Penerbitan SCOPUS/ERA

mohammad enamul hoque, low soo-wah, mabruk billah.  (2023).  time-frequency connectedness and spillover among carbon, climate and energy futures: determinants and portfolio risk management implications.  - energy economics.  1-24. 

mohammad enamul hoque, low soo-wah, md akther uddin, ashiqur rahman.  (2023).  international trade policy uncertainty spillover on stock market: evidence from fragile five economies.  - journal of international trade & economic development.  104-131. 

mohammad enamul hoque, low soo wah, mohd azlan shah zaidi, tee lain tze, noor azlan ghazali.  (2023).  asymmetric and lag effects of industry risk factors on the malaysian oil and gas stocks.  - sage open.  1-17. 

mohammad enamul hoque, low soo wah, aviral kumar tiwari, tahmina akhter.  (2023).  time and frequency domain connectedness and spillover among categorical and regional financial stress, gold and bitcoin market.  - resources policy.  1-14. 

mohammad enamul hoque, low soo wah.  (2022).  impact of industry-specific risk factors on stock returns of the malaysian oil and gas industry in a structural break environment.  - mathematics.  1-15. 

mohammad enamul hoque, low soo wah.  (2022).  reactions of bitcoin and gold to categorical financial stress: new evidence from quantile estimation.  - risks.  1-10. 

meliza zafrizal, rubayah yakob, low soo wah.  (2021).  the influence of liquidity risk on efficiency in rural banks: the moderating role of interbank borrowing fund.  - asian academic of management journal of accounting & finance.  63-79. 

ali albada, low soo wah, othman yong.  (2020).  prestige signals and heterogeneity of opinion regarding ipo values: malaysian evidence.  - international journal of emerging markets.  302-319. 

mohammad enamul hoque, low soo wah.  (2020).  industry risk factors and stock returns of malaysian oil and gas industry: a new look with mean semi-variance asset pricing framework.  - mathematics.  1-28. 

mohmmad enamul hoque, low soo wah, mohd azlan shah zaidi.  (2020).  do oil and gas risk factors matter in the malaysian oil and gas industry? a fama-macbeth two stage panel regression approach.  - energies.  1-15. 

mohammad enamul hoque, soo-wah low, mohd azlan shah zaidi.  (2020).  the effects of oil and gas risk factors on malaysian oil and gas stock returns: do they vary?.  - energies.  3901-3923. 

ali albada, othman yong, soo-wah low.  (2020).  signalling effect of auditor reputation and lock-up period on over-subscription ratio: evidence from malaysian fixed-price ipos.  - international journal of business and society.  253-267. 

lain-tze tee; si-roei kew; soo-wah low.  (2019).  do momentum strategies perform better for islamic stocks than for conventional stocks across market states?.  - economic annals.  107-129. 

mohammad enamul hoque, low soo wah, mohd azlan shah zaidi.  (2019).  oil price shocks, global economic policy uncertainty, geopolitical risk, and stock price in malaysia: factor augmented var approach.  - economic research.  3701-3733. 

ali albada, othman yong, soo-wah low.  (2019).  relationship between prestige signals and over-subscription ratio.  - international journal of managerial finance.  564-579. 

ali albada, low soo-wah, othman yong, annuar md nasir, fakarudin kamarudin, nazratul aina mohamad anwar.  (2019).  heterogeneity of opinion, shareholder retention ratio and lockup period: malaysian evidence.  - international journal of economics and management.  231-248. 

low soo wah, ali albada, nurhatiah ahmad chukari, noor azlan ghazali.  (2018).  do stock market and banking sectors development promote innovation efficiency?.  - international journal of managerial finance. 

low soo wah, tee lain tze, kew si roei.  (2015).  does the quality of governance matter for equity market risk? evidence from emerging and developed equity markets.  - journal of business economics and management.  660-674. 

low soo wah, tee lain tze, kew si roei, noor azlan ghazali.  (2015).  the link between financial development and knowledge-based economy - evidence from emerging markets.  - journal of economic cooperation & development.  51-88. 

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. 

lain-tze tee, soo-wah low, si-roei kew, noor a. ghazali.  (2014).  financial development and innovation activity: evidence from selected east asian countries.  - prague economic papers.  162-180. 

low soo wah, anwar johari.  (2014).  risk-adjusted performance of malaysian real estate investment trust funds.  - jurnal pengurusan.  3-11. 

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. 

low soo wah, chin yi bing.  (2013).  refinements to the sharpe ratio - evidence from malaysian equity funds.  - global economic review - perspectives on east asian economies and industries.  42(1):72-97. 

low soo wah.  (2013).  investment performance analysis of managerial expertise: evidence from malaysian-based international equity unit trust funds.  - jurnal pengurusan.  38:41-51. 

soo-wah low, othman yong.  (2013).  initial public offerings and investor heterogeneity: evidence from malaysia.  - american journal of finance and accounting.  3(1):41-56. 

soo-wah low.  (2012).  market timing and selectivity performance: a cross-sectional analysis of malaysian unit trust funds.  - prague economic papers.  21:205-219. 

low soo wah, kew si roei, tee lain tze.  (2011).  international evidence on the link between quality of governance and stock market performance.  - global economic review - perspectives on east asian economies and industries.  40(3):361-384. 

low soo wah, othman yong.  (2011).  explaining over-subscription in fixed-price ipos - evidence from the malaysian stock market.  - emerging markets review.  12(3):205-216. 

noor a ghazali, low soo wah, isani ibrahim.  (2011).  domestic and foreign influence on banks` lending activities: an analysis of the bank-centric views in malaysia, indonesia, and thailand.  - singapore management review.  33(1):37-53. 

soo-wah low.  (2010).  relationship between fund performance and characteristics of the malaysian unit trust fund.  - singapore management review.  32(1):29-43. 

low soo wah, noor azlan ghazali, shamshubaridah ramlee, rasidah said.  (2010).  economic freedom and banking development: the experiences of selected east asian countries.  - jurnal pengurusan.  31(2010): 71-81. 

rasidah mohamad said, fauzias mat nor, low soo wah, aisyah abdul rahman.  (2008).  the efficiency effects of mergers and acquisitions in malaysain banking institutions.  - asian journal of business and accounting.  1(1):47-66. 

low soo wah dan noor azlan ghazali.  (2007).  the price linkages between malaysian unit trust funds and the stock markets: short run and long run interrelationships.  - managerial finance.  33(2):89-101. 

low soo wah.  (2007).  malaysian unit trust funds` performance during up and down market conditions: a comparison of market benchmark.  - managerial finance.  33(2):154-166. 

noor a. ghazali dan soo-wah low.  (2002).  the expectation hypothesis in emerging financial markets: the case of malaysia.  - applied economics.  34(9):1147-1156. 

soo-wah low, louis glorfeld, douglas hearth and james n. rimbey.  (2001).  the link between bank monitoring and corporate dividend policy: the case of dividend omissions..  - journal of banking and finance.  25(11):2069-2087.