Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin

This paper has shown the tested results on the significance of mean difference in earnings manipulation, free cash flow, leverage, as well financial distress between Malaysia, Thailand and Indonesia. Study on overall data amounting 582 samples from Bursa Malaysia (Malaysia), Stock Exchange of Thaila...

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Main Author: Jamaludin, Zakiyyah
Format: Student Project
Language:English
Published: Faculty of Business and Management 2018
Subjects:
Online Access:https://ir.uitm.edu.my/id/eprint/28124/
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author Jamaludin, Zakiyyah
author_facet Jamaludin, Zakiyyah
author_sort Jamaludin, Zakiyyah
building UiTM Institutional Repository
collection Online Access
description This paper has shown the tested results on the significance of mean difference in earnings manipulation, free cash flow, leverage, as well financial distress between Malaysia, Thailand and Indonesia. Study on overall data amounting 582 samples from Bursa Malaysia (Malaysia), Stock Exchange of Thailand (SET) for Thailand, and also Indonesia Stock Exchange (Indonesian: Bursa Efek Indonesia) on annual basis commencing from 2015 to 2017. The purpose of this study was whether to determine the significance of variables towards discretionary accruals (earnings manipulation) within the countries shown results from past studies can be proposed for a new regulation that focuses more towards reducing the earning manipulation within the firm, as results might be helpful for firms in the near future. Moreover, to better off identify within three countries which firrns wholly manipulates earnings more than the other. The method to be used in this study; ordinary least square, also known as OSL that further testify on descriptive statisticis as well as one-way analysis of variance (ANOVA). With the methods used, dully some areas can be minimized the sum of square error that might have in the data and portray a better result for users to understand. As the sum of squares are being minimalize, the result will have a better correlation between the countries.
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format Student Project
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institution Universiti Teknologi MARA
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publishDate 2018
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spelling uitm-281242020-03-09T06:35:50Z https://ir.uitm.edu.my/id/eprint/28124/ Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin Jamaludin, Zakiyyah Risk management. Risk in industry. Operational risk This paper has shown the tested results on the significance of mean difference in earnings manipulation, free cash flow, leverage, as well financial distress between Malaysia, Thailand and Indonesia. Study on overall data amounting 582 samples from Bursa Malaysia (Malaysia), Stock Exchange of Thailand (SET) for Thailand, and also Indonesia Stock Exchange (Indonesian: Bursa Efek Indonesia) on annual basis commencing from 2015 to 2017. The purpose of this study was whether to determine the significance of variables towards discretionary accruals (earnings manipulation) within the countries shown results from past studies can be proposed for a new regulation that focuses more towards reducing the earning manipulation within the firm, as results might be helpful for firms in the near future. Moreover, to better off identify within three countries which firrns wholly manipulates earnings more than the other. The method to be used in this study; ordinary least square, also known as OSL that further testify on descriptive statisticis as well as one-way analysis of variance (ANOVA). With the methods used, dully some areas can be minimized the sum of square error that might have in the data and portray a better result for users to understand. As the sum of squares are being minimalize, the result will have a better correlation between the countries. Faculty of Business and Management 2018 Student Project NonPeerReviewed text en https://ir.uitm.edu.my/id/eprint/28124/1/PPb_ZAKIYYAH%20JAMALUDDIN%20BM%20J%2018_5.pdf Jamaludin, Zakiyyah (2018) Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin. (2018) [Student Project] (Unpublished)
spellingShingle Risk management. Risk in industry. Operational risk
Jamaludin, Zakiyyah
Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title_full Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title_fullStr Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title_full_unstemmed Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title_short Monitoring financial risk and earnings manipulation across Malaysia, Thailand and Indonesia / Zakiyyah Jamaludin
title_sort monitoring financial risk and earnings manipulation across malaysia, thailand and indonesia / zakiyyah jamaludin
topic Risk management. Risk in industry. Operational risk
url https://ir.uitm.edu.my/id/eprint/28124/