Search Results - "Pre-Crisis"

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    Impact of Changes in Macroeconomic Factors of Stock Price Performance: A Comparative Analysis of Pre Crisis And Crisis Periods by Ali, Norli

    Published 2001
    “…Similar approaches were also employed for pre-crisis period, January 1 987 to December 1 996. …”
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    Seasonal anomalies of stocks in ASEAN equity markets by Kok, Kim Lian, Wong, Yoke Chen *

    Published 2004
    “…While the pattern of daily anomalies in Thailand during the post-crisis period reverts to that of the pre-crisis period, the other four markets exhibit different patterns of daily anomalies compared to the pre-crisis period. …”
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    Assessing the impact of financial crisis on bank performance: empirical evidence from Indonesia by Sufian, Fadzlan, Habibullah, Muzafar Shah

    Published 2010
    “…During the period under study, Indonesian banks seem to have been skimping on their resources, particularly during the pre-crisis and crisis periods. The impact of economic growth and banking sector concentration are positive during the pre-crisis and crisis periods. …”
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    Assessing the impact of financial crisis on bank performance: empirical evidence from Indonesia by Sufian, Fadzlan, Habibullah, Muzafar Shah

    Published 2010
    “…During the period under study, Indonesian banks seem to have been skimping on their resources, particularly during the pre-crisis and crisis periods. The impact of economic growth and banking sector concentration are positive during the pre-crisis and crisis periods. …”
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    Current account: mean-reverting or random walk behavior? by Lau, Evan, Ahmad Zubaidi, Baharumshah, Chan, Tze Haw

    Published 2006
    “…We split the full sample period into two sub-periods of the pre-crisis (1976Q1–1996Q4) and post-crisis (1997Q1–2001Q4) eras. …”
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    Performance of the companies taken over by danaharta before and during the financial crisis by Norsalina, binti Hj Salim

    Published 2002
    “…This study covers a period of more than 15 years, encompassing four sub-peri of pre-crisis I, during crisis I, pre crisis II and during II experienced by the country. …”
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    Relationship between stock return and financial ratios: evidence from Malaysia by Ang, Hui Mei

    Published 2015
    “…The results of this study show that book-to-market ratio can be used to explain future stocks returns in full sample period, pre-crisis, during crisis and post crisis whereas dividend yield portray weak explanatory power in pre-crisis only. …”
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    Asian financial integration during the pre-and post crisis periods. by Mohamed, Azali, Lee, Chin

    Published 2009
    “…The results of cointegration analysis showed that the currencies are not cointegrated during the pre-crisis period. Evidence of cointegration was found among a few Asian currencies in the crisis and post-crisis periods. …”
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    The Impact of Asian Financial Crisis on Bank: Empirical Evidence from Thailand and Malaysia by Sufian, Fadzlan, Habibullah, Muzafar Shah

    Published 2009
    “…We find that the Thailand banking sector has been relatively more profitable during the pre-crisis period, while the opposite is true for the Malaysian banking sector.…”
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    ASEAN-5 countries stock market integration : Pre and post Asian 1997 Financial crisis by Huang, David Tiong Ung

    Published 2012
    “…The rationale of this study is to determine whether the investor can have more benefit through international portfolio diversification within the region during pre-crisis and post-cris~The empirical results suggest that the five stock markets are only co integrated after crisis but not in pre-crisis. …”
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    MEAN AND VOLATILITY SPILLOVER ANALYSIS AS A PROXY FOR BRIC INTEGRATION by Samuel, Andrews

    Published 2014
    “…While the changes between the pre-crisis and post-crisis period of volatility spillovers provided mixed results…”
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    Hungernomics: explaining food trade sustainability by Evan, Lau, SNZ, Hamzah, SA, Sallih, MA, Arip

    Published 2013
    “…We examined the sample period of the pre-1997 crisis (1961-1996) and the full sample period (1961-2007) to investigate disparities for pre- crisis sample. Analysis was carried out using standard econometric procedure and Dynamic OLS estimation for the annual observations of the two sample period. …”
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    ASEAN financial market integration - a rainbow on the horizon? by Chung, Tin Fah, Syed Mohamed, Mohamed Ariff

    Published 2015
    “…Pairwise correlation of money-market rates appear to have increased from 8 (pre-crisis) to 15 (post-crisis) significantly. The multivariate co-integration test suggests the presence of at least two cointegrating equations (pre-crisis and post-crisis) in the money and stock markets of the ASEAN region.…”
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    The information content of non-current assets / Zaleha Abdul Shukor by Abdul Shukor, Zaleha

    Published 2007
    “…Pre-crisis period cover years before 1997 and post-crisis period cover years after 1998. …”
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    Determinants of bank profitability in developed and developing countries before and during the crisis by Latisevs, Jevgenijs

    Published 2011
    “…To evaluate the impact of the recent global financial crisis, the sample data was split into two periods: the period from 2002 to 2006, the pre-crisis period; and the period from 2007 to 2010, the crisis period. …”
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    How does monetary policy affect economic vulnerability to oil price shock as against US economy shock? by Razmi, Fatemeh, Mohamed, Azali, Lee, Chin, Habibullah, Muzafar Shah

    Published 2017
    “…The results of post-crisis period indicate a significant increase in the positive impact of monetary policy on channels of monetary transmission channels compared to the pre-crisis period. However, these economies continue to remain vulnerable to oil price shocks.…”
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    Market integration and international portfolio diversification from Malaysian perspective / Surianor Binti Kamaralzaman by Surianor, Kamaralzaman

    Published 2011
    “…There is less bidirectional relationships between the developed markets and the Malaysian market during the pre crisis and crisis period, as compared to the post crisis period. …”
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    An Empirical Investigation Examining the Target Capital Structure of US Firms by Lin, Tong

    Published 2011
    “…But there is evidence that there is significant difference between the target capital structure adjustment between pre-crisis period and post-crisis period. Although several limitations exist, the findings here could have implications for firms considering their capital structure decisions between debt and equity financing. …”
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