (Unpublished)

Mohamad, Azhar (2023) Herd dynamics around the Russo-Ukraine war and Covid-19 pandemic. In: The 2023 Sydney Banking and Financial StabilityConference 8-9 December 2023, the University of Sydney Business School Sydney, Australia.

Mohamad, Azhar (2011) Informational content of short interest (EBES 2011). In: Euroasia Business and Economics Society (EBES) Conference, Istanbul, Turkey, 1-3 June 2011, Istanbul< Turkey. (Unpublished)

Mohamad, Azhar (2013) Is shorting of Exchange Traded Funds a dangerous financial sport? recent UK evidence. In: BAFA 2013 Annual Conference , 9 - 11 April 2013, Newcastle, UK. (Unpublished)

Mohamad, Azhar (2010) PhD proposal (BAA Doctoral Colloquium Cardiff 2010): short selling and stock returns. In: BAA 2010 Doctoral Colloquium, 29-30 March 2010, Cardiff City, UK. (Unpublished)

Mohamad, Azhar (2010) PhD proposal (Gregynog 2010): short selling and stock returns. In: Accounting & Finance Research Colloquium (Gregynog 2010), 12-14 May 2010, Gregynog, Wales, UK. (Unpublished)

Mohamad, Azhar (2011) Short interest and stock returns: evidence from the UK (Gregynog 2011). In: Gregynog Accounting and Finance Colloquium 2011, 16-18 May 2011, Gregynog, Wales, UK. (Unpublished)

Mohamad, Azhar and Aziz, Jaafar and Hodgkinson, Lynn and Wells, Jo (2011) Increase in Short Interest and Predictability in Stock Returns (Infiniti 2011). In: INFINITI Conference on International Finance, 13-14 June 2011, Dublin, Ireland. (Unpublished)

Mohamad, Azhar and Bacha, Obiyathulla Ismath and Ibrahim, Mansor (2003) Daily returns seasonality and impact of stock index futures: evidence from the Kuala Lumpur Stock Exchange. In: Malaysia Finance Association's (MFA's) 5th Annual Symposium, 23-24 April 2003, Cyberjaya, Kualal Lumpur. (Unpublished)

Mohamad, Azhar and Jaafar, Aziz and Goddard, John (2012) Short-selling ban and cross-sectoral contagion: evidence from the UK. In: Sixty-First Annual Meeting of the Midwest Finance Association, 22 - 25 February 2012, New Orleans, USA. (Unpublished)

Mohamad, Azhar and Jaafar , Aziz and Goddard, John (2014) Short-selling ban and cross-sectoral contagion: evidence from the UK. In: BAFA 2014 Annual Conference, 14-16 April 2014, London . (Unpublished)

Mohamad, Azhar and Jaafar , Aziz and Hodgkinson , Lynn and Wells, Jo (2011) Short selling and stock returns: evidence from the UK. In: Annual Submit on Business and Entrepreneurial Studues - ASBES 2011, 17-18 October 2011, Kuching, Sarawak.

Mohammad Sifat, Imtiaz and Mohamad, Azhar (2017) Magnet effect of price limits: evidence from Bursa Malaysia. In: 44th International Business Research Conference 2017, 13th-14th December 2017, Osaka, Japan. (Unpublished)

Mohd Nasarudin, Ahmad Fawwaz (2018) Investigation of industrial herding in Malaysia. In: 5th Annual ECoFI Symposium 2018, 18th Dec. 2018, Sintok, Kedah. (Unpublished)

Mohd Nasarudin, Ahmad Fawwaz and Noordin, Bany Ariffin Amin and Law, Siong Hook and Yahya, Mohd Hisham (2017) Investigation of herding behavior in developed and developing countries: Does country governance factor matters? In: The 19th Malaysian Finance Association Conference (MFAC) 2017 : Challenges and New Directions amidst Global Financial Uncertainty, 16th - 18th May 2017, 16-18 MAY 2017, Universiti Tunku Abdul Rahman Kampar. (Unpublished)

Mohd Thas Thaker, Mohamed Asmy and Mohd Thas Thaker, Hassanudin (2016) The behavioural intention of investors to use Islamic banking’s Investment Account Platform (IAP) as a source of investment portfolio: A structural equation modeling approach. In: International Seminar & The 2nd Journal of Islamic Monetary Economics and Finance Call for Papers, 27th-28th October 2016, Surabaya, Indonesia. (Unpublished)

Murdipi, Rafiqa (2018) The role of institutions in mitigating the risk of push and pull factors on economic growth. In: 2018 Vietnam Symposium in Banking and Finance, 25-27 Oct 2018, Hue city, Vietnam. (Unpublished)

Mustaffa Kamil, Nazrol Kamil (2019) Islamic structured investment: an example and critical analysis. In: 1st International Conference on Financial Markets 2019 (ICFM), 11th-12th July 2019, Kuala Lumpur. (Unpublished)

Mustaffa Kamil, Nazrol Kamil and Bacha, Obiyathulla Ismath and Masih, Mansur (2012) Do sin stocks deprive Islamic stock portfolios of diversification? some insights from the use of MGARCH-DCC. In: The Malaysian Finance Association 13th Annual Conference 2011, 10th-12th June 2011, Langkawi. (Unpublished)

Mustaffa Kamil, Nazrol Kamil and Bacha, Obiyathulla Ismath and Masih, Mansur (2014) Is there a diversification “cost” of shari’ah compliance? empirical evidence from Malaysian equities. In: 4th Islamic Banking and Finance Conference 2014, 23rd-24th June 2014, Kuala Lumpur. (Unpublished)

Mustaffa Kamil, Nazrol Kamil and Haneef, Mohamed Aslam (2016) Investment practices of endowment funds in higher education: lessons for the developing world. In: International Symposium on Waqf and Higher Education (ISWHE 2016), 28th-30th May 2016, Istanbul, Turkey.

Prima Sakti, Muhammad Rizky and Mohamad, Azhar (2014) Implied volatility and contagion in the options market. In: International Business Economics Social Sciences Research Association (IBESRA) Istanbul Conference, Turkey, 29-30 December 2014, Istanbul, Turkey. (Unpublished)

Rahmat Heru Setianto, Rahmat Heru and Abdul Manap, Turkhan Ali (2011) The behavior of Indonesian stock market: structural breaks and nonlinearity. In: Seminar National Ke-3 Forum Manafemen Indonesia, November 9-10, 2011, Bandung, Indonesia. (Unpublished)

Saiti, Buerhan (2016) The lead-lag relationship among East Asian economies: a wavelet analysis. In: 4th ASEAN International conference on Islamic Finance (4th AICIF 2016), 6th-8th Dec. 2016, Melaka. (Unpublished)

Saiti, Buerhan and Noordin, Nazrul Hazizi (2017) Diversification in conventional and Islamic stock indices: evidence from Multivariate-GARCH analysis. In: The 2nd Islamic Finance, Banking & Business Ethics Global Conference 2017, Sasana Kijang, BNM, Kuala Lumpur, Malaysia. (Unpublished)

Saiti, Buerhan and Noordin, Nazrul Hazizi (2016) The diversification benefits within Islamic investments: evidence from MGARCH-DCC approach. In: 4th ASEAN International conference on Islamic Finance (4th AICIF 2016), 6th-8th Dec. 2016, Melaka. (Unpublished)

Salami, Mansurat Ayojimi and Haron, Razali (2014) Long-run relationship between Malaysian crude palm oil spot and futures market. In: National Research & Innovation Conference for Graduation Students in Social Sciences 2014 (GS-NRIC 2014), 5th - 7th December 2014, Port Dickson, Negeri Sembilan.

Salami, Monsurat Ayojimi and Haron, Razali (2019) Hedging effectiveness of Malaysian derivative markets under different asset classes. In: 1st International Conference on Financial Markets (ICFM 2019), 11th-12th July 2019, Kuala Lumpur. (Unpublished)

Samsudin, Najmi Ismail Murad and Mohamad, Azhar (2018) An empirical test of implied volatility in Singaporean structured warrants. In: The 20th Malaysian Finance Association Conference (MFAC) 2018, 1st-2nd August 2018, Langkawi, Kedah. (Unpublished)

Shakil, Mohammad Hassan and Mohid Rasid, Mohamed Eskandar Shah and Saiti, Buerhan (2017) The interactions between gold and shariah compliant equities:the application of wavelet and multivariate GARCH analysis. In: The 19th Malaysian Finance Association Annual Conference (MFAC) 2017, 16-18 may, 2017, Universiti Tunku Abdul Rahman, kampar, Perak..

Sifat, Imtiaz Mohamma and Mohamad, Azhar and Amin, Kevin R. (2019) Price discovery between index futures and spot markets. In: The 21st Malaysian Finance Association Conference 2019 (MFAC 2019), 31st July - 1st August 2019, Bandar Sunway, Selangor. (Unpublished)

Surur, Miftaskhus and Abdul Razak, Dzuljastri and Abduh, Muhamad (2012) The impact of macroeconomic variables on the Indonesian stock market volatility: conventional vis-a-vis Islamic stock market. In: International Conference On Islamic Capital Markets, 19-20 June 2012, Jakarta, Indonesia.

Monograph

Abd Hamid, Mohamed Hadi (2010) Investing across border 2010. Technical Report. World Bank Group.

Abdullah, Nurdianawati Irwani and Ali, Mohammad Mahbudi and Jinnah, Muhammad Ali and Md. Zuki, Ahmad Mazrul Shahir and Abdullah, Syahida (2012) Examining investment initiative in Takaful operation: issues, constraints and the way forward. Other. [s.n.]. (Unpublished)

Islam, Mohd Aminul and Pah, Chin Hee (2018) Hedging performance of futures contracts: The case of FTSE BMKLCI futures and the CPO futures contracts in Malaysia. Research Report. UNSPECIFIED. (Unpublished)

Mohamad, Azhar (2015) Contagion effects of financial crisis: a meta-analysis. UNSPECIFIED. s.n. (Unpublished)

Mohamad, Azhar (2019) FRGS final report: regulating a mis-regulation of trading halts through a comprehensive financial legal framework for the protection of investors’ interest. Research Report. UNSPECIFIED. (Unpublished)

This list was generated on Fri Mar 29 17:13:20 2024 +08.