Friday, December 27, 2019
Factors that Influenced the Malaysian Stock Market Index
Contents 1. Background of the study 1 2. Problem Statement 1 2.1. Research Objectives: 2 2.2. Research Questions: 2 3. Scope and Limitations of Study 2 4. Contribution to Knowledge/ Significance of the Study 3 5. Review of Literature 3 6. Research Design 6 6.1. Type of Study 6 6.2. Data Description 6 6.3. Methodology Data Analysis 7 6.3.1. Theoretical Framework 7 7. Hypotheses 8 8. Methodology 9 List of References 10 1. Background of the study 1.1. A study on the factors that influenced Malaysian stock market index is carry out in order to measure the movement of Malaysian stock market with the concern of macroeconomic variables which include the money supply (M2), exchange rate (EXR), inflation rate (CPI) and also industrial production index (IPI). 2. Problem Statement 2.1 The demand for investing in Malaysia stock market rise up recently. It shows that, investors are more attracted to invest with the purpose of maximizing the profit and minimizing the risk of investment through a portfolio. Furthermore, Malaysia is assumed to have more capital control since it does not support the freely exchange rate system (Pan et al., 2007). In common, capital control can be defined as the prohibition of a nation can be used to regulate the flows from the capital market into and out of the countryââ¬â¢s capital account. In order to trigger the economy of Malaysia a trade-led approach is used to accomplish the objective (Aisyah et al., 2009). Moreover, stock markets help toShow MoreRelatedStability Of Islamic Versus Conventional Banks3295 Words à |à 14 PagesTitle: Stability of Islamic versus conventional banks: Malaysian Case Author: Wahid, Muhamad Azhari Dar, Humayon Abstract Purpose: This paper investigates the stability and its determinants involving Malaysian Islamic and conventional banks over the period of 2004 ââ¬â 2013. 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