Curriculum Vitae

ASSOCIATE PROF. DR. ROZAIMAH ZAINUDIN

Associate Professor
  • Department of Finance
    Faculty of Business and Economics
  • rozaimah
  • 03-79673961

BIOGRAPHY


Dr. Rozaimah Zainudin is an accomplished Associate Professor in the Department of Finance at the Faculty of Business and Economics, University of Malaya. She obtained her Ph.D. in Finance from University of Malaya in 2011. She earned an MBA and a Bachelor's in Finance from Universiti Teknologi Mara (UiTM), Malaysia.

Dr. Zainudin's expertise in corporate finance, international finance and risk management. Her research contributions are widely recognized, evident in her extensive publications in reputable journals such as the International Journal of Emerging Markets, Finance a Uver-Czech Journal of Economics and Finance, Borsa Istanbul Review, Journal of Business Ethics, and many others. She has also co-authored a book entitled “The Malaysian Banking Industry: Policies and Practices after the Asian Financial Crisis” published by Routledge in 2018 with the other two authors (BOOK : The Malaysian Banking Industry after the Asian Financial Crisis (Please click this link https://rdcu.be/4fwg). The book offers valuable insights into the evolution of policies, risk management, and bailout strategies. This comprehensive resource fills a crucial gap in the market, providing students, researchers, and practitioners with up-to-date knowledge on the dynamic landscape of Malaysian banking post-AFC.

Dr. Zainudin's research interests extend to national and international projects, where she has been involved in several research grants focusing on topics like Financial Technology Usage and Financial Wellbeing, Shariah-Compliant Firms, Corporate Fraud, Financial Literacy and Corporate ESG-related studies. She presented her work findings at various international conferences, further demonstrating her commitment to advancing knowledge in finance and economics. As an academic, Dr. Zainudin is deeply involved in teaching and supervising postgraduate students, contributing significantly to the development of future scholars in her field.

AREAS OF EXPERTISE


  • CORPORATE FINANCE
  • DERIVATIVE, RISK MANAGEMENT

ACADEMIC QUALIFICATION


  • Ph.D (UM), (Finance)
    Universiti Malaya (UM)
  • MBA (UITM), (Business Management)
    Universiti Teknologi MARA (UiTM)
  • BBA(FINANCE) HONS (UITM), (FINANCE)
    Universiti Teknologi MARA (UiTM)
  • DIP.BMGT(BANK) (UITM), (BANK MANAGEMENT)
    Universiti Teknologi MARA (UiTM)

ADMINISTRATIVE DUTIES


  • Rubrics Committee
    01 Sep 2011 - present (Department of Finance and Banking, Faculty of Business & Accountancy)
  • New Programme Committee
    02 Feb 2012 - present (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Ahli Jawatankuasa Pemilihan ke Program Ijazah Pertama
    28 Jan 2016 - present (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Programme Coordinator
    09 Nov 2018 - 27 Dec 2019 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Programme Coordinator
    02 Nov 2015 - 01 Nov 2018 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Ahli Jawatankuasa Akreaditasi
    10 Jun 2016 - 09 Jun 2018 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • AJK Akreaditasi Jabatan Kewangan dan Perbankan
    10 Jun 2016 - 09 Jun 2018 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • AJK Pemilihan Kemasukan Program Ijazah Pertama
    08 May 2017 - 07 May 2018 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • AJK Semakan Semula Ijazah Pertama
    02 Jan 2017 - 31 Dec 2017 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • AJK Jadual waktu
    02 Jan 2017 - 31 Dec 2017 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Panel Penasihat Akademik
    17 Sep 2013 - 31 Aug 2016 (Department of Finance and Banking, Faculty of Business & Accountancy)
  • Auditor Dalaman Fakulti
    21 May 2013 - 20 May 2016 (Department of Finance and Banking, Faculty of Business & Accountancy)

AWARD AND STEWARDSHIP


  • EXCELLENCE SERVICE AWARD
    University of Malaya, 2017 (University)
  • Excellent Award
    University of Malaya, 2011 (University)
  • Postgraduate Excellent Award
    UiTM, 2006 (University)
  • Rector Award
    UiTM, 1997 (University)
  • Director Award
    UiTM, 1995 (University)

PUBLICATIONS


Article in Journal
WoS
  1. Ahmed, Ahsan; Zainudin, Rozaimah; Shaharuddin, Shahrin Saaid (2022). Financial integration and capital structure decisions of listed firms: evidence from China, INTERNATIONAL JOURNAL OF EMERGING MARKETS. . doi:10.1108/IJOEM-05-2021-0757
  2. Nasir, Abdul Majid; Zainudin, Rozaimah; Shahrin, Aidil Rizal (2022). Financial Revenues, Financial Leverage, Debt Maturity, Uncertainty and the Underinvestment Problem, FINANCE A UVER-CZECH JOURNAL OF ECONOMICS AND FINANCE. 72(1), 71-101. doi:10.32065/CJEF.2022.01.04
  3. Zainudin, R., & Khaw, K. L. H. (2021). Dividend payout policies of politically connected firms: Evidence from Malaysia. Borsa Istanbul Review, 21(4), 384-393. doi: 10.1016/j.bir.2020.12.005
  4. Ghafoor, A., Zainudin, R., Mahdzan, N. S. (2019). Factors Eliciting Corporate Fraud in Emerging Markets: Case of Firms Subject to Enforcement Actions in Malaysia. Journal of Business Ethics, 160(2), 587-608. doi:10.1007/s10551-018-3877-3
  5. Mahdzan, N. S., Zainudin, R., Abd Sukor, M. E., Zainir, F., Ahmad, W. M. W. (2019). Determinants of Subjective Financial Well-Being Across Three Different Household Income Groups in Malaysia. Social Indicators Research, 146(3), 699-726. doi:10.1007/s11205-019-02138-4
  6. Zainudin, R., Mahdzan, N. S., Yeap, M. Y. (2019). Determinants of credit card misuse among Gen Y consumers in urban Malaysia. International Journal of Bank Marketing, 37(5), 1350-1370. doi:10.1108/ijbm-08-2018-0215
  7. M\ng, J. C. P., Zainudin, R. (2016). Assessing the Efficacy of Adjustable Moving Averages Using ASEAN-5 Currencies, Plos One. 11(819), Article
  8. Mahdzan, N. S., Zainudin, R., Shahri, N. K. (2016). Interindustry dividend policy determinants in the context of an emerging market, Economic Research-Ekonomska Istrazivanja. 29(1250-262), Article
  9. Mahadeva, Sanjiv; Goh, Khean-Lee (2012). SHORT-RUN LINKAGES BETWEEN ASIAN "PAPER TIGERS": A VAR AND FUZZY CLUSTERING APPROACH, Actual Problems of Economics. 137(331-346), Article
Scopus
  1. Mahdzan N.S., Zainudin R., Wan Ahmad W.M., Hanifa M.H. (2024). Does Islamic financial literacy and motives influence the holdings of Islamic financial products? A study on bank customers in Klang Valley, Malaysia, Journal of Islamic Marketing. . doi:10.1108/JIMA-05-2022-0158
  2. Wahab A.A., Zainudin R. (2024). Why Do Firms Hedge? A Revisit for An Emerging Market Perspective, Jurnal Pengurusan. 70. doi:10.17576/pengurusan-2024-70-3
  3. Zainudin R., Khaw K.L.-H. (2024). DOES THE SHARIA-COMPLIANT STATUS REMOVAL ANNOUNCEMENT MATTER? LIQUIDITY, TRADING ACTIVITIES AND INSTITUTIONAL INVESTORS, Asian Academy of Management Journal of Accounting and Finance. 20(1), 237-271. doi:10.21315/aamjaf2024.20.1.8
  4. Khaw K.L.-H., Al-Jaifi H.A.A., Zainudin R. (2023). Shariah-compliant firms and earnings management: do continuation and ethnicity matter?, Journal of Islamic Accounting and Business Research. . doi:10.1108/JIABR-09-2022-0245
  5. Mahdzan N.S., Sukor M.E.A., Zainudin R., Zainir F., Ahmad W.M.W. (2023). A Comparison of Financial Well-Being and Its Antecedents Across Different Employment Categories in Malaysia, Gadjah Mada International Journal of Business. 25(3), 255-277. doi:10.22146/gamaijb.73947
  6. Mahdzan N.S., Zainudin R., Shaari M.S. (2023). The influence of religious belief and psychological factors on borrowing behaviour among Malaysian public sector employees, Asia-Pacific Journal of Business Administration. 15(3), 361-385. doi:10.1108/APJBA-10-2020-0362
  7. Mahdzan N.S., Zainudin R., Sukor M.E.A. (2023). Coping Strategies to Improve Financial Well-Being During the COVID-19 Pandemic in an Emerging Economy, Journal of Financial Counseling and Planning. 34(3), 338-353. doi:10.1891/JFCP-2022-0002
  8. Nathie M., Mahdzan N.S., Hanifa M.H., Ahmad W.M.W., Zainudin R. (2023). Islamic and Conventional Financial Literacy: Systematic and Bibliometric Literature Analyses, Journal of King Abdulaziz University, Islamic Economics. 36(2), 29-60. doi:10.4197/Islec.36-2.2
  9. Zainudin, R., Mahdzan, N. S., & Mohamad, N. N. (2021). Internationalisation and financial performance: in the case of global automotive firms. Review of International Business and Strategy, 31(1), 80-102. doi: 10.1108/RIBS-04-2020-0039
  10. Abas Azmi, K. S., & Zainudin, R. (2021). Money in politics: a recipe for corruption in Malaysia. Journal of Financial Crime, 28(2), 593-606. doi: 10.1108/JFC-07-2020-0147
Others
  1. Mahdzan, N.S., Zainudin, R. & Siew, C.Y. (2020) Investment literacy, risk tolerance and mutual fund investments: An exploratory study of working adults in Kuala Lumpur. International Journal of Business and Society, 21(1), 2020, 111-133
  2. Mahdzan, N.S., Zainudin, R., Abd Sukor, M.E., Zainir, F. and Wan Ahmad, W.M. (2020), "An exploratory study of financial well-being among Malaysian households", Journal of Asian Business and Economic Studies, Vol. 27 No. 3, pp. 285-302. https://doi.org/10.1108/JABES-12-2019-0120
  3. Ghafoor, A., Zainudin, R., & Mahdzan, N. S. (2019). Corporate fraud and information asymmetry in emerging markets: Case of firms subject to enforcement actions in Malaysia. Journal of Financial Crime, Vol. 26 Issue: 1, pp.95-112, https://doi.org/10.1108/JFC-11-2017-0107.
  4. Zainudin, R., Mahdzan, N. S., Sulaiman, N. & Che Hashim, R. (2019), Islamic Religiosity and Islamic Financial Asset Holdings. Journal of Islamic Accounting and Business Research. 10(4). pp. 591-606.
  5. Ghafoor, A., Zainudin, R. & Mahdzan, N.S. Factors Eliciting Corporate Fraud in Emerging Markets: Case of Firms Subject to Enforcement Actions in Malaysia. J Bus Ethics (2018), 1-22, https://doi.org/10.1007/s10551-018-3877-3
  6. Zainudin, R., Ahmad Mahdzan, N.S. and Leong, E.S. (2018), "Firm-specific internal determinants of profitability performance: an exploratory study of selected life insurance firms in Asia", Journal of Asia Business Studies, Vol. 12 No. 4, pp. 533-550
  7. Zainudin, R., Mahdzan, N.S, Chee-Hong, Y. (2018), Dividend Policy and Stock Price Volatility of Industrial Products Firms in Malaysia. International Journal of Emerging Markets, Vol 13(2), pp. 203-217. https://doi.org/10.1108/IJoEM-09-2016-0250
  8. Ali, B. S., Ochieng, W. Y., & Zainudin, R. (2017). An analysis and model for Automatic Dependent Surveillance Broadcast (ADS-B) continuity. Gps Solutions, 21(4), 1841-1854.
  9. Lee-Kuen, I. Y., Chan, S.G., and Zainudin, R. (2017) Gender Diversity and Firms Financial Performance in Malaysia.Asian Academy of Management Journal of Accounting and Finance. Vol 13(1),pp 41-62.
  10. Mahdzan, N.S., Zainudin, R. & Au, S.F. (2017) The Adoption of Islamic Banking Services in Malaysia. Journal of Islamic Marketing. 8(3).pp 496-512. https://doi.org/10.1108/JIMA-08-2015-0064
  11. Mahdzan, N.S., Zainudin, R., CheHashim, R. and Sulaiman, N. A. (2017), Islamic Religiosity and Portfolio Allocation: The Malaysian Context, International Journal of Islamic and Middle Eastern Finance and Management, Vol 10(3). pp 434-452. https://doi.org/10.1108/IMEFM-11-2016-0162
  12. Rehman, I., Mahdzan, N.S. & Zainudin, R. (2016) Is the relationship Between Macroeconomy and Stock Market liquidity Mutually Reinforcing? Evidence from an Emerging Market. International Journal of Monetary Economics and Finance.9(3).294-316.
  13. Jacinta, C. P. M. and Zainudin, R. (2014). Predictability of Asia Pacific Stock Market Indices Futures using Signals from A Dynamic Volatility Indicator, Adjustable Moving Average, Middle-East Journal of Scientific Research.21(8).1226-1231.
  14. Jacinta, C.P.M. and Zainudin, R. (2014).Futures Trading Signal using an Adaptive Algorithm Technical Analysis Indicator, An Empirical Study on Malaysian Futures Markets.International Proceedings of Economics and Finance Research.
  15. Zanudin R., Jacinta Chan, P.M. 2013. Correlation pattern among "Asian Paper Tigers" Currencies: A Dynamic Conditional Correlation Approach. Research Journal of Applied Sciences, Engineering and Technology, Vol. 7, No. 17, 3663-3670.
  16. Rozaimah Zainudin (2013),The effect of regime shift in minimum variance hedging ratio: the evidence of the crude palm oil market, Investment Management and Financial Innovations, Volume 10, Issue 4. pp 83-92.
  17. Zainudin, R. and Quah, Chee Heong. (2012). Short-run Linkages between Asian "Paper Tigers": A VAR and Fuzzy Clustering Approach. Actual Problems of Economics, 11(137), 331-346.
  18. Rozaimah Zainudin, Shaharudin R. S., An Investigation on Stuctural Breaks in Crude Palm Oil Spot and Futures Return. Australian Journal of Basic and Applied Sciences, Vol 5(9): 1872-1885.
  19. Zainudin,R. and Shaharudin R. S., Multi Mean GARCH Approach to Evaluating the Hedging Performances in Crude Palm Oil Market.Asian Academy of Management Journal of Accounting and Finance. Vol 7(1):111-130.
Books
  1. Zainudin, R., Chan, S.G., Shahrin, A.R. (2019). The Malaysian Banking Industry: Policies and Practices after the Asian Financial Crisis. Oxon and New York, Routledge, Taylor & Francis Group. Click this link https://rdcu.be/4fwg to get the E-book version.
Chapter in Books
  1. Zainuddin, S. and Zainudin, R. (2015). Organisational Behaviour Theories. In Selected Management Theories in Social Sciences. UM Press.

RESEARCH PROJECT


National
  1. 2022 - 2025, Fundamental Research Grant Scheme (FRGS)
    An Integrated Model Of Financial Technology Usage And Financial Wellbeing: A Study On Digital Natives And Digital Immigrants In Malaysia ( Co-Researcher)
  2. 2023 - 2025, Bantuan Khas Penyelidikan (BKP Special)
    Revisiting Malaysia?s Food Security Policy: The Case Of Palm Oil And Rice Production ( Co-Researcher)
  3. 2019 - 2022, RU Geran - Fakulti Program
    Development And Validation Of A Comprehensive Objective Measurement For Islamic Financial Literacy ( Co-Researcher)
  4. 2019 - 2022, Fundamental Research Grant Scheme (FRGS)
    Modeling The Risk Framework Of Shariah Compliant Firms From The Corporate Policies Perspective ( Principal Investigator(PI))
  5. 2018 - 2021, RU Geran - Fakulti Program
    Does Political Connections Of Top Management Determine The Price Of Debt Financing?: The Case Of Malaysia ( Co-Researcher)
  6. 2018 - 2021, RU Geran - Fakulti Program
    Fraudulent Accounting Practices In Malaysia: Elite Interviews ( Co-Researcher)
  7. 2020 - 2021, Covid-19 Special Research Grant
    Financial Stressor Events, Financial Well-being And Coping Strategies Of Malaysian Working Adults During The Covid-19 Crisis Period ( Co-Researcher)
  8. 2016 - 2018, Fundamental Research Grant Scheme (FRGS)
    Developing A Financial Wellbeing Index For Middle Income Malaysians (m40) ( Co-Researcher)
  9. 2016 - 2018, Geran Penyelidikan Universiti Malaya (UMRG Programme) - SBS (Equitable Society)
    Cost, Profit And Technical Efficiency: Comparative Studies On Islamic Banks And The Conventional Banks In Malaysia ( Principal Investigator(PI))
  10. 2016 - 2018, Geran Penyelidikan Universiti Malaya (UMRG Programme) - SBS (Equitable Society)
    Bank Bailout And Moral Hazard Behavior: Comparative Studies On Malaysia And The United States Banking Industry ( Co-Researcher)
  11. 2013 - 2016, Geran Penyelidikan Universiti Malaya (UMRG Programme) - SBS (Equitable Society)
    The Banking Structure And Conpetition On Commercial Banks Performance In Asean ( Co-Researcher)
  12. 2013 - 2016, Geran Penyelidikan Universiti Malaya (UMRG Programme) - SBS (Equitable Society)
    Islamic Values And Individuals? Asset Allocation And Liability Management ( Co-Researcher)
  13. 2012 - 2015, Geran Penyelidikan Universiti Malaya (UMRG) - SBS (Equitable Society)
    Automatic Adjustable Algorithms (AAA) for Quantitative Trading for Professional Model Trading Desks of Financial Institutions ( Co-Researcher)
  14. 2024 - 2026, Fundamental Research Grant Scheme (FRGS)
    Developing a Sustainable Finance Framework for Small and Medium Enterprises (SMEs), Monash University Malaysia campus ( Co-Researcher)
International
  1. 2019 - 2021, International Funding
    Development and Validation of A Comprehensive Objective Measurement For Islamic Financial Literacy ( Co-Researcher)
University
  1. 2024 - 2025, University Grant
    A Global Perspective on Corporate ESG Practices: Reality or Fantasy ( Principal Investigator(PI))

CONSULTANCY PROJECT


  • Ajba Manuscript, AJBA
    01 Jan 2012 - 01 Jan 2012 (National)
  • Mba Thesis : The Subprime Credit Crisis: Co-Movement of Asean Stock Markets, UMGSB
    01 Jan 2012 - 01 Jan 2012 (National)

PAPER PRESENTED


ORAL PRESENTER
  1. Shariah-compliant Removal Status Announcement and Stock Liquidity: A Preliminary Study, The Fourth International Conference on Economics, Business and Social Sciences, Universitas Islam Malang, Indonesia (International) (01 Feb 2022 - 01 Feb 2022)
PRESENTER
  1. Politically-connected Firm, Dividend payout policy and Cash Holding Policy: The evidence of Malaysian Listed Firms, 2nd Asia Conference on Business and Economic Studies, University of Economics Ho Chi Minh City, Vietnam (International) (13 Sep 2019 - 14 Sep 2019)
  2. The determinants of credit card misuse among Generation Y urbanites in Malaysia, Second International Conference on Finance, Management and Business, Faculty of Economics and Business Universitas Diponegoro, Tembalang, Semarang, Indonesia  (International) (01 Aug 2018 - 01 Aug 2018)
  3. "The effect of dividend policy on stock price volatility-the case of industrial products companies in malaysia",, 2nd Vietnam International Conference in Finance, Vietnam National University (International) (04 Jun 2015 - 05 Jun 2015)
  4. The Effects of Religiosity and Ethnicity on Money Attitudes among Malaysians, The 4th International Seminar and Conference 2014 Islamic Economics and Beyond , Universitas Negeri Jakarta (International) (11 Nov 2014 - 12 Nov 2014)
  5. The Effect of Regime Shift in Minimum Variance Hedging Ratio: The Evidence of Crude Palm Oil Market., Global Finance Conference, Bangkok, Thailand. (03 Apr 2011 - 05 Apr 2011)
  6. Structural Breaks in Crude Palm Oil Spot and Futures Return, 22nd Australasian Finance and Banking Conference, Sydney, NSWU (21 Dec 2009 - 23 Dec 2009)
OTHERS
  1. Borrowing Behaviour Determinants among Malaysian Civil Servants, The 2nd Asia Conference on Business and Economic Studies, UNIVERSITY OF ECONOMICS HO CHI MINH CITY, VIETNAM (International) (13 Sep 2019 - 14 Sep 2019)
  2. Behavioural and Psychological factors influencing Malaysian households, Second International Conference on Finance, Management and Business, Faculty of Economics and Business Universitas Diponegoro, Tembalang, Semarang, Indonesia (International) (01 Aug 2018 - 01 Aug 2018)
  3. Islamic Religiosity and Portfolio Allocation Choice, Shariah Financial Planning Conference 2016, Islamic Finance and Wealth Management Institute (IFWMI) and Malaysian Financial Planning Council (MFPC) (National) (27 Oct 2016 - 27 Oct 2016)
  4. Corporate Fraud Revelation and Stock Market reaction to Fraudulent Firms Stock: Evidence from Malaysia, INTERNATIONAL SYMPOSIUM ON SUSTAINABLE DEVELOPMENT AND MANAGEMENT (ISSDM) 2016, UTM, Johor, Malaysia (International) (08 Oct 2016 - 09 Oct 2016)
  5. Islamic Value and Personal Finance Behaviour "A Conceptual Paper", The 4th International Seminar and Conference "Islamic Economics and Beyond", Univesiti Negeri Jakarta, Indonesia (International) (11 Nov 2014 - 12 Nov 2014)
  6. Futures Trading Signal using an Adaptive Algorithm Technical Analysis Indicator, Adjustable Moving Average' An Empirical Study on Malaysian Futures Markets., 3rd International Conference on Economics and Finance Research (ICEFR) 2014, International Economics Development Research Center (International) (12 Apr 2014 - 13 Apr 2014)
  7. Conference Guest , Palm and Lauric Oils Conference and Exhibition, Bursa Malaysia and CME Group (International) (04 Mar 2013 - 06 Mar 2013)
  8. Liquidity Risk Management, Profitability and Solvency Performance for Islamic and Conventional Banks: The case of Malaysia, The 4th Islamic Economic System Conference, USIM (International) (04 Oct 2011 - 05 Oct 2011)

ACADEMIC/PROF. SERVICES


Evaluation
  1. (2019) AJBA, (Reviewer)
  2. (2019) Journal of Islamic Marketing , (Reviewer)
  3. (2019) International Journal of Emerging Markets, (Reviewer)
  4. (2019) Asian Academy of Management International Conference, (Reviewer)
  5. (2019) Applied Financial Economics, (Reviewer)
  6. (2018) Jurnal Pengurusan, (Reviewer)
  7. (2018) Asian Journal of Business and Accountancy, (Reviewer)
  8. (2018) Journal of East Asian Studies, (Reviewer)
  9. (2018) Asian Journal of Accounting Perspective , (Reviewer)
  10. (2018) Journal of Islamic Marketing, (Reviewer)
  11. (2018) International Journal of Emerging Markets, (Reviewer)
  12. (2017) Journal of Islamic Marketing, (Reviewer)
  13. (2017) The 12th Asian Academy of Management International Conference 2017, (Reviewer)
  14. (2017) International Journal of Emerging Markets , (Reviewer)
  15. (2017) Economic Integration and the Relationship between the Currency and Equity markets in the East Asian Emerging Economics (Muhammad Aftab), (Internal Examiner)
  16. (2016) China Agricultural Economic Review, (Reviewer)
  17. (2016) Afro-Asian J. of Finance and Accounting (AAJFA), (Reviewer)
  18. (2016) PhD SEMINAR RESEARCH FINDING, (Internal Examiner)
  19. (2016) Asian Journal of Accounting Perspectives, (Reviewer)
  20. (2016) Journal of Islamic Marketing, (Reviewer)
  21. (2015) AJBA, (Reviewer)
Contribution to external organisation
  1. ( ) Technical reviewer, Asian Academy of Management International Conference

SUPERVISION


Postgraduate Student
PhD/ Doctoral
  1. (2024) Corporate Governance, InsurTech Development and Efficiency Performance: Evidence from Life Insurance Firms in China, XIEYI
  2. (2023) Corporate Reputation Risk, Overboarding Risk and Firm Value of African Firms: The Role of Corporate Governance Mechanisms, ORESHILE SULAIMAN ADEMOLA
  3. (2023) Market Integration, Corruption and Capital Structure Decision: Evidence from Emerging Economies, AHSAN AHMED
  4. (2022) The Effect of Financial Revenues and Net Financial Payouts on Investment Efficiency: An Investigation of Short-Termism, ABDUL MAJID NASIR
  5. (2019) The Relationship Between Financial Structure and Investment Efficiency, ABDUL MAJID NASIR
  6. (2019) Market Integration and Capital Structure Decision: Evidence from Emerging Economies, AHSAN AHMED
  7. (2018) Internationalization vs Integration: The Study of Capital Structure in Emerging Economies, AHSAN AHMED
  8. (2017) Managing credit risks effectively with derivatives: The issues and solution, NURUL HUZALINA BINTI RAMLEE
  9. (2017) ESSAYS ON CORPORATE FRAUD IN MALAYSIA LISTED COMPANIES, ABDUL GHAFOOR
  10. (2017) ESSAYS ON CORPORATE FRAUD IN MALAYSIA LISTED COMPANIES, ABDUL GHAFOOR
  11. (2016) Banking, Marwan Alahmadi
  12. (2015) derivative, Nurul Huzalina Ramlee
  13. (2014) Macroeconomic Determinants of Stock Market Liquidity: Evidence from Selected Asian Emerging Markets, IJAZ UR REHMAN
  14. (2014) Macroeconomic Determinants of Stock Market Liquidity: Evidence from Selected Asian Emerging Markets, IJAZ UR REHMAN
  15. (2012) Macroeconomic Determinants of Stock Market Liquidity: Evidence from Selected Asian Emerging Markets, Ijaz Ur Rehman
Master
  1. (2019) THE EFFECT OF EXCHANGE RATE ON ASEAN-5 FOREIGN DIRECT INVESTMENT, HUSAINI BIN MOHAMED HASAN
  2. (2019) FACTOR INFLUENCING THE ADOPTION OF E-SERVICES: A CASE STUDY ON EMPLOYEES PROVIDENT FUND (EPF) I-AKAUN IN MALAYSIA, NUR AZMINA ABD RAHIM
  3. (2018) THE INTERVENING EFFECTS ON JOB STRESS TO THE ROYAL ARTILLERY REGIMENT SERVICEMEN: AN ANALYSIS ON WORK-FAMILY CONFLICT, JOB SATISFACTIONAND AFFECTIVE COMMITMENT, Marlinawati Mahamood
  4. (2018) Dividend Policy, Lee Hao Yong
  5. (2018) Determinants of FDI in ASEAN + Three, Yap Sze Yar
  6. (2017) The relationship between Organization commitment and job satisfaction towards turnover intention among servicemen in Artillery Corps: Kem Syed Sirajuddin, Muhammad Tajuki Jusoh
  7. (2017) Determinants of foreign direct investment in ASEAN countries, Hamideh Damghani
  8. (2016) The Performance of ESG Investing in ASEAN 5 Countries, LEE YEAN HONG
  9. (2016) Internationalization And Firm Performance, Evidence Of International Automotive Firms, NORZULKARNIEN BIN NOR MOHAMAD
  10. (2016) Factors Influencing The Credit Card Debt Of Young Malaysia, YEAP MING YEE
  11. (2015) Determinants of Profitability of Life Insurance Companies in Malaysia, Leong Ee Shan
  12. (2014) The relationship between energy prices and energy related stock return in Msia., The Jun Eim
  13. (2014) The effect of dividend payout policy on security prices in Msia stock market., Yet Chee Hong
  14. (2014) Oil Price Volatility and Malaysia Macroeconomy, Khor Wei Li
  15. (2014) Foreign Direct Investment (FDI) strategies at multinational cosmetic companies, Tomoko Saita
  16. (2013) The Effect of Federal Reserves Fund Rate Changes on the 5 ASEAN COUNTRIES Event study approach, Gan Kok Siong
  17. (2013) Relationship Between Oragizational Culture And Job Performance In 2nd Royal Armoured Regiment, Zulhaime Ayob
  18. (2013) Mergers and Acquisitions of Bankrupt Firms in Asia Pacific: An Event Study Approach, Quah Siaw Fang
  19. (2013) General Election And Stock Market Reaction In Malaysia, Cham Tau Min
  20. (2012) Reits And Correlations With Other Asset Classes: A Malaysia Perspective, Ooi Sue Ping
  21. (2011) Job Satisfaction Among PROVOST Personnel in the Royal Malaysian Air Force, Rozze Ali Rahim
  22. (2009) Performance Evaluation on Long Term Buy-and-Hold Strategy vs Short-Term Market Timing Strategy for selected Mutual Fund in Malaysia and USA, Muhamad Hafidz Mat Daud

TEACHING


Master
  1. (2019) CQC7016 - International Finance
  2. (2016) CFGB6304 - Derivatives Markets
  3. (2015) CFGB6305 - International Finance
  4. (2014) CFGB6304 - Derivatives Markets
  5. (2014) CFGB6305 - International Finance
  6. (2011) CFGB6304 - Derivatives Markets
Bachelor
  1. (2019) CIC3020 - Cases in Finance
  2. (2018) CIC2001 - Basic Corporate Finance
  3. (2018) CIC3020 - Cases in Finance
  4. (2017) CIC2001 - Basic Corporate Finance
  5. (2016) CBEB2311 - Financial Econometrics
  6. (2016) CIC2001 - Basic Corporate Finance
  7. (2015) CBEB3104 - Corporate Finance
  8. (2015) CBEB3312 - International Finance
  9. (2014) CBEB2102 - Financial Management
  10. (2014) CBEB3308 - Derivative Markets
  11. (2014) CBEB3312 - International Finance
  12. (2013) CBEB1108 - Managerial Economics Ii
  13. (2013) CBEB3308 - Derivative Markets
  14. (2013) CBEB3312 - International Finance
  15. (2013) CFEA3230 - Advanced Managerial Finance
  16. (2013) CFEB3101 - Corporate Finance
  17. (2012) CBEB3308 - Derivative Markets
  18. (2012) CBEB3312 - International Finance
  19. (2012) CFEA2124 - Basic Managerial Finance
  20. (2011) CAEA3215 - Advanced Financial Management
  21. (2011) CBEB3308 - Derivative Markets
  22. (2011) CFEA3230 - Advanced Managerial Finance
  23. (2010) CFEA2123 - Managerial Finance
  24. (2010) CFEA3230 - Advanced Managerial Finance
  25. (2009) CBEB2102 - Financial Management
  26. (2008) CBEB3301 - Insurance & Risk Management
  27. (2008) CBEB3308 - Derivative Markets
  28. (2007) CBEB3308 - Derivative Markets

PATENT/IPR


  • Infographic Report: Financial Stress, Financial Well-being and Coping Strategies of Malaysian Adults during the Covid-19 Crisis Period
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SOCIAL RESPONSIBILITY ACTIVITIES


  • Cfa Investment Challenge Academic Mentor, (11 Jun 2013)