PUBLICATION
2024:
Moderating role of managerial optimism on the relationship between macroeconomic uncertainty and capital structure decisions
2023:
Impact of goodwill on firms capital structure in developed and developing countries: moderating effects of legal system
2023:
Impact of institutional quality on firms’ debt maturity in developing nations
2022:
Impact of goodwill on capital structure and the moderating role of investors' education
2022:
Technical Efficiency of Firms, A Comparison Study for Family and NonFamily-Owned Businesses in Southeast Asian Countries
2022:
The Impact of IPO Attributes, Firm-Level Characteristics and Ownership on Malaysian IPO Firms’ Earnings Management
2021:
Evidence from Multiple Countries: Does Investment into Internal Corporate Social Responsibility Improve Firm Efficiency?
2021:
Bank mergers and acquisitions in emerging markets: evidence from the Middle East and the North Africa region
2020:
Can China’s Cross-Sectional Dispersion of Stock Returns Cause or Influence the Herding Behaviour of Traders in Other Local Markets and China’s Trading Partners?
2019:
Test Statistics with Event-Induced Variance: Evidence from Stock Dividend
2019:
Impact of institutional quality on the capital structure of firms in developing countries
2019:
Moderating Effects of Governance Quality on the Relationship between Stock Liquidity and Dividend in Emerging Market Countries
2019:
Does directors’ experience positively moderate the impact of board busyness on firm efficiency? Evidence from Asia-Pacific
2019:
Does Leverage Constrain Real and AEM Around IPO Corporate Event? Evidence from the Emerging Market
2017:
HERDING BEHAVIOR AND THE INFORMATION EFFECT OF FIRM'S OWNERSHIP
2017:
ASSESSING THE EFFECT OF MERGERS AND ACQUISITIONS ON BANKS PRICE EFFICIENCY : EVIDENCE FROM BANKING SECTORS IN MIDDLE EAST & NORTH AFRICA (MENA) REGION
2017:
Does environmental Kuznets curve hypothesis exist? Evidence from dynamic panel threshold
2017:
Moderating Effects of Firm Age on the Relationship between Debt and Stock Returns
2016:
International Diversification and Firm's Value: Evidence From Developing Nation
2016:
Macroeconomic factors and firm?s cross-border merger and acquisitions
2016:
Non-linearity in Debt and Return Relationship: Evidence from Dynamic Panel Threshold Method
2016:
Does Country Legal Origin Influence Impact of Public Debt on Economic Growth of Developing Countries?
2016:
The impact of banking concentration on firm leverage in emerging markets
2015:
UNOBSERVABLE EFFECTS AND SPEED OF ADJUSTMENT TO TARGET CAPITAL STRUCTURE
2014:
Debt and Cash Flow Relationship in Pecking Order Theory of Corporate Financing : Dynamic panel Evidence
2014:
Top Management Characteristics And Firm's International Diversification Activities: Evidence From A Developing Nation
2013:
Price Efficiency and Returns to Scale of Banking Sector in Gulf Cooperative Council Countries: Empirical evidence from Islamic and Conventional Banks
2013:
Derivatives Trading and Volatility Spill-Over: Evidence from a Developing Derivatives MArket
2012:
Financial Leverage and Shareholder?s Required Returns: Evidence from South Africa Corporate Sector
2010:
Pyramidal Structure Firm Structure Exploitation And Ultimate Owners' Dominance
2010:
Disentangling The Driving Force Of Pyramidal Firms' Capital Structure : A New Perspective
2009:
Determinants of Corporate Demand for Islamic Insurance in Malaysia
2009:
Pyramidal Ownership Structure and Agency Problem: Theory and Evidence