Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry

Objective – Even though the unit trust industry witnessed high growth in portfolios size, performances and regulations, however, there is still insufficient understanding of various aspects of the industry such as the lack of information on the funds’ unit price behavior and their trend in the long-...

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Main Authors: Othman, Anwar Hasan Abdullah, Mydin Meera, Ahamed Kameel, Abd. Aziz, Hassanuddeen
Format: Article
Language:English
Published: Global Academy of Training & Research (GATR) Enterprise 2013
Subjects:
Online Access:http://irep.iium.edu.my/67699/
http://irep.iium.edu.my/67699/1/67699%20-%20Relationship%20between%20Macroeconomic%20Variables.pdf
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author Othman, Anwar Hasan Abdullah
Mydin Meera, Ahamed Kameel
Abd. Aziz, Hassanuddeen
author_facet Othman, Anwar Hasan Abdullah
Mydin Meera, Ahamed Kameel
Abd. Aziz, Hassanuddeen
author_sort Othman, Anwar Hasan Abdullah
building IIUM Repository
collection Online Access
description Objective – Even though the unit trust industry witnessed high growth in portfolios size, performances and regulations, however, there is still insufficient understanding of various aspects of the industry such as the lack of information on the funds’ unit price behavior and their trend in the long-term investment. This study, therefore, aims to investigate the long- run relationship between the chosen macroeconomic factors and the NAV of the Islamic equity unit trust funds as well as the effect of the (2007-2008) global financial crisis on the performance of Islamic equity unit trust funds and their unit prices. Methodology/Technique – The study utilized Vector Autoregression (VAR) framework in order to analyze this relationship over the period January 2006 to December 2012 using monthly data. Findings – The findings of the investigations confirmed that the selected macro-economic variables do share long-run relationship with the NAV of the Islamic equity unit trust funds in the Malaysian capital market. Novelty – A successful innovation of the relationship between the funds NAV and the selected macroeconomic variables will assist the entire interested group, such as, investors, management of the funds, government agencies, industry players and policy makers to estimate the future trend direction of the NAV and accordingly decide on the operational, managerial, and sustainable growth decisions.
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spelling iium-676992018-12-06T08:41:42Z http://irep.iium.edu.my/67699/ Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry Othman, Anwar Hasan Abdullah Mydin Meera, Ahamed Kameel Abd. Aziz, Hassanuddeen HG4501 Stocks, investment, speculation Objective – Even though the unit trust industry witnessed high growth in portfolios size, performances and regulations, however, there is still insufficient understanding of various aspects of the industry such as the lack of information on the funds’ unit price behavior and their trend in the long-term investment. This study, therefore, aims to investigate the long- run relationship between the chosen macroeconomic factors and the NAV of the Islamic equity unit trust funds as well as the effect of the (2007-2008) global financial crisis on the performance of Islamic equity unit trust funds and their unit prices. Methodology/Technique – The study utilized Vector Autoregression (VAR) framework in order to analyze this relationship over the period January 2006 to December 2012 using monthly data. Findings – The findings of the investigations confirmed that the selected macro-economic variables do share long-run relationship with the NAV of the Islamic equity unit trust funds in the Malaysian capital market. Novelty – A successful innovation of the relationship between the funds NAV and the selected macroeconomic variables will assist the entire interested group, such as, investors, management of the funds, government agencies, industry players and policy makers to estimate the future trend direction of the NAV and accordingly decide on the operational, managerial, and sustainable growth decisions. Global Academy of Training & Research (GATR) Enterprise 2013-08-27 Article PeerReviewed application/pdf en http://irep.iium.edu.my/67699/1/67699%20-%20Relationship%20between%20Macroeconomic%20Variables.pdf 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 https://papers.ssrn.com/sol3/papers.cfm?abstract_id=3000882
spellingShingle HG4501 Stocks, investment, speculation
Othman, Anwar Hasan Abdullah
Mydin Meera, Ahamed Kameel
Abd. Aziz, Hassanuddeen
Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title_full Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title_fullStr Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title_full_unstemmed Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title_short Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
title_sort relationship between macroeconomic variables and net asset value (nav) of islamic equity unit trust funds: cointegration evidence from malaysian unit trust industry
topic HG4501 Stocks, investment, speculation
url http://irep.iium.edu.my/67699/
http://irep.iium.edu.my/67699/
http://irep.iium.edu.my/67699/1/67699%20-%20Relationship%20between%20Macroeconomic%20Variables.pdf