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Details about Mohamed Ariff

E-mail:
Phone:+6564447622
Postal address:57 Jalan Bangsawan, Singapore 457823
Workplace:Business School, Sunway University, (more information at EDIRC)

Access statistics for papers by Mohamed Ariff.

Last updated 2022-07-25. Update your information in the RePEc Author Service.

Short-id: par327


Jump to Journal Articles Books Edited books Chapters

Working Papers

2009

  1. 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 Downloads View citations (15)
    Also in CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo (2008) Downloads View citations (2)

    See also Journal Article IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia, Journal of Financial Services Research, Springer (2009) Downloads View citations (15) (2009)
  2. 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 Downloads View citations (14)
    See also Journal Article The Determinants of Bank Capital Ratios in a Developing Economy, Asia-Pacific Financial Markets, Springer (2008) Downloads View citations (17) (2008)

2008

  1. DO ACCOUNTING AND FINANCE TOOLS SERVE GOVERNANCE?
    CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo Downloads View citations (1)
  2. 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 Downloads
  3. 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 Downloads
  4. How Capital Structure Adjusts Dynamically during Financial Crisis
    CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo Downloads View citations (9)
  5. On productivity performance gains of Indonesian firms
    CARF F-Series, Center for Advanced Research in Finance, Faculty of Economics, The University of Tokyo Downloads View citations (2)
  6. 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 Downloads

1994

  1. A Multi-Country Study of Asia-Pacific Share Markets
    Working Papers, Melbourne - Centre in Finance
  2. A Multi-Country Study of Asia-Pacific Share Markets: 1980- 1992
    Working Papers, Tasmania - Department of Economics
  3. Testing Earnings Multiple Forecast Models in Singapore
    Working Papers, RMIT - Centre Finance
    Also in Working Papers, Melbourne - Centre in Finance (1994)

1993

  1. Are Government Linked IPO's Underpriced?
    Working Papers, Melbourne - Centre in Finance

Journal Articles

2022

  1. 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) Downloads View citations (8)

2021

  1. Monitoring exchange rate instability in 12 selected Islamic economies
    Journal of Behavioral and Experimental Finance, 2021, 31, (C) Downloads View citations (1)

2019

  1. Audit quality and real earnings management: evidence from the UK manufacturing sector
    International Journal of Managerial Finance, 2019, 16, (2), 165-181 Downloads
  2. Does credit rating revision affect the price of a special class of common stock?
    Borsa Istanbul Review, 2019, 19, (Supplement 1), 44-55 Downloads
  3. 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 Downloads View citations (1)
  4. 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 Downloads View citations (8)

2018

  1. 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 Downloads
  2. Sustainable Development and Currency Exchange Rate Behavior
    Asian Economic Papers, 2018, 17, (3), 148-173 Downloads View citations (3)
  3. Whither competition in Malaysia’s banking industryex posta restructuring
    Journal of Economic Studies, 2018, 45, (2), 263-282 Downloads

2017

  1. Determinants driving bank performance: A comparison of two types of banks in the OIC
    Pacific-Basin Finance Journal, 2017, 42, (C), 193-203 Downloads View citations (30)
  2. 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 Downloads
  3. Islamic Banking in Malaysia: The Changing Landscape
    Institutions and Economies (formerly known as International Journal of Institutions and Economies), 2017, 9, (2), 1-13 Downloads View citations (1)
  4. Political connections, corporate governance, and tax aggressiveness in Malaysia
    Asian Review of Accounting, 2017, 25, (3), 424-451 Downloads View citations (6)
  5. Significant Difference in the Yields of Sukuk Bonds versus Conventional Bonds
    Journal of Emerging Market Finance, 2017, 16, (2), 115-135 Downloads View citations (6)

2016

  1. A test of the linkage among money supply, liquidity and share prices in Asia
    Japan and the World Economy, 2016, 39, (C), 48-61 Downloads View citations (2)
  2. Exchange Rate Behavior of Canada, Japan, the United Kingdom and the United States
    Open Economies Review, 2016, 27, (2), 341-357 Downloads View citations (3)
  3. Re-examination of price level differentials using economic freedom index
    The Journal of International Trade & Economic Development, 2016, 25, (6), 880-896 Downloads View citations (1)

2015

  1. 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 Downloads View citations (1)
  2. 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 Downloads View citations (27)
  3. 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 Downloads View citations (1)

2014

  1. Does a firm's political connection to government have economic value?
    Journal of the Asia Pacific Economy, 2014, 19, (1), 1-24 Downloads
    Also in Journal of the Asia Pacific Economy, 2013, 18, (3), 477-501 (2013) Downloads View citations (3)

2013

  1. 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 Downloads View citations (1)
  2. 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 Downloads View citations (6)
  3. Earnings response coefficients of OECD banks: Tests extended to include bank risk factors
    Advances in accounting, 2013, 29, (1), 97-107 Downloads View citations (2)
  4. Introduction of the Single-Tier Corporate Tax System: Its Effect on Share Price
    Capital Markets Review, 2013, 21, (1&2), 39-66 Downloads
  5. Post-Keynesian money endogeneity evidence in G-7 economies
    Journal of International Money and Finance, 2013, 33, (C), 146-162 Downloads View citations (19)
  6. Private placement, share prices, volume and financial crisis: An emerging market study
    Global Finance Journal, 2013, 24, (3), 203-221 Downloads View citations (5)

2012

  1. EXOGENOUS OR ENDOGENOUS MONEY SUPPLY: EVIDENCE FROM AUSTRALIA
    The Singapore Economic Review (SER), 2012, 57, (04), 1-12 Downloads View citations (4)
  2. Money supply, interest rate, liquidity and share prices: A test of their linkage
    Global Finance Journal, 2012, 23, (3), 202-220 Downloads View citations (8)
  3. Panel data approach to identify factors correlated with equity market risk premiums in developed and emerging markets
    Quantitative Finance, 2012, 12, (1), 107-118 Downloads View citations (3)
  4. Time to equilibrium in exchange rates: G-10 and Eastern European economies
    Global Finance Journal, 2012, 23, (2), 94-107 Downloads View citations (4)

2011

  1. Money supply endogeneity and bank stock returns
    Applied Financial Economics, 2011, 21, (14), 1035-1048 Downloads View citations (6)
  2. Sticky prices and time to equilibrium: evidence from Asia-Pacific trade-related economies
    Applied Economics, 2011, 43, (21), 2851-2861 Downloads View citations (3)

2010

  1. What factors discriminate developed and emerging capital markets?
    Applied Economics Letters, 2010, 17, (13), 1293-1298 Downloads View citations (2)

2009

  1. 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 Downloads
  2. IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia
    Journal of Financial Services Research, 2009, 35, (2), 167-187 Downloads View citations (15)
    See also Working Paper IMF Bank-Restructuring Efficiency Outcomes: Evidence from East Asia, CARF F-Series (2009) Downloads View citations (15) (2009)
  3. Money supply behaviour in emerging economies: a comparative analysis
    Journal of the Asia Pacific Economy, 2009, 14, (4), 331-350 Downloads View citations (7)
  4. Performance of East Asian banking sectors under IMF-supported programs
    Journal of the Asia Pacific Economy, 2009, 14, (1), 5-26 Downloads View citations (2)
  5. Privatization and performance: evidence from telecommunications sector
    Journal of the Operational Research Society, 2009, 60, (10), 1315-1321 Downloads View citations (3)

2008

  1. COST, REVENUE, AND PROFIT EFFICIENCY OF ISLAMIC VERSUS CONVENTIONAL BANKS: INTERNATIONAL EVIDENCE USING DATA ENVELOPMENT ANALYSIS
    Islamic Economic Studies, 2008, 15-2, 24-76 Downloads View citations (62)
  2. Comment on “Income Inequality in Malaysia”
    Asian Economic Policy Review, 2008, 3, (1), 133-134 Downloads
  3. Cost and profit efficiency of Chinese banks: A non-parametric analysis
    China Economic Review, 2008, 19, (2), 260-273 Downloads View citations (140)
  4. Fundamentals of Exchange Rate Determination: Malaysia and the ASEAN Emerging Countries
    Capital Markets Review, 2008, 16, (2), 1-23 Downloads View citations (1)
  5. The Determinants of Bank Capital Ratios in a Developing Economy
    Asia-Pacific Financial Markets, 2008, 15, (3), 255-272 Downloads View citations (17)
    See also Working Paper The Determinants of Bank Capital Ratios in a Developing Economy, CARF F-Series (2009) Downloads View citations (14) (2009)

2007

  1. 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 Downloads
  2. Factors Determining Mergers of Banks in Malaysia’s Banking Sector Reform
    Multinational Finance Journal, 2007, 11, (1-2), 1-31 Downloads View citations (6)
  3. Stock Index Futures Prices and the Asian Financial Crisis*
    International Review of Finance, 2007, 7, (3‐4), 119-141 Downloads View citations (3)

2006

  1. Short selling restrictions and market completeness: the Malaysian experience
    Applied Financial Economics, 2006, 16, (5), 385-393 Downloads View citations (3)
  2. The Valuation Effects of Prime Rate Revisions: Is There an Advantage of Being First?*
    International Review of Finance, 2006, 6, (3‐4), 177-194 Downloads

2004

  1. ARE STOCK SPLITS CREDIBLE SIGNALS? EVIDENCE FROM THE SINGAPORE MARKET
    The Singapore Economic Review (SER), 2004, 49, (02), 163-177 Downloads View citations (1)

2002

  1. The effect of interest rate volatility on treasury yields
    Applied Financial Economics, 2002, 12, (9), 667-672 Downloads View citations (6)

2001

  1. Accounting Earnings And Share Revaluation: Further Exploration
    Capital Markets Review, 2001, 9, (1&2), 21-48 Downloads View citations (1)

2000

  1. Auditor Switch Decision of Malaysian Listed Firms: Test of Determinants and Wealth Effect
    Capital Markets Review, 2000, 8, (1&2), 1-23 Downloads

1998

  1. An investigation into the extent of beta instability in the Singapore stock market
    Pacific-Basin Finance Journal, 1998, 6, (1-2), 87-101 Downloads View citations (8)
  2. THE MALAYSIAN ECONOMIC EXPERIENCE AND ITS RELEVANCE FOR THE OIC MEMBER COUNTRIES
    Islamic Economic Studies, 1998, 06-1, 1-41 Downloads View citations (4)
  3. The Effects of De-Regulation on Share-Market Efficiency in the Asia-Pacific
    International Economic Journal, 1998, 12, (4), 23-47 Downloads View citations (10)
  4. 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 Downloads

1997

  1. Compliance Costs of Corporate Income Taxation in Singapore
    Journal of Business Finance & Accounting, 1997, 24, (9‐10), 1253-1268 Downloads View citations (5)
  2. THE ROLE OF THE MARKET IN THE ISLAMIC PARADIGM
    IIUM Journal of Economics and Management, 1997, 5, (2 2Year: 1997), 97-107 Downloads

1996

  1. The Nature and Extent of Beta Instability In the Kuala Lumpur Stock Market
    Capital Markets Review, 1996, 4, (2), 1-14 Downloads

1994

  1. 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 Downloads View citations (5)
  2. Open regionalism a la ASEAN
    Journal of Asian Economics, 1994, 5, (1), 99-117 Downloads View citations (7)
  3. The Accuracy of Profit Forecasts of Malaysian IPOs
    Capital Markets Review, 1994, 2, (2), 49-70 Downloads View citations (6)

1989

  1. ISLAMIC BANKING IN MALAYSIA: FRAMEWORK, PERFORMANCE AND LESSONS
    IIUM Journal of Economics and Management, 1989, 2, (2), 67-78 Downloads
  2. TRIMs: a North-South Divide or a Non-issue?
    The World Economy, 1989, 12, (3), 347-360 Downloads View citations (2)

1988

  1. ISLAMIC BANKING
    Asian-Pacific Economic Literature, 1988, 2, (2), 48-64 Downloads View citations (1)

Books

2005

  1. Liberalization and Growth in Asia
    Books, Edward Elgar Publishing Downloads View citations (19)

2000

  1. Liberalization, Growth and the Asian Financial Crisis
    Books, Edward Elgar Publishing Downloads View citations (27)

Edited books

2017

  1. Islamic Wealth Management
    Books, Edward Elgar Publishing Downloads

2014

  1. Risk and Regulation of Islamic Banking
    Books, Edward Elgar Publishing Downloads View citations (4)

2012

  1. Regulatory Failure and the Global Financial Crisis
    Books, Edward Elgar Publishing Downloads View citations (4)
  2. The Islamic Debt Market for Sukuk Securities
    Books, Edward Elgar Publishing Downloads View citations (9)

2011

  1. The Foundations of Islamic Banking
    Books, Edward Elgar Publishing Downloads View citations (15)

Chapters

2018

  1. 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 Downloads

2017

  1. Issues in waqf and zakat management
    Chapter 21 in Islamic Wealth Management, 2017, pp 381-390 Downloads
  2. Sovereign wealth funds and foreign exchange reserves as state wealth
    Chapter 7 in Islamic Wealth Management, 2017, pp 105-125 Downloads
  3. Sukuk as the Islamic debt market securities within Islamic finance
    Chapter 11 in Islamic Wealth Management, 2017, pp 181-205 Downloads
  4. Wealth as understood in economics and financ
    Chapter 1 in Islamic Wealth Management, 2017, pp 3-12 Downloads
  5. Wealth effect of sukuk issuance announcement in two markets
    Chapter 13 in Islamic Wealth Management, 2017, pp 225-246 Downloads
  6. Wealth management, its definition, purpose, structure and practices
    Chapter 3 in Islamic Wealth Management, 2017, pp 25-52 Downloads

2014

  1. A socio-economic profile of Muslim countries
    Chapter 10 in Handbook on Islam and Economic Life, 2014, pp iii-iii Downloads View citations (1)
  2. Development needs of the Islamic banking industry
    Chapter 17 in Risk and Regulation of Islamic Banking, 2014, pp 301-314 Downloads
  3. Issues in the risk and regulation of Islamic banking
    Chapter 1 in Risk and Regulation of Islamic Banking, 2014, pp 1-8 Downloads
  4. Major Islamic banking products and markets: a preliminary analysis
    Chapter 11 in Risk and Regulation of Islamic Banking, 2014, pp 179-205 Downloads
  5. Similarities and differences in Islamic and conventional banking
    Chapter 4 in Risk and Regulation of Islamic Banking, 2014, pp 55-70 Downloads View citations (1)
  6. 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 Downloads

2013

  1. 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 Downloads

2012

  1. Introduction to Sukuk Islamic Debt Securities Markets
    Chapter 1 in The Islamic Debt Market for Sukuk Securities, 2012 Downloads
  2. Origination, Issuance, Marketing and Listing of Sukuk Securities
    Chapter 12 in The Islamic Debt Market for Sukuk Securities, 2012 Downloads
  3. Prospects and Challenges of Developing Sukuk Islamic Debt Markets Around the World
    Chapter 14 in The Islamic Debt Market for Sukuk Securities, 2012 Downloads
  4. Sukuk Securities, their Definitions, Classification and Pricing Issues
    Chapter 2 in The Islamic Debt Market for Sukuk Securities, 2012 Downloads View citations (3)
  5. The Origin of the Global Financial Crisis: An Alternative View
    Chapter 2 in Regulatory Failure and the Global Financial Crisis, 2012 Downloads
  6. Timeline of Crisis and Introduction
    Chapter 1 in Regulatory Failure and the Global Financial Crisis, 2012 Downloads

2011

  1. Ethics-based Financial Transactions: An Assessment of Islamic Banking
    Chapter 2 in The Foundations of Islamic Banking, 2011 Downloads
  2. Introduction to Islamic Financial Institutions
    Chapter 1 in The Foundations of Islamic Banking, 2011 Downloads View citations (37)
  3. Performance of Islamic Banks and Conventional Banks
    Chapter 8 in The Foundations of Islamic Banking, 2011 Downloads View citations (1)

2009

  1. Malaysia
    Chapter 5 in The Political Economy of Trade Reform in Emerging Markets, 2009 Downloads

2008

  1. A Simple Guide to Islamic Banking and Finance
    Chapter 11 in Handbook for Directors of Financial Institutions, 2008 Downloads

2007

  1. Corporate Governance: The Case of Australian Banks
    Chapter 10 in Corporate Governance in Banking, 2007 Downloads

2001

  1. MALAYSIA – FINANCIAL CRISIS IN MALAYSIA
    Chapter 9 in From Crisis To Recovery East Asia Rising Again?, 2001, pp 305-345 Downloads View citations (2)

1997

  1. EC-ASEAN Interaction and Collaboration in a Multilateral Framework: the Economic Aspects
    Palgrave Macmillan
 
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