Does top managers’ skills moderate the debt-stock returns relationship in Malaysia?
Traditional theorists recognize that stockholders benefit from top managers’ decisions; but, top managers’ skills are not explicitly analysed in their theoretical model. This article examines the moderating effects of top managers’ skills on the debt-stock return relationship. The two-step system ge...
| Main Authors: | Matemilola, Bolaji Tunde, Amin Noordin, Bany Ariffin, Wan Ngah, Wan Azman Saini |
|---|---|
| Format: | Article |
| Language: | English |
| Published: |
Universiti Malaysia Sarawak
2019
|
| Online Access: | http://psasir.upm.edu.my/id/eprint/79438/ http://psasir.upm.edu.my/id/eprint/79438/1/Does%20top%20managers%E2%80%99%20skills%20moderate%20the%20debt-stock%20returns%20relationship%20in%20Malaysia.pdf |
Similar Items
Impact of leverage and managerial skills on shareholders' return
by: Tunde, Matemilola Bolaji, et al.
Published: (2013)
by: Tunde, Matemilola Bolaji, et al.
Published: (2013)
Non-linearity in debt and return relationship: evidence from dynamic panel threshold method
by: Matemilola, Bolaji Tunde, et al.
Published: (2016)
by: Matemilola, Bolaji Tunde, et al.
Published: (2016)
Does top managers experience affect firms capital structure?
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
Interaction effects of country-level governance quality and debt on stock returns in developing nations
by: Matemilola, Bolaji Tunde, et al.
Published: (2018)
by: Matemilola, Bolaji Tunde, et al.
Published: (2018)
Financial constraints, firms' investment and debt financing effect in a developing nation.
by: Matemilola, Bolaji, et al.
Published: (2013)
by: Matemilola, Bolaji, et al.
Published: (2013)
Moderating effects of governance quality on the relationship between stock liquidity and dividend in emerging market countries
by: Mohd Ashari Bakri,, et al.
Published: (2019)
by: Mohd Ashari Bakri,, et al.
Published: (2019)
Impact of institutional quality on firms' debt maturity in developing nations
by: Matemilola, Bolaji Tunde, et al.
Published: (2023)
by: Matemilola, Bolaji Tunde, et al.
Published: (2023)
Can China’s cross-sectional dispersion of stock returns Cause or influence the herding behaviour of traders in other local markets and China’s trading partners?
by: Chong, Oiping, et al.
Published: (2020)
by: Chong, Oiping, et al.
Published: (2020)
Moderating effects of governance quality on the relationship between stock liquidity and dividend in emerging market countries
by: Bakri, Mohd Ashari, et al.
Published: (2019)
by: Bakri, Mohd Ashari, et al.
Published: (2019)
Interaction impact of cash flow volatility and fixed assets on debt maturity structure in MENA and African countries
by: Naser, Abdulrahman, et al.
Published: (2024)
by: Naser, Abdulrahman, et al.
Published: (2024)
Impact of long-term debt maturity and corporate social responsibility on default probability in developing countries
by: Badayi, Suleiman Ahmed, et al.
Published: (2020)
by: Badayi, Suleiman Ahmed, et al.
Published: (2020)
Relationship among capital structure, managerial ability, firm age and shareholders return in Malaysia
by: Matemilola, Bolaji Tunde
Published: (2015)
by: Matemilola, Bolaji Tunde
Published: (2015)
Unobservable effects and speed of adjustment to target capital structure
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
Pecking order theory of capital structure: empirical evidence from dynamic panel data
by: Tunde, Matemilola Bolaji, et al.
Published: (2011)
by: Tunde, Matemilola Bolaji, et al.
Published: (2011)
Does environmental Kuznets curve hypothesis exist? evidence from dynamic panel threshold
by: Sirag, Abdalla, et al.
Published: (2018)
by: Sirag, Abdalla, et al.
Published: (2018)
Debt financing and importance of fixed assets and goodwill assets as collateral: dynamic panel evidence
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
Top management characteristics and firm's international diversification activities: evidence from a developing nation
by: Amin Noordin, Bany Ariffin, et al.
Published: (2014)
by: Amin Noordin, Bany Ariffin, et al.
Published: (2014)
Working capital management and corporate profitability: the moderating role of foreign ownership
by: Zhou, Siyu, et al.
Published: (2025)
by: Zhou, Siyu, et al.
Published: (2025)
Cash flow volatility and capital structure in MENA and Africa: the moderating role of fixed assets
by: Naser, Abdulrahamn, et al.
Published: (2024)
by: Naser, Abdulrahamn, et al.
Published: (2024)
Impact of goodwill on firms capital structure in developed and developing countries: moderating effects of legal system
by: Thakur, Oli Ahad, et al.
Published: (2023)
by: Thakur, Oli Ahad, et al.
Published: (2023)
Impact of central bank policy on bank lending rate: developing nations evidence
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
Innovation's influence on working capital management and profitability: a Chinese high-tech manufacturing perspective
by: Zhou, Siyu, et al.
Published: (2024)
by: Zhou, Siyu, et al.
Published: (2024)
Does external debt contribute to Malaysia economic growth?
by: Mohd Daud, Siti Nurazira, et al.
Published: (2013)
by: Mohd Daud, Siti Nurazira, et al.
Published: (2013)
International diversification and firm's value: evidence from developing nations
by: Amin Noordin, Bany Ariffin, et al.
Published: (2016)
by: Amin Noordin, Bany Ariffin, et al.
Published: (2016)
The impact of monetary policy on bank lending rate in South Africa
by: Tunde, Matemilola Bolaji, et al.
Published: (2015)
by: Tunde, Matemilola Bolaji, et al.
Published: (2015)
International diversification and multinational firms' risk: do locations of investments matter?
by: Harjito, Agus, et al.
Published: (2018)
by: Harjito, Agus, et al.
Published: (2018)
Corporate debt maturity structure: the role of firm level and institutional determinants in selected African countries
by: Etudaiye-Muhtar, Oyebola Fatima, et al.
Published: (2017)
by: Etudaiye-Muhtar, Oyebola Fatima, et al.
Published: (2017)
Debt and cash flow relationship in pecking order theory of corporate financing: dynamic panel evidence
by: Matemilola, B. T., et al.
Published: (2014)
by: Matemilola, B. T., et al.
Published: (2014)
Does stock market liberalization cause higher volatility in the Bursa Malaysia?
by: Law, Siong Hook, et al.
Published: (2008)
by: Law, Siong Hook, et al.
Published: (2008)
The impact of debt restructuring on debt maturity, cost of capital and cash holding of non-financial institutions in developing countries: a conceptual framework
by: Alfawzan, Loulwah Suliman, et al.
Published: (2023)
by: Alfawzan, Loulwah Suliman, et al.
Published: (2023)
Impact of Capital Structure on the Performance of Nigerian Banks
by: Tunde, Matemilola Bolaji
Published: (2007)
by: Tunde, Matemilola Bolaji
Published: (2007)
Validity of pecking order and trade-off theories in explaining capital structure of listed firms in South Africa
by: Tunde, Matemilola Bolaji
Published: (2012)
by: Tunde, Matemilola Bolaji
Published: (2012)
Financial inclusion and companies' default risk
by: Tunde, Matemilola Bolaji
Published: (2024)
by: Tunde, Matemilola Bolaji
Published: (2024)
The moderating effect of firm age on capital structure choices: evidence from emerging markets
by: Matemilola, Bolaji Tunde, et al.
Published: (2024)
by: Matemilola, Bolaji Tunde, et al.
Published: (2024)
Enhancing stock volatility prediction with the AO-GARCH-MIDAS model
by: Liu, Ting, et al.
Published: (2024)
by: Liu, Ting, et al.
Published: (2024)
Debt maturity and stock returns: an inter-sectoral comparison of Malaysian firms
by: Lau, Wei Theng, et al.
Published: (2016)
by: Lau, Wei Theng, et al.
Published: (2016)
Debt Maturity And Stock Returns:
An Inter-Sectoral Comparison Of
Malaysian Firms
by: Wei, Theng Lau, et al.
Published: (2016)
by: Wei, Theng Lau, et al.
Published: (2016)
Herding behavior and the information effect of firm’s ownership
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
by: Mohd Nasarudin, Ahmad Fawwaz, et al.
Published: (2017)
Impact of goodwill on firms’ capital structure in developing countries
by: Thakur, Oli Ahad, et al.
Published: (2020)
by: Thakur, Oli Ahad, et al.
Published: (2020)
Islamic bond announcement: The relationship between Islamic debt characteristics and stock return
by: Fauzi, Fitriya, et al.
Published: (2015)
by: Fauzi, Fitriya, et al.
Published: (2015)
Similar Items
-
Impact of leverage and managerial skills on shareholders' return
by: Tunde, Matemilola Bolaji, et al.
Published: (2013) -
Non-linearity in debt and return relationship: evidence from dynamic panel threshold method
by: Matemilola, Bolaji Tunde, et al.
Published: (2016) -
Does top managers experience affect firms capital structure?
by: Tunde, Matemilola Bolaji, et al.
Published: (2018) -
Interaction effects of country-level governance quality and debt on stock returns in developing nations
by: Matemilola, Bolaji Tunde, et al.
Published: (2018) -
Financial constraints, firms' investment and debt financing effect in a developing nation.
by: Matemilola, Bolaji, et al.
Published: (2013)