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While various board governance mechanisms, such as board independence, expertise, diversity, and committee structures, play a crucial role in overseeing and guiding bank operations, the extent of their impact on liquidity creation as the preeminent function of the GCC banking sector remains...
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The paper aims to examine the significant relationship amongst institutional stockholdings and firms' performance as measured by ROA, ROE, PE, EPS and capital structure as measured by long term debt to capital ratio of companies listed on the Main Board of Bursa Malaysia. The results show that...
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The growing importance of board diversity among directors has been established as a result of global financial crisis in 2008. According to the Malaysian Code of Corporate Governance 2012, nominating committee shall be responsible to select directors with diverse background that meet the needs...
Persistent link: https://www.econbiz.de/10012965762
The growing need for construction of all types coupled with a tight monetary supply has provided the construction industry with a big challenge to cut cost. According to Mendelson and Greenfield (1996) the remaining part of the twentieth century would involve corporations, institutions and...
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Objective – The purpose of this study is to construct a business failure classification model that may be reliably applied to companies in the manufacturing sector. The model will be used to improve the predictive abilities for companies with different financial, business and operating...
Persistent link: https://www.econbiz.de/10012948414
Objective – The purpose of this paper is to observe the volatile movement of the US dollar (‘USD') and its impact on the Malaysian stock market.Methodology/Technique – This study would look at how the USD had progressed and how it delivers a significant effect on the Malaysian stock...
Persistent link: https://www.econbiz.de/10012948457
Objectives – This research seeks to identify the relationship between dividend policy and share price volatility.Methodology/Technique – This study uses both regression and correlation analysis, with price volatility, dividend yield, and dividend pay-out ratio as control factors. The study...
Persistent link: https://www.econbiz.de/10012948458