Number of items: 10.
Mohammad Fauzie Shafie, and Mohd Hasimi Yaacob, and Ruzita Abdul Rahim,
(2023)
Kebolehramalan pergerakan harga pasaran mata wang asing ASEAN-5 Dengan menggunakan indikator dagangan indeks kekuatan relatif era Covid-19.
Jurnal Pengurusan, 68
.
pp. 1-13.
ISSN 0127-2713
Yousefi Nejad, Maryam and Azlina Ahmad, and Ruzita Abdul Rahim, and Fairuz Md Salleh,
(2020)
Does IFRS drive information asymmetry reduction? Evidence from Asean-6 countries.
Asian Journal of Accounting and Governance, 14
.
pp. 1-18.
ISSN 2180-3838
Yousefinejad, Maryam and Azlina Ahmad, and Fairuz Md. Salleh, and Ruzita Abdul Rahim,
(2018)
Causal relationship between International Financial Reporting Standard (IFRS) and Foreign Direct Investment (FDI) : a panel data analysis of ASEAN countries.
Asian Journal of Accounting and Governance, 10
.
pp. 61-72.
ISSN 2180-3838
Norazlan Alias, and Mohd. Hasimi Yaacob, and Ruzita Abdul Rahim, and Fauzias Mat Nor,
(2016)
Board structure, free cash flow and dividend per share in Malaysia
listed firms: an empirical study of interaction effect.
Geografia : Malaysian Journal of Society and Space, 12
(2).
pp. 58-67.
ISSN 2180-2491
Fauzias Mat Nor, and Ruzita Abdul Rahim, and Norazlan Alias, and Mohd Hasimi Yaacob,
(2012)
Malaysian corporate finance and governance behavior.
Jurnal Pengurusan, 35
.
pp. 21-31.
ISSN 0127-2713
Ros Zam Zam Sopian, and Ruzita Abdul Rahim, and Othman Yong,
(2012)
Darjah terkurang harga, aktiviti penjualan semula dan tahap kecairan selepas pasaran saham TAA.
Jurnal Pengurusan, 34
.
pp. 29-43.
ISSN 0127-2713
Hawati Janor, and Ruzita Abdul Rahim, and Mohd Hasimi Yaacob, and Izani Ibrahim,
(2010)
Stock return and inflation with supply and demand shocks: evidence from Malaysia.
Jurnal Ekonomi Malaysia, 44
.
ISSN 0127-1962
Abu Hassan Shaari Md Nor, and Ruzita Abdul Rahim, and Hamizah Mohd, and Zaidi Isa, and Ugur Ergun,
(2010)
Modeling the relationship between KLCI and monetary
policy after the 1997 Asian financial crisis.
Jurnal Pengurusan, 30
.
ISSN 0127-2713
Ruzita Abdul Rahim, and Mohammed Zain Yusof, and Ros Zam Zam Sapian, and Hawati Janor,
(2008)
International transmission of stock market movement: evidence from the Islamic Equity Markets.
Jurnal Pengurusan, 27
.
pp. 49-68.
ISSN 0127-2713
Ruzita Abdul Rahim, and Abu Hassan Shhari Mohd. Nor,
(2007)
The role of illiquidity risk factor in asset pricing models: Malaysian evidence.
Jurnal Pengurusan, 26
.
pp. 67-97.
ISSN 0127-2713
This list was generated on Thu Nov 21 21:26:19 2024 MYT.