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Purpose: This study aims to document the influence of information content and the informativeness of analyst reports towards cumulative abnormal return in the Malaysian market. Design/methodology/approach: Samples of analyst reports for the period 4th January 2010 until 24th December 2015 were...
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Purpose: This study aims to investigate the effects of capital control and external debts after the 1997 financial crisis. Design/methodology/approach: Using system estimation approach, the authors estimate a panel data-based econometric model for data on Malaysia, Thailand, Indonesia, the...
Persistent link: https://www.econbiz.de/10012277967
Objective - This paper assesses the value of information disclosure in Malaysian analyst reports by examining three categories of firms, according to their age (young, medium and old).Methodology/Technique - The study uses a market-adjusted method to calculate the cumulative abnormal return and...
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The volatility of bitcoin (BTC) and time horizon is the center point for investment decisions. However, attention is not often drawn to the relationship between BTC and equity indices. Thus, the purpose of this paper is to investigate the volatility and time frequency domain of BTC with stock...
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This study empirically investigates the effect of an Islamic label on environmental, social, and governance (ESG) performance. Islamic firms in Indonesia and Malaysia that are characterized by lower debt and lower non-sharia compliant income and have a higher ethical standard are expected to...
Persistent link: https://www.econbiz.de/10013184118