Corporate governance and financial performance: Empirical evidence from public listed construction companies in Malaysia
This study examines the relationship between corporate governance structures and financial performance, focusing on construction companies listed on Bursa Malaysia. We apply a multiple regression analysis on data collected from annual reports of the companies for the years of 2009 and 2012. The corp...
| Main Authors: | Noordin, Nazrul Hazizi, Kassim, Salina |
|---|---|
| Format: | Article |
| Language: | English English |
| Published: |
Inderscience Publishers
2017
|
| Subjects: | |
| Online Access: | http://irep.iium.edu.my/60127/ http://irep.iium.edu.my/60127/1/009%20Hazizi%20IJAMS.pdf http://irep.iium.edu.my/60127/7/60127-Corporate%20governance%20and%20financial%20performance-SCOPUS.pdf |
Similar Items
Economic forces and Islamic stock market: Empirical evidences from Malaysia
by: Mustafa, Siti Aisyah, et al.
Published: (2017)
by: Mustafa, Siti Aisyah, et al.
Published: (2017)
The 2007 global financial crisis and the Malaysian
stock market: a sectoral analysis
by: Kassim, Salina, et al.
Published: (2011)
by: Kassim, Salina, et al.
Published: (2011)
Is there a diversification “cost” of shari’ah compliance?
empirical evidence from Malaysian equities
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2014)
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2014)
Identification of macroeconomic determinants for diversification and investment strategy for Islamic unit trust funds in Malaysia
by: Othman, Anwar Hasan Abdullah, et al.
Published: (2018)
by: Othman, Anwar Hasan Abdullah, et al.
Published: (2018)
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)
by: Abd. Majid, M. Shabri, et al.
Published: (2016)
Diversification in conventional and Islamic stock indices: evidence from Multivariate-GARCH analysis
by: Saiti, Buerhan, et al.
Published: (2017)
by: Saiti, Buerhan, et al.
Published: (2017)
Does Islamic equity investment provide diversification benefits to conventional investors? Evidence from the multivariate GARCH analysis
by: Saiti, Buerhan, et al.
Published: (2018)
by: Saiti, Buerhan, et al.
Published: (2018)
The diversification benefits within Islamic investments: evidence from MGARCH-DCC approach
by: Saiti, Buerhan, et al.
Published: (2016)
by: Saiti, Buerhan, et al.
Published: (2016)
Do 'Sin Stocks' deprive Islamic stock portfolios of diversification? Some insights from the Use of MGARCH-DCC
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2012)
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2012)
Issue in Islamic equities: a literature survey
by: Masih, Mansur, et al.
Published: (2018)
by: Masih, Mansur, et al.
Published: (2018)
Do sin stocks deprive Islamic stock portfolios of diversification? some insights from the use of MGARCH-DCC
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2012)
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2012)
Does the Malaysian sovereign sukuk market offer portfolio diversification opportunities for global fixed-income investors? Evidence from wavelet coherence and multivariate-GARCH analyses
by: Bhuiyan, Rubaiyat Ahsan, et al.
Published: (2019)
by: Bhuiyan, Rubaiyat Ahsan, et al.
Published: (2019)
Innovation in Sukuk market: the case of Abu Dhabi perpetual Sukuk
by: Hasan, Aznan, et al.
Published: (2013)
by: Hasan, Aznan, et al.
Published: (2013)
An empirical investigation of fund managers’ religiosity level during investment decisions
by: Jaiyeoba, Haruna Babatunde, et al.
Published: (2017)
by: Jaiyeoba, Haruna Babatunde, et al.
Published: (2017)
Islamic equity market
by: Mustaffa Kamil, Nazrol Kamil
Published: (2012)
by: Mustaffa Kamil, Nazrol Kamil
Published: (2012)
Growth and value effect on Jakarta Islamic Index: analysis towards performance of Sharia equity mutual fund
by: Rusmita, Sylva Alif, et al.
Published: (2019)
by: Rusmita, Sylva Alif, et al.
Published: (2019)
Corporate governance and insider trading: evidence from Malaysia
by: Ahmad Kamal, Siti Aisyah, et al.
Published: (2018)
by: Ahmad Kamal, Siti Aisyah, et al.
Published: (2018)
Does financial cooperation agreement improve the
cointegration among ASEAN+3 money markets?
by: Rahman, Md. Saifur, et al.
Published: (2017)
by: Rahman, Md. Saifur, et al.
Published: (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
by: Othman, Anwar Hasan Abdullah, et al.
Published: (2017)
by: Othman, Anwar Hasan Abdullah, et al.
Published: (2017)
Factors influencing the excess returns of Sukuk: an empirical analysis on USD denominated Sukuk issued by corporations in the Gulf Cooperation Council Countries (GCC)
by: Rahman, Maya Puspa, et al.
Published: (2015)
by: Rahman, Maya Puspa, et al.
Published: (2015)
Islamic structured investment: an example and critical analysis
by: Mustaffa Kamil, Nazrol Kamil
Published: (2019)
by: Mustaffa Kamil, Nazrol Kamil
Published: (2019)
Investigation of herding behavior in developed and developing countries: Does country governance factor matters?
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
Investigation of herding behaviour in developed and
developing countries: does country governance factor
matters?
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
Data envelopment analysis of efficiency of real estate investment trusts in Singapore
by: Mohamad, Azhar
Published: (2017)
by: Mohamad, Azhar
Published: (2017)
Magnet effect of price limits: evidence from Bursa Malaysia
by: Mohammad Sifat, Imtiaz, et al.
Published: (2017)
by: Mohammad Sifat, Imtiaz, et al.
Published: (2017)
Effect of crude oil spot and futures price volatility on South
East Asia Islamic equity market
by: Quadry, Mahmud Oluwaseyi, et al.
Published: (2016)
by: Quadry, Mahmud Oluwaseyi, et al.
Published: (2016)
Estimating constant and time varying hedge ratios of Crude palm Oil futures (CPO) Contracts in Malaysia
by: Islam, Mohd Aminul
Published: (2016)
by: Islam, Mohd Aminul
Published: (2016)
Constant & time-varying hedge ratio for FBMKLCI stock index futures
by: Islam, Mohd Aminul
Published: (2016)
by: Islam, Mohd Aminul
Published: (2016)
Malaysian stock index futures market hedging effectiveness:
symmetric and asymmetric model
by: Haron, Razali, et al.
Published: (2019)
by: Haron, Razali, et al.
Published: (2019)
Dynamic linkages among ASEAN-5 emerging stock markets
by: Abd. Majid, M. Shabri, et al.
Published: (2009)
by: Abd. Majid, M. Shabri, et al.
Published: (2009)
Malaysian Islamic capital market : regulatory and legal scaffold altercations in the legal 'Thick" jungle.
by: Hassan, Rusni, et al.
Published: (2011)
by: Hassan, Rusni, et al.
Published: (2011)
Examination of the AAOIFI pronouncement on Sukuk Issuance and its implication on the Future Sukuk structure in the islamic capital market in Malaysia.
by: Mohammed Idris, Umar, et al.
Published: (2011)
by: Mohammed Idris, Umar, et al.
Published: (2011)
BBFD4103 Financial derivatives
by: Saiti, Buerhan
Published: (2016)
by: Saiti, Buerhan
Published: (2016)
An empirical test of implied volatility in Singaporean structured warrants
by: Samsudin, Najmi Ismail Murad, et al.
Published: (2018)
by: Samsudin, Najmi Ismail Murad, et al.
Published: (2018)
Modelling the conditional variance and asymmetric response to past shocks in the Malaysian bond market
by: Rahman, Maya Puspa, et al.
Published: (2015)
by: Rahman, Maya Puspa, et al.
Published: (2015)
Impact of inclusion into and exclusion from the Shariah index on a stock price and Trading Volume: Event study approach
by: Kassim, Nawal Seif, et al.
Published: (2017)
by: Kassim, Nawal Seif, et al.
Published: (2017)
Empirical study of herding behavior impacts on South Asia Nation
by: Alom, Shahedin, et al.
Published: (2019)
by: Alom, Shahedin, et al.
Published: (2019)
Financial integration between Indonesia and its major trading partners
by: Abdul Karim, Bakri, et al.
Published: (2009)
by: Abdul Karim, Bakri, et al.
Published: (2009)
Islamic versus conventional stock market indices performance: empirical evidence from Turkey
by: Bayram, Kamola, et al.
Published: (2019)
by: Bayram, Kamola, et al.
Published: (2019)
An analysis of financial speculation: from the Maqasid Al-Shari'ah perspective
by: Rafikov, Ildus, et al.
Published: (2017)
by: Rafikov, Ildus, et al.
Published: (2017)
Similar Items
-
Economic forces and Islamic stock market: Empirical evidences from Malaysia
by: Mustafa, Siti Aisyah, et al.
Published: (2017) -
The 2007 global financial crisis and the Malaysian
stock market: a sectoral analysis
by: Kassim, Salina, et al.
Published: (2011) -
Is there a diversification “cost” of shari’ah compliance?
empirical evidence from Malaysian equities
by: Mustaffa Kamil, Nazrol Kamil, et al.
Published: (2014) -
Identification of macroeconomic determinants for diversification and investment strategy for Islamic unit trust funds in Malaysia
by: Othman, Anwar Hasan Abdullah, et al.
Published: (2018) -
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)