Regional financial markets : issues and policies /
Saved in:
Imprint: | Westport, Conn. : Praeger, 2004. |
---|---|
Description: | xiii, 318 p. ; 25 cm. |
Language: | English |
Subject: | |
Format: | Print Book |
URL for this record: | http://pi.lib.uchicago.edu/1001/cat/bib/5276503 |
Table of Contents:
- Foreword
- Acknowledgments
- Introduction
- 1. From Turbulence to Tranquility: Reform and Restructuring in Malaysia
- 2. Portfolio Investments in Australia: 1988-1997
- 3. The Level of Managerial Ownership, Leverage, and Dividend Policies: Hong Kong Evidence
- 4. Examining the Performance of the Malaysian Life Insurance Sector: Efficiency and Productivity Growth
- 5. Assessing Corporate Financial Distress in Malaysia
- 6. Cross-Sectional Predictability of Stock Returns at the Colombo Stock Exchange
- 7. Linking Commercial Bank Lending into Determinants of Price Level in Malaysia
- 8. Optimal Financial Structure: A Modigliani and Miller Dynamic Model for Mexican Corporations
- 9. Thai Capital Market Integration Using Relevant Assets
- 10. Intraday Systematic Patterns, Lead-Lag Relationships, and Pricing Efficiency: Evidence from the Kuala Lumpur Composite Index Futures
- 11. The 1997-98 Asian Financial Crisis, Corporate Restructuring, and Earnings Per Share of Listed Companies
- 12. The National Economic Recovery Plan: Perception of Financial Market
- 13. Cost Efficiency and Economies of Scale in Asian Banking
- 14. Factors Influencing Capital Structure in Three Asian Countries: Japan, Malaysia, and Pakistan
- Index
- About the Editors and Contributors