Details about Mohamed Ariff
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Working Papers
2009
- IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo View citations (15)
Also in CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo (2008) View citations (2)
See also Journal Article IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia, Journal of Financial Services Research, Springer (2009) View citations (15) (2009)
- The Determinants of Bank Capital Ratios in a Developing Economy
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo View citations (14)
See also Journal Article The Determinants of Bank Capital Ratios in a Developing Economy, Asia-Pacific Financial Markets, Springer (2008) View citations (17) (2008)
2008
- DO ACCOUNTING AND FINANCE TOOLS SERVE GOVERNANCE?
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo View citations (1)
- DO ACCOUNTING DISCLOSURES OF FEE INCOME AFFECT COMMERCIAL BANK SHARE PRICES?
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo
- Factors Correlated with Equity Market Risk Premiums in Developed and Emerging Markets
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo
- How Capital Structure Adjusts Dynamically during Financial Crisis
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo View citations (9)
- On productivity performance gains of Indonesian firms
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo View citations (2)
- The Role of Non-Parity Fundamentals in Exchange Rate Determination: Australia and the Asia Pacific Region
CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo
1994
- A Multi-Country Study of Asia-Pacific Share Markets
Working Papers, Melbourne - Centre in Finance
- A Multi-Country Study of Asia-Pacific Share Markets: 1980- 1992
Working Papers, Tasmania - Department of Economics
- Testing Earnings Multiple Forecast Models in Singapore
Working Papers, RMIT - Centre Finance
Also in Working Papers, Melbourne - Centre in Finance (1994)
1993
- Are Government Linked IPO's Underpriced?
Working Papers, Melbourne - Centre in Finance
Journal Articles
2022
- Does implied volatility (or fear index) affect Islamic stock returns and conventional stock returns differently? Wavelet-based granger-causality, asymmetric quantile regression and NARDL approaches
Journal of International Financial Markets, Institutions and Money, 2022, 77, (C) View citations (8)
2021
- Monitoring exchange rate instability in 12 selected Islamic economies
Journal of Behavioral and Experimental Finance, 2021, 31, (C) View citations (1)
2019
- Audit quality and real earnings management: evidence from the UK manufacturing sector
International Journal of Managerial Finance, 2019, 16, (2), 165-181
- Does credit rating revision affect the price of a special class of common stock?
Borsa Istanbul Review, 2019, 19, (Supplement 1), 44-55
- Impact of Sovereign Debt Credit Rating Revision on Banking Industry: Evidence from G7 Countries
Journal of Central Banking Theory and Practice, 2019, 8, (2), 85-100 View citations (1)
- The impact of exchange rates on stock market returns: new evidence from seven free-floating currencies
The European Journal of Finance, 2019, 25, (14), 1277-1288 View citations (8)
2018
- ONE APPROACH TO RESOLVE THE EXCHANGE RATE PUZZLE: RESULTS USING DATA FROM THE UNITED KINGDOM AND THE UNITED STATES
The Singapore Economic Review (SER), 2018, 63, (05), 1367-1384
- Sustainable Development and Currency Exchange Rate Behavior
Asian Economic Papers, 2018, 17, (3), 148-173 View citations (3)
- Whither competition in Malaysia’s banking industryex posta restructuring
Journal of Economic Studies, 2018, 45, (2), 263-282
2017
- Determinants driving bank performance: A comparison of two types of banks in the OIC
Pacific-Basin Finance Journal, 2017, 42, (C), 193-203 View citations (30)
- Impact of seasoned equity and private placement disclosures on derivative prices: are the spot and option markets integrated?
International Journal of Bonds and Derivatives, 2017, 3, (1), 44-70
- Islamic Banking in Malaysia: The Changing Landscape
Institutions and Economies (formerly known as International Journal of Institutions and Economies), 2017, 9, (2), 1-13 View citations (1)
- Political connections, corporate governance, and tax aggressiveness in Malaysia
Asian Review of Accounting, 2017, 25, (3), 424-451 View citations (6)
- Significant Difference in the Yields of Sukuk Bonds versus Conventional Bonds
Journal of Emerging Market Finance, 2017, 16, (2), 115-135 View citations (6)
2016
- A test of the linkage among money supply, liquidity and share prices in Asia
Japan and the World Economy, 2016, 39, (C), 48-61 View citations (2)
- Exchange Rate Behavior of Canada, Japan, the United Kingdom and the United States
Open Economies Review, 2016, 27, (2), 341-357 View citations (3)
- Re-examination of price level differentials using economic freedom index
The Journal of International Trade & Economic Development, 2016, 25, (6), 880-896 View citations (1)
2015
- Appeal of Sukuk as a New Type of Financial Instrument نداء صكوك كنوع جديد من الأدوات المالية
Journal of King Abdulaziz University: Islamic Economics, 2015, 28, (2), 149-175 View citations (1)
- New evidence on the impact of fees on mutual fund performance of two types of funds
Journal of International Financial Markets, Institutions and Money, 2015, 35, (C), 102-115 View citations (27)
- Parity Theorems Revisited: An ARDL Bound Test with Non-Parity Factors
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2015, 11, (1), 1-26 View citations (1)
2014
- Does a firm's political connection to government have economic value?
Journal of the Asia Pacific Economy, 2014, 19, (1), 1-24
Also in Journal of the Asia Pacific Economy, 2013, 18, (3), 477-501 (2013) View citations (3)
2013
- Comment on “Industry-specific Real Effective Exchange Rates and Export Price Competitiveness: The Cases of Japan, China, and Korea”
Asian Economic Policy Review, 2013, 8, (2), 322-323 View citations (1)
- Do Debt Markets Price Sukuk and Conventional Bonds Differently? هل تُسَعِّر أسواق الدَّيْن الصكوك والسندات التقليدية بشكل مختلف؟
Journal of King Abdulaziz University: Islamic Economics, 2013, 26, (2), 113-149 View citations (6)
- Earnings response coefficients of OECD banks: Tests extended to include bank risk factors
Advances in accounting, 2013, 29, (1), 97-107 View citations (2)
- Introduction of the Single-Tier Corporate Tax System: Its Effect on Share Price
Capital Markets Review, 2013, 21, (1&2), 39-66
- Post-Keynesian money endogeneity evidence in G-7 economies
Journal of International Money and Finance, 2013, 33, (C), 146-162 View citations (19)
- Private placement, share prices, volume and financial crisis: An emerging market study
Global Finance Journal, 2013, 24, (3), 203-221 View citations (5)
2012
- EXOGENOUS OR ENDOGENOUS MONEY SUPPLY: EVIDENCE FROM AUSTRALIA
The Singapore Economic Review (SER), 2012, 57, (04), 1-12 View citations (4)
- Money supply, interest rate, liquidity and share prices: A test of their linkage
Global Finance Journal, 2012, 23, (3), 202-220 View citations (8)
- Panel data approach to identify factors correlated with equity market risk premiums in developed and emerging markets
Quantitative Finance, 2012, 12, (1), 107-118 View citations (3)
- Time to equilibrium in exchange rates: G-10 and Eastern European economies
Global Finance Journal, 2012, 23, (2), 94-107 View citations (4)
2011
- Money supply endogeneity and bank stock returns
Applied Financial Economics, 2011, 21, (14), 1035-1048 View citations (6)
- Sticky prices and time to equilibrium: evidence from Asia-Pacific trade-related economies
Applied Economics, 2011, 43, (21), 2851-2861 View citations (3)
2010
- What factors discriminate developed and emerging capital markets?
Applied Economics Letters, 2010, 17, (13), 1293-1298 View citations (2)
2009
- A Test of Purchasing Power Parity: Asia Pacific and Latin America
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2009, 5, (2), 33-53
- IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia
Journal of Financial Services Research, 2009, 35, (2), 167-187 View citations (15)
See also Working Paper IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia, CARF F-Series (2009) View citations (15) (2009)
- Money supply behaviour in emerging economies: a comparative analysis
Journal of the Asia Pacific Economy, 2009, 14, (4), 331-350 View citations (7)
- Performance of East Asian banking sectors under IMF-supported programs
Journal of the Asia Pacific Economy, 2009, 14, (1), 5-26 View citations (2)
- Privatization and performance: evidence from telecommunications sector
Journal of the Operational Research Society, 2009, 60, (10), 1315-1321 View citations (3)
2008
- COST, REVENUE, AND PROFIT EFFICIENCY OF ISLAMIC VERSUS CONVENTIONAL BANKS: INTERNATIONAL EVIDENCE USING DATA ENVELOPMENT ANALYSIS
Islamic Economic Studies, 2008, 15-2, 24-76 View citations (62)
- Comment on “Income Inequality in Malaysia”
Asian Economic Policy Review, 2008, 3, (1), 133-134
- Cost and profit efficiency of Chinese banks: A non-parametric analysis
China Economic Review, 2008, 19, (2), 260-273 View citations (140)
- Fundamentals of Exchange Rate Determination: Malaysia and the ASEAN Emerging Countries
Capital Markets Review, 2008, 16, (2), 1-23 View citations (1)
- The Determinants of Bank Capital Ratios in a Developing Economy
Asia-Pacific Financial Markets, 2008, 15, (3), 255-272 View citations (17)
See also Working Paper The Determinants of Bank Capital Ratios in a Developing Economy, CARF F-Series (2009) View citations (14) (2009)
2007
- Comment on “Japan's New Foreign Economic Policy: A Shift toward a Strategic and Activist Model?”
Asian Economic Policy Review, 2007, 2, (2), 246-248
- Factors Determining Mergers of Banks in Malaysia’s Banking Sector Reform
Multinational Finance Journal, 2007, 11, (1-2), 1-31 View citations (6)
- Stock Index Futures Prices and the Asian Financial Crisis*
International Review of Finance, 2007, 7, (3‐4), 119-141 View citations (3)
2006
- Short selling restrictions and market completeness: the Malaysian experience
Applied Financial Economics, 2006, 16, (5), 385-393 View citations (3)
- The Valuation Effects of Prime Rate Revisions: Is There an Advantage of Being First?*
International Review of Finance, 2006, 6, (3‐4), 177-194
2004
- ARE STOCK SPLITS CREDIBLE SIGNALS? EVIDENCE FROM THE SINGAPORE MARKET
The Singapore Economic Review (SER), 2004, 49, (02), 163-177 View citations (1)
2002
- The effect of interest rate volatility on treasury yields
Applied Financial Economics, 2002, 12, (9), 667-672 View citations (6)
2001
- Accounting Earnings And Share Revaluation: Further Exploration
Capital Markets Review, 2001, 9, (1&2), 21-48 View citations (1)
2000
- Auditor Switch Decision of Malaysian Listed Firms: Test of Determinants and Wealth Effect
Capital Markets Review, 2000, 8, (1&2), 1-23
1998
- An investigation into the extent of beta instability in the Singapore stock market
Pacific-Basin Finance Journal, 1998, 6, (1-2), 87-101 View citations (8)
- THE MALAYSIAN ECONOMIC EXPERIENCE AND ITS RELEVANCE FOR THE OIC MEMBER COUNTRIES
Islamic Economic Studies, 1998, 06-1, 1-41 View citations (4)
- The Effects of De-Regulation on Share-Market Efficiency in the Asia-Pacific
International Economic Journal, 1998, 12, (4), 23-47 View citations (10)
- The Role of Institutional Traders around Section Switches on the Tokyo Stock Exchange
Review of Pacific Basin Financial Markets and Policies (RPBFMP), 1998, 01, (02), 233-251
1997
- Compliance Costs of Corporate Income Taxation in Singapore
Journal of Business Finance & Accounting, 1997, 24, (9‐10), 1253-1268 View citations (5)
- THE ROLE OF THE MARKET IN THE ISLAMIC PARADIGM
IIUM Journal of Economics and Management, 1997, 5, (2 2Year: 1997), 97-107
1996
- The Nature and Extent of Beta Instability In the Kuala Lumpur Stock Market
Capital Markets Review, 1996, 4, (2), 1-14
1994
- Analysis of Underpricing in the Malaysian New Issues Market During 1975-1990: Are New Issues Excessively Underpriced?
Capital Markets Review, 1994, 2, (2), 17-28 View citations (5)
- Open regionalism a la ASEAN
Journal of Asian Economics, 1994, 5, (1), 99-117 View citations (7)
- The Accuracy of Profit Forecasts of Malaysian IPOs
Capital Markets Review, 1994, 2, (2), 49-70 View citations (6)
1989
- ISLAMIC BANKING IN MALAYSIA: FRAMEWORK, PERFORMANCE AND LESSONS
IIUM Journal of Economics and Management, 1989, 2, (2), 67-78
- TRIMs: a North-South Divide or a Non-issue?
The World Economy, 1989, 12, (3), 347-360 View citations (2)
1988
- ISLAMIC BANKING
Asian-Pacific Economic Literature, 1988, 2, (2), 48-64 View citations (1)
Books
2005
- Liberalization and Growth in Asia
Books, Edward Elgar Publishing View citations (19)
2000
- Liberalization, Growth and the Asian Financial Crisis
Books, Edward Elgar Publishing View citations (27)
Edited books
2017
- Islamic Wealth Management
Books, Edward Elgar Publishing
2014
- Risk and Regulation of Islamic Banking
Books, Edward Elgar Publishing View citations (4)
2012
- Regulatory Failure and the Global Financial Crisis
Books, Edward Elgar Publishing View citations (4)
- The Islamic Debt Market for Sukuk Securities
Books, Edward Elgar Publishing View citations (9)
2011
- The Foundations of Islamic Banking
Books, Edward Elgar Publishing View citations (15)
Chapters
2018
- Exchange rate instability: relative volatility, risk and adjustment speed
Chapter 4 in Research Handbook of Investing in the Triple Bottom Line, 2018, pp 75-92
2017
- Issues in waqf and zakat management
Chapter 21 in Islamic Wealth Management, 2017, pp 381-390
- Sovereign wealth funds and foreign exchange reserves as state wealth
Chapter 7 in Islamic Wealth Management, 2017, pp 105-125
- Sukuk as the Islamic debt market securities within Islamic finance
Chapter 11 in Islamic Wealth Management, 2017, pp 181-205
- Wealth as understood in economics and financ
Chapter 1 in Islamic Wealth Management, 2017, pp 3-12
- Wealth effect of sukuk issuance announcement in two markets
Chapter 13 in Islamic Wealth Management, 2017, pp 225-246
- Wealth management, its definition, purpose, structure and practices
Chapter 3 in Islamic Wealth Management, 2017, pp 25-52
2014
- A socio-economic profile of Muslim countries
Chapter 10 in Handbook on Islam and Economic Life, 2014, pp iii-iii View citations (1)
- Development needs of the Islamic banking industry
Chapter 17 in Risk and Regulation of Islamic Banking, 2014, pp 301-314
- Issues in the risk and regulation of Islamic banking
Chapter 1 in Risk and Regulation of Islamic Banking, 2014, pp 1-8
- Major Islamic banking products and markets: a preliminary analysis
Chapter 11 in Risk and Regulation of Islamic Banking, 2014, pp 179-205
- Similarities and differences in Islamic and conventional banking
Chapter 4 in Risk and Regulation of Islamic Banking, 2014, pp 55-70 View citations (1)
- The BRICS: Experiments with state capitalism and institutional investment
Chapter 9 in The Rise of the BRICS in the Global Political Economy, 2014, pp 142-161
2013
- The governance and regulation of sovereign wealth funds and foreign exchange reserves in a post-GFC world
Chapter 12 in Globalisation, the Global Financial Crisis and the State, 2013, pp 272-293
2012
- Introduction to Sukuk Islamic Debt Securities Markets
Chapter 1 in The Islamic Debt Market for Sukuk Securities, 2012
- Origination, Issuance, Marketing and Listing of Sukuk Securities
Chapter 12 in The Islamic Debt Market for Sukuk Securities, 2012
- Prospects and Challenges of Developing Sukuk Islamic Debt Markets Around the World
Chapter 14 in The Islamic Debt Market for Sukuk Securities, 2012
- Sukuk Securities, their Definitions, Classification and Pricing Issues
Chapter 2 in The Islamic Debt Market for Sukuk Securities, 2012 View citations (3)
- The Origin of the Global Financial Crisis: An Alternative View
Chapter 2 in Regulatory Failure and the Global Financial Crisis, 2012
- Timeline of Crisis and Introduction
Chapter 1 in Regulatory Failure and the Global Financial Crisis, 2012
2011
- Ethics-based Financial Transactions: An Assessment of Islamic Banking
Chapter 2 in The Foundations of Islamic Banking, 2011
- Introduction to Islamic Financial Institutions
Chapter 1 in The Foundations of Islamic Banking, 2011 View citations (37)
- Performance of Islamic Banks and Conventional Banks
Chapter 8 in The Foundations of Islamic Banking, 2011 View citations (1)
2009
- Malaysia
Chapter 5 in The Political Economy of Trade Reform in Emerging Markets, 2009
2008
- A Simple Guide to Islamic Banking and Finance
Chapter 11 in Handbook for Directors of Financial Institutions, 2008
2007
- Corporate Governance: The Case of Australian Banks
Chapter 10 in Corporate Governance in Banking, 2007
2001
- MALAYSIA – FINANCIAL CRISIS IN MALAYSIA
Chapter 9 in From Crisis To Recovery East Asia Rising Again?, 2001, pp 305-345 View citations (2)
1997
- EC-ASEAN Interaction and Collaboration in a Multilateral Framework: the Economic Aspects
Palgrave Macmillan
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