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, faik bilgili, md hakim ali. (2023). connectedness and spillover effects of us climate policy uncertainty on energy stock, alternative energy stock, and carbon future. - environmental science and pollution research. 18956-18972. |
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. (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. |
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. |
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. |
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, 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. |
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. |
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. |
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. |
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, noor azlan ghazali. (2015). the link between financial development and knowledge-based economy - evidence from emerging markets. - journal of economic cooperation & development. 51-88. |
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. |
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. |
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. |
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. |
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. |
soo-wah low. (2012). market timing and selectivity performance: a cross-sectional analysis of malaysian unit trust funds. - prague economic papers. 21:205-219. |
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. |
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. |
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. |
soo-wah low. (2010). relationship between fund performance and characteristics of the malaysian unit trust fund. - singapore management review. 32(1):29-43. |
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. (2007). malaysian unit trust funds` performance during up and down market conditions: a comparison of market benchmark. - managerial finance. 33(2):154-166. |
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. |
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. |