Investment Analysis & Portfolio Management
Selected Topics in Finance
Principles of Finance- Foundation
Financial Markets & Institutions
Capital Investment and Financing
Real Estate Principles
REAL ESTATE APPRAISAL
COOP IN FINANCE
Cases in Financial Management
Principles of Finance
Principles of Investment
Applied FINANCE Lab
Corporate Finance
Principles of INSURANCE
Multi-National Corp.(MNC) Finance
Financial Derivative Securities Valuation
MARA INSTITUTE OF TECKNOLOGY
SHAH ALAM , Malaysia
PENN STATE UNIVERSITY
HARRISBURG , United States of America
UNIVERSITY OF NEBRASKA
LINCOLN , United States of America
12/31/2003 - 12/1/2010
NATIONAL UNIVERSITY OF MALAYSIA
Bangi,Malaysia
12/2/2010 - 12/2/2014
Certified in Quantitative Risk Management
Economies 2024-09-01
Corruption’s Crossroads: Exploring Firm Performance and Auditors’ Role in Emerging Markets
Journal of Ecohumanism 2024-04-05
Herding in ASEAN Stock Markets and COVID-19
Journal of Infrastructure, Policy and Development 2024-01-01
Government ownership as a moderator between earnings management and firm performance: Insights from GCC countries
2024-01-01
Corporate Governance Dynamics in Saudi Arabia: Audit Committee Composition, Family Ownership, and Financial Performance
Journal of Islamic Accounting and Business Research 2023-04-17
The impact of COVID-19 pandemic on the volatility of conventional and Islamic stock indexes: a comparative study on ASEAN and GCC countries
Cogent Business and Management 2023-01-01
Moderation effects of multiple directorships on audit committee and firm performance: A middle eastern perspective
2023-01-01
Navigating the Future: Blockchain�s Impact on Accounting and Auditing Practices. Sustainability, 15 (24), 16887
Sustainability (Switzerland) 2021-06-01
Auditors, underwriters, and firm owners’ interaction in an ipo environment: The case of oecd nations
Heliyon 2021-01-01
Covid-19, Dow Jones and equity market movement in ASEAN-5 countries: evidence from wavelet analyses
Economies 2020-12-01
COVID-19, Government Response, and Market Volatility: Evidence from the Asia-Pacific Developed and Developing Markets
International Journal of Economics and Management 2020-01-01
Moderating effects of family business on audit committee diligence and firm performance: A middle eastern perspective
Review of Behavioral Finance 2018-01-01
Divergence of opinion and moderating effect of investors’ attentions in IPO market: Malaysian evidence
Jurnal Pengurusan 2017-09-01
Debt and financial performance of reits in Malaysia: A moderating effect of financial flexibility
Jurnal Ekonomi Malaysia 2017-01-01
Debt and financial performance of REITs in Malaysia: An optimal debt threshold analysis
Journal of Business Economics and Management 2013-12-30
Mean-drawdown risk behavior: drawdown risk and capital asset pricing
Jurnal Pengurusan 2013-12-01
Dynamic adjustment towards target capital structure: Thailand evidence
Decoupling Growth from Turbulence 2013-08-23
Capital structure of Southeast Asian firms
Global Business Review 2013-06-01
Factors Affecting Speed of Adjustment to Target Leverage: Malaysia Evidence
Contemporary Economics 2013-01-01
Evidence of dividend catering theory in Malaysia: Implications for investor sentiment
Journal of Islamic Accounting and Business Research 2012-09-21
Optimized drawdown risk in evaluating the performance of Malaysian mutual funds
Singapore Management Review 2011-12-01
Domestic and foreign influence on banks' lending activities: An analysis of the bank-centric views in Malaysia, Indonesia, and Thailand
Jurnal Pengurusan 2011-01-01
Monetary shock,uncovered interest parity deviation and current account: The influence of international pricing
International Research Journal of Finance and Economics 2010-05-01
Determinants influencing the choice of equity private placement
Jurnal Ekonomi Malaysia 2010-01-01
Stock returns and inflation with supply and demand shocks: Evidence from Malaysia
Jurnal Pengurusan 2010-01-01
Time-varying hedging using the State-Space model in the Malaysian equity market
The effects of concentrated ownership on the performance of the Firm: Do external shareholdings and board structure matter?
Corporate Ownership and Control 2008-01-01
Ownership monitoring mechanism and corporate performance: Evidence from banking firms in Asian emerging markets
Investment Management and Financial Innovations 2004-01-01
The lead-lag pattern of leading, coincident and lagging indicators in Malaysia
Journal of International Trade and Economic Development 2003-09-01
Export externalities and economic growth
Investment and Corporate Finance