Investment Analysis & Portfolio Management
Selected Topics in Finance
Principles of Finance- Foundation
Financial Markets & Institutions
Capital Investment and Financing
Real Estate Principles
Cases in Financial Management
Principles of Finance
Principles of Insurance
Principles of Investment
Applied Finance Lab
Corporate Finance
Multi-National Corp.(MNC) Finance
Real Estate Appraisal
Cooperative Training
Financial Derivative Securities Valuation
Fixed Income 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
Sustainability (Switzerland) 2024-12-01
Financial Sustainability Through Literacy and Retirement Preparedness
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