du yu hong, abu hassan shaari md. nor, tamat sarmidi. (2018). the dynamic relationship between tfp and human capital inequality: evidence from asean countries. - jurnal ekonomi malaysia. . |
elya nabila abdul bahri, abu hassan shaari md nor, tamat sarmidi, nor hakimah haji mohd nor. (2018). nonlinear relationship between financial development and economic growth: evidence from post global financial crisis panel data. - jurnal ekonomi malaysia. . |
norhasimah shaharuddin, tamat sarmidi, abu hassan shaari md nor, mohd hafz abd. wahab. (2018). pembangunan kewangan, ict dan jurang pendapatan: bukti empirikal data panel dinamik. - jurnal ekonomi malaysia. . |
pai wei choong, noor aini khalifah, abu hassan shaari md nor, mohd adib ismail. (2018). free trade agreements and production sharing in malaysian manufacturing industries. - jurnal ekonomi malaysia. . |
payam mohammad aliha, tamat sarmidi, abu hassan shaari, fathin faizah said. (2017). using ardl approach to cointegration for investigating the relationship between payment technologies and money demand on a world scale. - regional science inquiry. . |
du yuhong, abu hassan shaari md nor, tamat sarmidi. (2017). nonlinear effects of human capital on tfp: evidence from eight asean countries. - journal of economic cooporetion and development. 123-153. |
tamat sarmidi, abu hassan shaari md nor, nor ghani md noor. (2017). does income gap matter for household debt accumulation?. - institutions and economies. 1-19. |
payam mohammad aliha, tamat sarmidi, abu hassan shaari and fathin faizah said. (2017). investigating the effects of financial innovations on the demand for money in malaysia using the ardl appoach to cointergration. - regional science inquiry. 177-193. |
abdul rahim ridzuan, nor asmat ismail, abdul fatah che hamat, abu hassan shaari, md nor elsadig musa ahmed. (2017). does equitable income distribution influence environmental quality? evidence from developing countries of asean-4. - pertanika journal of social sciences & humanities. 385-400. |
lida nikmasesh, abu hassan shaari mohd nor. (2016). causality in variance between the stock market and macroeconomic variables in singapore. - the singapore economic review. 1-19. |
jirshah abu bakar kunchu, tamat sarmidi, abu hassan shaari md nor dan ishak yussof. (2016). new evidence on natural resource curse for oic and non oic countries. - pertanika journal of social sciences & humanities. 1767-1792. |
tamat sarmidi, abu hasan shaari md nor, mohd azlan shah zaidi dan umar abdul basar. (2016). pelarian dana: bukti baru peranan modal manusia. - jurnal ekonomi malaysia. 133-142. |
paria assadolahi nik, mansor jusoh, abu hassan shaari and tamat sarmidi. (2016). predicting the probability of financial crisis in emerging countries using an early warning system: artificial neural network. - journal of economic coorporation and development. 25-40. |
najla shafighi and abu hassan shaari, behrooz gharleghi, tamat sarmidi and khairuddin omar. (2016). financial integration via panel cointegration approaches in asean+5. - journal of economic studies. 2-15. |
tajul ariffin masron dan abu hassan shaari md nor. (2016). foreign direct investment in real estate and housing affordability. - jurnal ekonomi malaysia. 15-28. |
lida nikmanesh and abu hassan shaari mohd nor. (2016). macroeconomic determinants of stock market volatility: an empirical study of malaysia and indonesia. - asian academy of management journal. 161-180. |
tamat sarmidi, abu hassan shaari md nor and sulhi ridzuan. (2015). environmental stringency, corruption and foreign direct investment (fdi): lessons from global evidence. - asian academy of management journal of accounting and finance. 85-96. |
mori kogid, abu hassan shaari md nor, tamat sarmidi. (2015). limpahan kemeruapan dan korelasi dinamik kadar pertukaran di asean-5. - jurnal ekonomi malaysia. 40-55. |
abu hassan shaari md nor, mori kogid, tamat sarmid. (2015). kemeruapan bersyarat dan korelasi dinamik pasaran saham asean. - jurnal pengurusan. 47-59. |
nor hakimah haji mohd. nor, low soo wah, abu hassan shaari md. nor. (2015). pelaburan langsung asing, pertumbuhan ekonomi dan kualiti pembangunan pasaran saham - analisis panel. - jurnal ekonomi malaysia. 49-60. |
lida nikmanesh, abu hassan shaari md nor, tamat sarmidi, hawati janor. (2014). causal relationship between the volatility of stock market and selected macroeconomic variables: case of malaysia. - jurnal ekonomi malaysia. 143 - 154. |
lida nikmanesh, abu hassan shaari md nor, tamat sarmidi, hawati janor. (2014). return and volatility spillover between the us, japanese and malaysian stock markets. - jurnal pengurusan. 101-111. |
lida nikmanesh, abu hassan shaari md nor, tamat sarmidi, hawati janor. (2014). return and volatility spillovers between the us, japanese and malaysia stock markets. - jurnal pengurusan. 101 - 111. |
behrooz gharleghi, abu hassan shaari, najla shafighi. (2014). predicting exchange rates using a novel `cointegration based neuro-fuzzy system`. - international economics. 88-103. |
chin wen cheong, zaidi isa, abu hassan shaari mohd nor, ng siew lai. (2014). the stylized facts and market risk evaluations of malaysian syariah index. - journal of statistics and management systems. 251-264. |
behrooz gharleghi, abu hassan shaari md nor, tamat sarmidi. (2014). application of the threshold model for modelling and forecasting of exchange rate in selected asean countries. - sains malaysiana. 1609-1622. |
nor hakimah haji mohd. nor, soo-wah low, abu hassan shaari md nor, noor a. ghazali. (2013). fdi and economic growth - does the quality of banking development matter?. - gadjah mada international journal of business. 15(3):287-303. |
yaghoob jafari, jamal othman, abu hassan shaari mohd nor. (2012). energy consumption, economic growth and environmental pollutants in indonesia. - journal of policy modeling. 34:879-889. |
masturah ma`in, abdul ghafar ismail, abu hassan shaari mohd nor. (2012). firm investment and bank health: evidence from malaysian listed firms. - jurnal pengurusan. 34:45-54. |
mori kogid, abu hassan shaari mohd nor, tamat sarmidi, nanthakumar loganathan. (2012). hubungan jangka panjang dan interaksi dinamik antara pasaran saham dengan aktiviti ekonomi di malaysia. - jurnal pengurusan. 149-160. |
gharleghi, b., md nor, a.h.s.. (2012). is monetary variable a determinant in the ringgit-dollar exchange rates model?: a cointegration approach. - sains malaysiana. 41(9):1163-1169. |
cheong, c.w., lai, n.s., isa, z., mohd nor, a.h.s.. (2012). asymmetry dynamic volatility forecast evaluations using interday and intraday data. - sains malaysiana. 41(10):1287-1299. |
umar abdul basar, sanep ahmad, abu hassan shaari mohd nor. (2012). kesan pengklasifikasian patuh syariah terhadap kemeruapan pulangan saham axis-reit. - jurnal ekonomi malaysia. 46(1):133-145. |
abu hassan shaari mohd nor, mori kogid, tamat sarmidi, zaidi isa. (2012). kesan kemeruapan kadar pertukaran ke atas pasaran saham di malaysia. - jurnal ekonomi malaysia. 46(2):141 -157. |
nizam b. ahmat, nor ghani md nor, ahmad mohd zin & abu hassan shaari md nor. (2011). hubungan kecederaan trafik dengan pembangunan ekonomi malaysia. - jurnal ekonomi malaysia. 45:81-87. |
abu dzarr muhammad rus, mariani abdul-majid, abu hassan shaari mohd nor. (2011). liberalisasi kewangan dan kecekapan kos perbankan islam dan konvensional: pendekatan analisis sempadan stokastik. - jurnal ekonomi malaysia. 87-100. |
cheong c.w., isa z., mohd nor a.h.s.. (2011). cross market value-at-risk evaluations in emerging markets. - african journal of business management. 5(22):9385-9400. |
cheong, c.w., isa, z., nor, a.h.s.m.. (2011). a study of electricity market volatility using long memory heteroscedastic model. - international journal of physical sciences. 6(31):7149-7160. |
zulkifly osman, ishak yussof & abu hassan shaari mohd nor. (2010). inflasi pendidikan mengikut ketentuan dalam pasaran buruh malaysia. - jurnal ekonomi malaysia. 44(1): 61-71. |
abu hassan shaari md nor, ruzita abdul rahim, hamizah mohd, zaidi isa & ugur ergun. (2010). modeling the relationship between klci and monetary policy after 1997 asian financial crisis. - jurnal pengurusan. 30:37-48. |
ergun u., nor a.h.s.m.. (2009). unionization and the external linkages of turkish stock market. - international research journal of finance and economics. 31:93-100. |
ergun, u., abu hassan, s.m.n.. (2009). comovements and linkages of emerging stock markets: a case study from oic member countries. - journal of economic cooperation and development. 30(4):105-120. |
nor a.h.s.m., ergun u.. (2009). the role of economic development on financial markets linkages. - international research journal of finance and economics. 1(24):28-35. |
ergun u., nor a.h.s.m.. (2009). an empirical study on determinants of external linkages of turkish stock market under european union accession conditions. - european journal of social sciences. 9(3):475-481. |
cheong, cw; isa, z; nor, ahsm. (2009). financial risk evaluations in malaysian stock exchange using extreme-value-theory and component-arch model. - sains malaysiana. 38(4):567-575. |
cheong, cw; nor, ahsm; isa, z. (2009). a simple power-law tail estimation of financial stock return. - sains malaysiana. 38(5):745-749. |
abu hassan shaari mohd. nor, a. shamiri & zaidi isa. (2009). comparing the accuracy of density forecasts from competing garch models. - sains malaysiana. 38(1):109-118. |
wen-cheong chin, abu hassan shaari mohd nor and zaidi isa. (2009). evaluation of long memory and asymmetric value-at-risk for long and short trading positions: an empirical study of malaysian stock market. - international journal of business and society. 10(1):1-17. |
chin wen cheong, zaidi isa & abu hassan shaari mohd nor. (2008). fractionally integrated time-varying volatility under structural break: evidence from kuala lumpur composite index. - jurnal sains malaysiana. 37(4):405-411. |
ergun, u., nor, a.h.s.m., jusoh, m.b.. (2008). external shock effect on the internal linkages of istanbul stock exchange. - european journal of economics, finance and administrative sciences. 14:120-125. |
ruzita abdul rahim dan abu hassan shaari mohd. nor. (2007). contagion effect of seasonality in the asean plus 3 equity markets. - jurnal ekonomi malaysia. 41:111-134. |