Lending Structure And Market Risk Exposures: The Malaysian Case
This study addresses the linkages between lending structure and market risk exposure. The influence of lending structure is analysed by four measures: the real estate lending, the specialisation index, the short-term lending stability, and the medium-term lending stability. Our findings show that...
| Main Author: | Abdul Rahman, Aisyah |
|---|---|
| Format: | Article |
| Language: | English |
| Published: |
Asian Academy of Management (AAM)
2009
|
| Subjects: | |
| Online Access: | http://eprints.usm.my/36405/ http://eprints.usm.my/36405/1/AAMJ_14.2.1.pdf |
Similar Items
Application Of Utaut2 On Peer To Peer (P2p) Lending Platform In Malaysia
by: Ramachandran, Lingeswary
Published: (2024)
by: Ramachandran, Lingeswary
Published: (2024)
The Components Of Systematic Risk And
Their Determinants In The Malaysian Equity
Market
by: Hooy , Chee Wooi, et al.
Published: (2015)
by: Hooy , Chee Wooi, et al.
Published: (2015)
A study of risk taking behavior in Malaysian stock market
by: Sahul Hamid, Fazelina
Published: (2007)
by: Sahul Hamid, Fazelina
Published: (2007)
The Low-Risk Anomaly: Evidence From The Thai
Stock Market
by: Saengchote, Kanis
Published: (2017)
by: Saengchote, Kanis
Published: (2017)
Effects Of Ownership Structure And Monitoring
Mechanisms On Earnings Quality And Market Assessment
by: Abdul Latiff, Radziah
Published: (2009)
by: Abdul Latiff, Radziah
Published: (2009)
Systematic risk of stock returns in Asian emerging markets:decomposition determinants.
by: Hooy , Chee Wooi
Published: (2014)
by: Hooy , Chee Wooi
Published: (2014)
The Roles Of Investor Sentiment In Malaysian
Stock Market
by: Tuyon, Jasman, et al.
Published: (2016)
by: Tuyon, Jasman, et al.
Published: (2016)
Alteration Of Risk In Asian Bond Markets
During And After Mortgage Crisis: Evidence
From Value At Risk (Var) Analysis
by: Günay, Samet
Published: (2016)
by: Günay, Samet
Published: (2016)
Strategic Marketing Practices Of High
Performing Malaysian Firms
by: Hassan, Faridah, et al.
Published: (1996)
by: Hassan, Faridah, et al.
Published: (1996)
Behavioural finance perspectives on Malaysian stock market efficiency
by: Tuyon, Jasman, et al.
Published: (2016)
by: Tuyon, Jasman, et al.
Published: (2016)
Communication Of Quantitative Information On Market Risk: An
Experimental Investigation Into The Effectiveness Of Alternative Methods Of Disclosure.
by: Yahya, Sofri, et al.
Published: (2004)
by: Yahya, Sofri, et al.
Published: (2004)
Bank Risk Taking Behaviour In Malaysia:
Role Of Board And Ownership Structure
by: Loh, Linda, et al.
Published: (2017)
by: Loh, Linda, et al.
Published: (2017)
Management Perceptions Of Share
Repurchases In Emerging Markets: The Case
For Malaysia
by: Lee , Siew Peng, et al.
Published: (2015)
by: Lee , Siew Peng, et al.
Published: (2015)
Adverse Selection And Moral Hazard Effects
In The Malaysian Mortgage Market.
by: Marashdeh, Omar
Published: (1996)
by: Marashdeh, Omar
Published: (1996)
Internal Marketing: Using Marketing-Like
Approaches To Build Business Competencies
And Improve Performance In Large
Malaysian Corporations
by: M. Saad, Norizan, et al.
Published: (2002)
by: M. Saad, Norizan, et al.
Published: (2002)
The Communication Of Quantitative
Information On Market Risk Using Graphics In
The Annual Reports Of Banks And Securities
Firms
by: Yaliya, Sofri, et al.
Published: (1999)
by: Yaliya, Sofri, et al.
Published: (1999)
Can Market Integration Explain Informational Efficiency Of Malaysian Listed Firms?
by: Tai, Kui Guan
Published: (2013)
by: Tai, Kui Guan
Published: (2013)
Lending structure and 3-factor CAPM risk exposures: the case of Malaysia
by: Aisyah Abdul Rahman,, et al.
Published: (2010)
by: Aisyah Abdul Rahman,, et al.
Published: (2010)
Capital Structure And Cost Of Capital: A Case Of Malaysia
by: Asl, Hossein Javadi
Published: (2008)
by: Asl, Hossein Javadi
Published: (2008)
Satisfaction Of Retail Investors On The
Structural Efficiency Of The Market: Evidence
From A Developing Country Context
by: Rashid, Mamunur, et al.
Published: (2009)
by: Rashid, Mamunur, et al.
Published: (2009)
Knowledge Management: A Case Of "Search
And Replace Marketing" Or An Emerging
Field Of Management
by: Ndubisi, Nelson Oly
Published: (2004)
by: Ndubisi, Nelson Oly
Published: (2004)
Financial Integration And International Asset Pricing Of Asean-5 Stock Markets: The Pricing Of Global, Regional And Currency Risk
by: Janor, Hawati
Published: (2009)
by: Janor, Hawati
Published: (2009)
The Role Of Volatility In Mediating The Impact Of Analyst’ Recommendations On Herding In The Malaysian Stock Market
by: Ooi, Kok Loang
Published: (2023)
by: Ooi, Kok Loang
Published: (2023)
International Risk And Entry Mode Strategy Of Malaysian Public Listed Companies.
by: Brian Tan, Guan Hooi
Published: (1997)
by: Brian Tan, Guan Hooi
Published: (1997)
Using Analytic Hierarchy Process To Develop
Hierarchy Structural Model Of Consumer
Decision Making In Digital Market
by: Singh, Depeesh Kumar, et al.
Published: (2016)
by: Singh, Depeesh Kumar, et al.
Published: (2016)
The Impacts Of Structure, Climate And Selfefficacy On Stress: A Malaysian Survey
by: Mohd. Nasurdin, Aizzat, et al.
Published: (2009)
by: Mohd. Nasurdin, Aizzat, et al.
Published: (2009)
Capital Structure Determinants: A Study Among The Malaysian Firms
by: Amri, Sina
Published: (2009)
by: Amri, Sina
Published: (2009)
Surplus Free Cash Flow, Stock Market
Segmentations, And Earnings
Management: The Case Of Jordan
by: Toumeh, Ahmad Adnan Hussein
Published: (2020)
by: Toumeh, Ahmad Adnan Hussein
Published: (2020)
Risk Management In Research And
Development (R&d) Projects: The Case Of
South Australia
by: Luppino, Ricky, et al.
Published: (2014)
by: Luppino, Ricky, et al.
Published: (2014)
Patterns Of Supplier Learning:
Case Studies In The Malaysian Automotive
Industry
by: Abdul Kadir, Kadzrina, et al.
Published: (2011)
by: Abdul Kadir, Kadzrina, et al.
Published: (2011)
Attitude towards exporting and perceived domestic market environmental forces : Malaysian managers' perspective
by: Munusamy, Jayaraman
Published: (2004)
by: Munusamy, Jayaraman
Published: (2004)
Global marketing activities exposure and consumption behavior
by: Akhoundi, M., et al.
Published: (2018)
by: Akhoundi, M., et al.
Published: (2018)
Receptiveness Of Internet Banking By
Malaysian Consumers: The Case Of Penang
by: T. Ramayah, T. Ramayah, et al.
Published: (2003)
by: T. Ramayah, T. Ramayah, et al.
Published: (2003)
Ownership Structure And Risk Disclosure: The Roles Of Chief Executive Officer (Ceo) Duality And Board Independence In Thailand Companies
by: Siriwan, Silarak
Published: (2023)
by: Siriwan, Silarak
Published: (2023)
The Management Of Conflict In Buyer-Seller
Relationships: A Case Study Of An Australian
Exporter In Asian And Us Markets
by: Freeman, Susan
Published: (2003)
by: Freeman, Susan
Published: (2003)
A Case Study On The Risk Management Model Of An Islamic Banking In Jaiz Bank: An Institutional Perspective
by: Tela, Umar Mohammed
Published: (2024)
by: Tela, Umar Mohammed
Published: (2024)
Structural Relationships Between Perceived
Risk And Consumers Unwillingness To Buy
Home Appliances Online With Moderation Of
Online Consumer Reviews
by: Ibrahim, Syarafina, et al.
Published: (2014)
by: Ibrahim, Syarafina, et al.
Published: (2014)
Corporate Governance, Ownership Structure
And Corporate Diversification: Evidence From
The Malaysian Listed Companies
by: Che Ahmad, Ayoib, et al.
Published: (2003)
by: Che Ahmad, Ayoib, et al.
Published: (2003)
Societal Marketing Orientation And Marketing Performance: The Mediating Role Of Key Market-Based Capabilities
And The Moderating Effect Of Institutional Context
by: Ibrahim Balal, Siddig Balal
Published: (2011)
by: Ibrahim Balal, Siddig Balal
Published: (2011)
Dealers’ Market Orientation And Brand Equity: The Mediating Effect Of Relationship Marketing
by: Ghani, Noor Hasmini Hj Abd
Published: (2011)
by: Ghani, Noor Hasmini Hj Abd
Published: (2011)
Similar Items
-
Application Of Utaut2 On Peer To Peer (P2p) Lending Platform In Malaysia
by: Ramachandran, Lingeswary
Published: (2024) -
The Components Of Systematic Risk And
Their Determinants In The Malaysian Equity
Market
by: Hooy , Chee Wooi, et al.
Published: (2015) -
A study of risk taking behavior in Malaysian stock market
by: Sahul Hamid, Fazelina
Published: (2007) -
The Low-Risk Anomaly: Evidence From The Thai
Stock Market
by: Saengchote, Kanis
Published: (2017) -
Effects Of Ownership Structure And Monitoring
Mechanisms On Earnings Quality And Market Assessment
by: Abdul Latiff, Radziah
Published: (2009)