PUBLICATION
2024
The non-linear impacts of innovation on unemployment: Evidence from panel data
2024
Financial inclusion and income inequality in developing countries: The role of aging populations
2024
Financial development, institutions, and economic growth nexus: A spatial econometrics analysis using geographical and institutional proximities
2024
Brain drain: what is the role of institutions?
2023
The effectiveness of debt rule on fiscal sustainability: do macroeconomic data matter?
2023
Portfolio capital flows and economic growth: Do institutional factors matter?
2023
DOES GOVERNMENT AND INSTITUTION QUALITY MATTER TO SUSTAINABLE DEVELOPMENT GOALS?
2023
Financial inclusion and economic uncertainty in developing countries: The role of digitalisation
2023
Does Financial Literacy Improve Financial Inclusion in Developing Countries? A Nonlinearity and Quantile Regression Analysis
2023
Internal mechanism analysis of the financial vanishing effect on green growth: Evidence from China
2023
High Technology Trade and the Roles of Absorptive Capabilities in Malaysia
2023
The crime rate of five Latin American countries: Does income inequality matter?
2023
Impact of Local Government Competition and Land Finance on Haze Pollution: Empirical Evidence from China
2023
Effects of Government Expenditure on the Poverty Level: A Nonlinear ARDL Approach
2023
Ownership in Islamic banks: how home country development influences the performance of foreign Islamic banks
2022
Effect of financial development and technological innovation on green growth—Analysis based on spatial Durbin model
2022
EFFECT OF ISLAMIC FINANCIAL SYSTEM STABILITY ON ECONOMIC PERFORMANCE IN INDONESIA
2022
The crime rate and income inequality in Brazil: A nonlinear ARDL approach
2022
Effect of Digital Financial Inclusion on Dredging the Path of Green Growth—New Evidence From Front-End and Back-End Perspectives
2022
DO OIL PRICE FLUCTUATIONS AFFECT THE INFLATION RATE IN INDONESIA ASYMMETRICALLY?
2022
The non-linear impacts of innovation on unemployment: Evidence from panel data
2022
Does Environmental Regulation Promote the Volatility of Technological Progress? —Analysis Based on the Law of Entropy Generation
2022
Too Much Debt and Budget Deficit on Fiscal Sustainability: Do Institutions Matter?
2022
Dynamic linkages among transparency, income inequality and economic growth in developing countries: Evidence from panel vector autoregressive (PVAR) model
2022
Web Service Applications and Consumer Environments Based on ICT-Driven Optimization
2022
High Technology Trade, Innovation and Economic Growth: Evidence from Aggregate and Disaggregate Trade Products
2022
ICTs, growth, and environmental quality nexus: dynamic panel threshold regression
2021
Effect of financial development on innovation: Roles of market institutions
2021
Impact of financial development and technological innovation on the volatility of green growth—evidence from China
2021
Business Credit, Household Credit and Economic Performance in Malaysia: A Quantile Regression Approach
2021
Does Financial Inclusiveness Affect Economic Growth? New Evidence Using a Dynamic Panel Threshold Regression
2021
Public debt and economic growth in developing countries: Nonlinearity and threshold analysis
2020
FINANCIAL INTERMEDIATION COSTS IN A DUAL BANKING SYSTEM: THE ROLE OF ISLAMIC BANKING
2020
Market differentiation threshold and the relationship between corporate social responsibility and corporate financial performance
2020
Impact of Innovation on Economic Growth: Evidence from Malaysia
2020
Effects of economic freedom on bank profit beta-convergence in asean-5 banking sectors
2020
Can innovation improve income inequality? Evidence from panel data
2019
Financial development and carbon dioxide emissions in Nigeria: evidence from the ARDL bounds approach
2019
The causality direction of the corporate social responsibility –Corporate financial performance Nexus: Application of PanelVector Autoregression approach
2019
E?ects of Credit Market Freedom on Output Reallocation in China’s Banking Sector Through the Intermediation of Cost X-ine?ciency
2019
Does quality institutions promote environmental quality?
2018
Remittance and growth nexus: Bootstrap panel granger-causality evidence from high remittance receiving countries
2018
The role of institutions in finance curse: Evidence from international data
2018
Revisiting the finance-innovation nexus: Evidence from a non-linear approach
2018
Financial development and carbon dioxide emissions in Nigeria: evidence from the ARDL bounds approach
2018
Effects of Credit Market Freedom on the Convergence of Chinese Banks’ Profits
2017
Roles of Formal Institutions and Social Capital in Innovation Activities: A Cross-Country Analysis
2017
IS GOLD INVESTMENT A SAFE HAVEN OR A HEDGE FOR THE MALAYSIAN INFLATION?
2017
Credit expansion and financial stability in Malaysia
2017
The role of financial development in the oil-growth nexus
2017
Revisiting the finance-innovation nexus: Evidence from a non-linear approach
2017
Financial development and oil resource abundance–growth relations: evidence from panel data
2017
The role of institutions in finance curse: Evidence from international data
2017
Dynamic implication of biomass energy consumption on economic growth in Sub-Saharan Africa: evidence from panel data analysis
2016
Dynamic implication of biomass energy consumption on economic growth in Sub-Saharan Africa: evidence from panel data analysis
2016
Institutional Quality and CO2 Emission-Trade Relations: Evidence from Sub-Saharan Africa
2016
Growth volatility and resource curse: Does financial development dampen the oil shocks?
2016
Dynamic Linkages between Price Indices and Inflation in Malaysia
2016
Dynamic Impact of Urbanization, Economic Growth, Energy Consumption, and Trade Openness on CO2 Emissions in Nigeria
2016
The Roles of Formal and Informal Institutions on Innovations Activity
2015
The Linkages Between Private and Public Investments in Malaysia: The Role of Foreign Direct Investment
2015
The Impact of The Renminbi Real Exchange Rate On ASEAN Disaggregated Exports to China
2015
Globalisation, Institutional Reforms and Financial Development in East Asian Economies
2014
Resource Curse: New Evidence on the Role of Institutions
2014
House prices and bank credits in Malaysia: An aggregate and disaggregate analysis
2014
Financial Development and Income Inequality at Different Levels of Institutional Quality
2014
Does too much finance harm economic growth?
2014
The Response of Sectoral Returns to Macroeconomic Shocks in the Malaysian Stock Market
2014
Economic Globalization and Financial Development in East Asia: A Panel Cointegration and Causality Analysis
2014
Social capital and CO2 emission-output relations: A panel analysis
2013
Institutional quality thresholds and the finance ? Growth nexus
2013
Dynamics of Consumer Expenditure and Stock Market Prices and Uncertainty: Malaysian Evidence
2013
Institutions and economic development: A Granger causality analysis of panel data evidence
2013
CAPITAL ACCOUNT LIBERALIZATION AND ECONOMIC PERFORMANCE IN MALAYSIA
2012
Institutional Quality, Governance and Financial Development
2012
Nonlinear dynamics of the finance-inequality Nexus in Developing Countries
2012
The Effect of Globalization on Financial Development in the MENA Region
2010
Testing the Validity of Twin Deficit Hypothesis in Pacific Island Countries: An Empirical Investigation
2010
FDI and economic growth: New evidence on the role of financial markets
2009
The Role of Financial Development on Income Inequailty in Malaysia
2009
Demand for International Reserves: Evidence from East Asia
2009
The Determinants of Financial Development: Institutions, Openness and Financial Liberalization
2009
Financial development and openness: Evidence from panel data
2009
Trade Openness, Capital Inflows and Financial Development in Developing Countries
2008
Financial development and openness: Evidence from panel data
2008
Institutional Infrastructure and Economic Performance: Dynamic Panel Data Evidence
2008
Does a Country?s Openness to Trade and Capital Accounts Lead to Financial Development? Evidence from Malaysia