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Regional Financial Markets: Issues and Policies [Hardback]

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  • Formāts: Hardback, 336 pages, 1 Hardback
  • Izdošanas datums: 30-Jun-2004
  • Izdevniecība: Praeger Publishers Inc
  • ISBN-10: 1567205739
  • ISBN-13: 9781567205732
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  • Cena: 74,22 €
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  • Formāts: Hardback, 336 pages, 1 Hardback
  • Izdošanas datums: 30-Jun-2004
  • Izdevniecība: Praeger Publishers Inc
  • ISBN-10: 1567205739
  • ISBN-13: 9781567205732
Citas grāmatas par šo tēmu:
Top banking and finance scholars from the East and West bring their expertise to bear on the regional economic reform issues raised by the Asian financial crisis of the late 1990s.

Top financial scholars from around the world analyze regional economic issues in light of the recent Asian financial crisis. As a result of that crisis, and the ensuing reforms, corporations, governments, individual investors have pursued a variety of strategies to cope with the fast-changing economic situation. Each chapter treats a separate issue and offers policy recommendations. Among the theoretical and empirical analyses collected here are those relating to nonperforming loans, economic restructuring, bank forecasting, prediction of corporate failure, Islamic banking issues, new measurement of systematic risk of delisted stocks resuming trading operations, and the lead-lag relationship and pricing efficiency of regional stock exchanges.

Papildus informācija

Top banking and finance scholars from the East and West bring their expertise to bear on the regional economic reform issues raised by the Asian financial crisis of the late 1990s.
Foreword by Ahmad Fawzi b. Mohd Basri vii
Acknowledgments ix
Introduction by Dilip K. Ghosh xi
1 From Turbulence to Tranquility: Reform and Restructuring in Malaysia
1(12)
Dilip K. Ghosh
2 Portfolio Investments in Australia: 1988-1997
13(20)
W. Leong and J. Wickramanayake
3 The Level of Managerial Ownership, Leverage, and Dividend Policies: Hong Kong Evidence
33(18)
Rohit Jain and Kam-wah Lai
4 Examining the Performance of the Malaysian Life Insurance Sector: Efficiency and Productivity Growth
51(22)
Alias Radam and Shazali Abu Mansor
5 Assessing Corporate Financial Distress in Malaysia
73(22)
M.S. Zulkarnain and M. Shamsher
6 Cross-Sectional Predictability of Stock Returns at the Colombo Stock Exchange
95(22)
Elyas Elyasiani, Priyal Perera, and Tribhuvan N. Puri
7 Linking Commercial Bank Lending into Determinants of Price Level in Malaysia
117(20)
Tuck Cheong Tang
8 Optimal Financial Structure: A Modigliani and Miller Dynamic Model for Mexican Corporations
137(20)
Edgar Ortiz and Jonathan Torres
9 Thai Capital Market Integration Using Relevant Assets
157(24)
Pornanong Budsaratragoon and Sunti Tirapat
10 Intraday Systematic Patterns, Lead-Lag Relationships, and Pricing Efficiency: Evidence from the Kuala Lumpur Composite Index Futures 181(42)
Fauzias Mat Nor and Tea Lee Choo
11 The 1997-98 Asian Financial Crisis, Corporate Restructuring, and Earnings Per Share of Listed Companies 223(24)
Zainal A. Mohamed, Haim H. Abdullah, and Ahmad Yakob
12 The National Economic Recovery Plan: Perception of Financial Market 247(18)
Nasruddin Zainudin, Nor Hayati Ahmad, Engku Ngah Engku Chik, Nik Kamariah Nik Mat, and Che Ani Mad
13 Cost Efficiency and Economies of Scale in Asian Banking 265(18)
Mohd Zaini Abd Karim
14 Factors Influencing Capital Structure in Three Asian Countries: Japan, Malaysia, and Pakistan 283(20)
Mansor Isa and Mohamad Mahrnud
Index 303(12)
About the Editors and Contributors 315
DILIP K. GHOSH is Professor of Finance at Rutgers University in New Jersey and serves as Kuala Lumpur Stock Exchange Chair Professor of Finance at Universiti Utara, Malaysia. He is also the editor of the International Journal of Finance.





MOHAMED ARIFF is Professor of Finance at Monash University in Australia and Bumiputra-Commerce Bank Chair in Banking and Finance at Universiti Utara, Malaysia.