共 50 条
- [21] Non-linear Market Behavior: Events Detection in the Malaysian Stock Market [J]. ECONOMICS BULLETIN, 2005, 7
- [24] MODELLING VOLATILITY OF MALAYSIAN STOCK MARKET USING GARCH MODELS [J]. 2015 INTERNATIONAL SYMPOSIUM ON MATHEMATICAL SCIENCES AND COMPUTING RESEARCH (ISMSC), 2015, : 447 - 452
- [26] Long Memory Features in Return and Volatility of the Malaysian Stock Market [J]. ECONOMICS BULLETIN, 2010, 30 (04): : 3267 - 3281
- [27] INTRA-SECTOR RETURN REVERSALS IN THE MALAYSIAN STOCK MARKET [J]. INTERNATIONAL JOURNAL OF BUSINESS AND SOCIETY, 2013, 14 (03): : 496 - 513
- [28] MISLEADING OR BENEFICIAL? ASSESSING THE EXPLOITATION POTENTIAL OF STOCK BUYBACK ANNOUNCEMENTS IN THE MALAYSIAN STOCK MARKET [J]. CASOPIS ZA EKONOMIJU I TRZISNE KOMUNIKACIJE, 2023, 13 (02): : 328 - 343
- [29] Volatility Persistence and Shock Absorption Capacity of the Malaysian Stock Market [J]. LEADERSHIP, INNOVATION AND ENTREPRENEURSHIP AS DRIVING FORCES OF THE GLOBAL ECONOMY, 2017, : 699 - 704
- [30] IMPACT OF THE GLOBAL FINANCIAL CRISIS ON THE VOLATILITY OF THE MALAYSIAN STOCK MARKET [J]. E-BUSINESS, MANAGEMENT AND ECONOMICS, 2011, 3 : 79 - 84