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Risk and return nexus in Malaysian stock market : empirical evidence from CAPM
Md. Isa, Abu Hassan, (2015)
Impacts of global-economic-policy uncertainty on emerging stock market : evidence from linear and non-linear models
Mohammad Enamul Hoque, (2020)
Analysis of stock markets risk spillover with copula models under the background of Chinese financial opening
Du, Jiangze, (2023)
Nexus between oil price and stock performance of power industry in Malaysia
Puah, Chin-Hong, (2020)
Leadership styles and financial services performance
Lo May Chiun, (2014)