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Impact of capital control measures on the Malaysian stock market : a multiresolution analysis
Citation
Raghavan, MV and Dark, J and Maharaj, E, Impact of capital control measures on the Malaysian stock market : a multiresolution analysis, International Journal of Managerial Finance, 6, (2) pp. 116-127. ISSN 1743-9132 (2010) [Refereed Article]
Copyright Statement
Copyright 2010 Emerald Group Publishing Limited
DOI: doi:10.1108/17439131011032040
Abstract
The purpose of this paper is to examine the extent to which the capital control measures implemented by the Malaysian central bank in late 1998 had an influence on segmenting the Malaysian equity market from other major equity markets.
Item Details
Item Type: | Refereed Article |
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Keywords: | Financial markets, Malaysia, Time series analysis, Capital instruments |
Research Division: | Economics |
Research Group: | Applied economics |
Research Field: | Financial economics |
Objective Division: | Economic Framework |
Objective Group: | Macroeconomics |
Objective Field: | Fiscal policy |
UTAS Author: | Raghavan, MV (Dr Mala Raghavan) |
ID Code: | 80703 |
Year Published: | 2010 |
Deposited By: | Economics and Finance |
Deposited On: | 2012-11-08 |
Last Modified: | 2013-07-09 |
Downloads: | 0 |
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