Skip to content
VuFind
Advanced
  • The effect of government polic...
  • Cite this
  • Print
  • Export Record
    • Export to RefWorks
    • Export to EndNoteWeb
    • Export to EndNote
Export Ready — 
The effect of government policy on stock market return in Malaysia
QR Code

The effect of government policy on stock market return in Malaysia

Bibliographic Details
Main Authors: Wu, Chia Ping, Woo, Kevin Beng Siew, Tan, Soo Wei, Teoh, Ching Ching, Tio, Shin Ying
Format: Final Year Project / Dissertation / Thesis
Published: 2014
Subjects:
HG Finance
Online Access:http://eprints.utar.edu.my/1264/
http://eprints.utar.edu.my/1264/1/FN%2D2014%2D1107206.pdf
  • Holdings
  • Description
  • Similar Items
  • Staff View

Internet

http://eprints.utar.edu.my/1264/
http://eprints.utar.edu.my/1264/1/FN%2D2014%2D1107206.pdf

Similar Items

  • Oil price volatility and macroeconomic factors influence stock market return: A study in Malaysia
    by: Chen, Si Ying, et al.
    Published: (2014)
  • The impact of economic policy uncertainty and oil market uncertainty on Malaysian stock market returns: a comparison between EPU in the United States and China
    by: Cheong, Ying Ying, et al.
    Published: (2019)
  • COVID 19: the impact of government policy responses on economic activity and stock market performance in Malaysia
    by: Keh, Chia-Guan, et al.
    Published: (2021)
  • Stock Return Volatility and the Determinants: An Empirical Study of the US Market
    by: Hsu, Chia-Luan
    Published: (2009)
  • Environmental, Social, and Governance (ESG) Profiles, Stock Returns, and Financial Policy: Australian Evidence
    by: Limkriangkrai, M., et al.
    Published: (2016)

Search Options

  • Advanced Search

Find More

  • Browse the Catalog

Need Help?

  • Search Tips