Penerbitan SCOPUS/ERA

nor fatimah che sulaiman, suriyani muhamad, mohd azlan shah zaidi, nazli aziz, mohd nasir nawawi.  (2023).  the resilience of income among urban poor communities in kuala lumpur.  - asian development policy review.  91-98. 

sin yee lee, zulkefly abdul karim, norlin khalid, mohd azlan shah zaidi.  (2022).  the spillover effects of chinese shocks on the belt and road initiative economies: new evidence using panel vector autoregression.  - mathematics.  1-18. 

wan kamal mujani, azyati azhani mohamad mazuki, wan mohd hirwani wan hussain, muhammad nazir alias, ahmad dahlan salleh, mohamad nasran mohamad, mohd azlan shah zaidi.  (2022).  bitcoin: the extent of its usability from the perspective of islamic scholars.  - international journal of academic research in business & social sciences.  310-322. 

hussein rizal, mas ayu said, hazreen abdul majid1, tin tin su, tan maw pin, rozmi ismail mohd azlan shah zaidi.  (2022).  health-related quality of life of younger and older lower-income households in malaysia.  - plos one.  1-15. 

mas ayu said, govindamal thangiah, hazreen abdul majid, rozmi ismail, tan maw pin, hussein rizal, mohd azlan shah zaidi, daniel reidpath, tin tin su.  (2022).  income disparity and mental wellbeing among adults in semi-urban and rural areas in malaysia: the mediating role of social capital.  - int. j. environ. res. public health.  1-17. 

sin yee lee, zulkefly abdul karim, norlin khalid, mohd azlan shah zaidi.  (2022).  the push and pull factors of china's outward foreign direct investment in bri countries.  - technological and economic development of economy.  611-637. 

mohd azlan shah zaidi, zulkefly abdul karim, noor amirah zaidon.  (2022).  external and internal shocks and the movement of palm oil price: a svar evidence form malaysia.  - economies.  1-17. 

qusai mohammad qasim alabed, zulkefly abdul karim, fathin faizah said, mohd azlan shah zaidi.  (2021).  institutional quality and economic growth in jordan: new evidence using an autoregressive distributed lag (ardl) model.  - journal of sustainability science and management.  204-219. 

qusai mohammad qasim alabed, fathin faizah said, zulkefly abdul karim, mohd azlan shah zaidi, mohammed daher alshammary.  (2021).  energy-growth nexus in the mena region: a dynamic panel threshold estimation.  - sustainability.  1-18. 

mohammad enamul hoque, mohd azlan shah zaidi, m. kabir hassan.  (2021).  geopolitical uncertainties and malaysian stock market returns: do market conditions matter?.  - mathematics.  1-16. 

fathin faizah said, sharifah nur ainn syed roslan, mohd azlan shah zaidi, mohd ridzwan yaakub.  (2021).  a probe into the status of the oil palm sector in the malaysian value chain.  - economies.  1-24. 

syahrin suhaimee, mohd azlan shah zaidi, noorasiah sulaiman, jafri zulkepli.  (2021).  impact of financial development on income inequality: evidence from system dynamics approach.  - global business and economics review.  225-247. 

norrana khidil, mohd azlan shah zaidi, zulkefly abdul karim.  (2021).  fragmentation of international production and business cycle synchronization: new evidence pre and during global financial crises.  - sustainability.  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. 

mohammad enamul hoque, mohd azlan shah zaidi.  (2020).  global and country-specific geopolitical risk uncertainty and stock return of fragile emerging economies.  - borsa istanbul review.  197-213. 

syahrin suhaimee, mohd azlan shah zaidi, mohd adib ismail, noorasiah sulaiman.  (2020).  social innovation and social entrepreneurship as mediators of the relationship between social capital and income level of b40 households.  - international journal of business and society.  837-856. 

mohammad enamul hoque, m. kabir hassan, mohd azlan shah zaidi, jennifer brodmann.  (2020).  global shocks, monetary policy, and financial market: evidence from a transition economy.  - international journal of economics and management.  379-400. 

muhamad rias k v zainuddin, mohd azlan shah zaidi.  (2020).  kesan asimetrik kadar pertukaran terhadap imbangan dagangan: malaysia dan china.  - jurnal ekonomi malaysia.  213-227. 

rossanto dwi handoyo, mohd. azlan shah zaidi, wisnu wibowo.  (2020).  indonesian stock market: do bear and bull matter?.  - opcion.  898-916. 

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, mohd azlan shah zaidi.  (2020).  impacts of global economic policy uncertainty on emerging stock markets: evidence from linear and non-linear models.  - prague economic papers.  53-66. 

mohamed aseel shokr, zulkefly abdul karim, mohd azlan shah zaidi.  (2019).  monetary policy and macroeconomics responses: a non-recursive svar study of egypt.  - journal of financial economic policy.  319-337. 

dannie eirieswanty kamal basa, zulkefly abdul karim, mohd azlan shah zaidi.  (2019).  financial development and the effectiveness of monetary policy: a new evidence from malaysia.  - asian academy of management journal.  21-39. 

zelhuda shamsuddin, abdul ghafar ismail, mohd azlan shah zaidi, wan mohd nazri wan daud, wan salha yusuff.  (2019).  does the governance compliance effect cooperative performance?.  - international journal of innovation, creativity and change.  1701-1720. 

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. 

sharifa ezat wan puteh, chamhuri siwar, mohd azlan shah zaidi and hazila abdul kadir.  (2019).  health related quality of life (hrqol) among low socioeconomic population in malaysia.  - bmc public health.  1-8. 

mohammad enamul hoque, mohd azlan shah zaidi.  (2019).  the impacts of global economic policy uncertainty on stock market returns in regime switching environment: evidence from sectoral perspectives.  - international journal of finance and economics.  991-1016. 

mohd aqmin abdul wahab, hazrul izuan shahiri, mustazar mansur, mohd azlan shah zaidi.  (2018).  kos sara hidup tinggi di malaysia: pertumbuhan pendapatan isi rumah yang perlahan atau taraf hidup yang meningkat?.  - jurnal ekonomi malaysia. 

zurina kefeli, mohd azlan shah zaidi, abdul azeez oluwanisola abdul wahab.  (2018).  causal nexus between health and economic development: evidence among oic high-income economies.  - pertanika journal of social sciences & humanities. 

ali allameh rad, zulkefly abdul karim, mohd azlan shah zaidi, mansor jusoh.  (2018).  finance and firm's growth: panel ecidence from selected opec members.  - journal of economic cooperation and development. 

mohd azlan shah zaidi, zulkefly abdul karim, zurina kefeli@zulkefli.  (2018).  impact of china on malaysian economy: empirical evidence of sign-restricted structural vector autoregression (svar) model.  - asian academy of management journal of accounting and finance. 

abdul rahman nizamani, zulkefly abdul karim, mohd azlan shah zaidi, norlin khalid.  (2017).  trade balance response to shocks in monetary policy and exchange rate: evidence from pakistan using svecm approach.  - international journal of business and society.  579-594. 

nor fatimah che sulaiman, ishak yussof, mohd azlan shah zaidi, noorasiah sulaiman.  (2017).  long run relationship between income inequality and economic growth: evidence from malaysia.  - international journal of academic research in business and social sciences.  73-88. 

iszan hana kaharudin, zulkefly abdul karim, mohd azlan shah zaidi, mohd adib ismail.  (2017).  dasar fiskal ke atas perbelanjaan swasta: analisis svar di malaysia.  - jurnal ekonomi malaysia.  89-106. 

mohamed aseel syokr, zulkefly abdul karim, mohd azlan shah zaidi.  (2017).  the balance sheet channel of monetary policy: the panel evidence of egypt.  - macroeconomics and finance n emerging market economies.  286-305. 

mohd azlan shah zaidi, zulkefly abdul karim, w.n.w azman-saini.  (2016).  relative price effects of monetary policy shock in malaysia: a svar study.  - international journal of business and society.  47-62. 

abdul rahman nizamani, zulkefly abdul karim, mohd azlan shah zaidi, norlin khalid.  (2016).  the effectiveness of monetary policy in small open-economy: an svar study for pakistan.  - international journal of economics and management.  279-296. 

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. 

norashida othman, mohd azlan shah zaidi, zulkefly abdul karim, zulkornain yusop.  (2015).  impact of external and domestic shocks on malaysia`s electronic and electric (e&e) export demand.  - international journal of economics and management (ijem).  1-20. 

intan nurul nadia mohd napiah, zulkefly abdul karim, mohd azlan shah zaidi, mohd adib ismail.  (2015).  pelaburan firma dan dasar monetari: analisis panel ke atas firma patuh syariah di malaysia.  - jurnal ekonomi malaysia.  71-82. 

faraidoon shariq, mohd azlan shah zaidi, zulkefly abdul karim.  (2015).  the importance of the u.s shocks and monetary transmission mechanism channels in the united arab emirates..  - pertanika journal of social sciences and humanities.  47-60. 

zulkefly abdul karim, mohd azlan shah zaidi.  (2015).  monetary policy, firm size and equity returns in an emerging market: panel evidence of malaysia.  - asian academy of management journal of accounting and finance.  31-57. 

mohamed aseel shokr, zulkefly abdul karim, mansor jusoh, mohd azlan shah zaidi.  (2014).  the bank lending channel of monetary policy: the panel evidence from egypt.  - gadjah mada international journal of business.  255-274. 

mohd azlan shah zaidi, zulkefly abdul karim.  (2014).  impact of singapore, us and japanese macroeconomics shocks on malaysian economy: a sign-restricted svar analysis.  - jurnal pengurusan.  113-122. 

razieh tabandeh, mansor jusoh, nor ghani md. nor, mohd azlan shah zaidi.  (2013).  causes of tax evasion and their relative contribution in malaysia: an artificial neural network method analysis.  - jurnal ekonomi malaysia.  47(1):99-108. 

zulkefly abdul karim, mohd azlan shah zaidi, bakri abdul karim.  (2013).  monetary policy shocks, financial constraints and firm-level equity return: panel evidence.  - jurnal pengurusan.  51-63. 

mohd azlan shah zaidi, zulkefly abdul karim, w.n.w azman-saini.  (2013).  foreign and domestic shocks: macroeconomic responses of asean-3 countries.  - global economic review.  42(3):215-237. 

zulkefly abdul karim, musa muhamad ali, mohd azlan shah zaidi.  (2013).  pertumbuhan firma, kewangan dan kebebasan ekonomi: suatu kajian data panel.  - jurnal ekonomi malaysia.  47(1):173-180. 

zulkefly abdul karim, bakri abdul karim, mohd azlan shah zaidi.  (2012).  fixed investment, household consumption, and economic growth: a structural vector error correction model (svecm) study of malaysia.  - international journal of business and society.  13(1):52-63. 

zulkefly abdul karim, mohd. azlan shah zaidi, bakri abdul karim.  (2011).  does firm-level equity equity return respond to domestic and international monetary policy shocks? a panel data study of malaysia.  - jurnal ekonomi malaysia.  45:21-31. 

zulkefly abdul karim, mohd azlan shah zaidi, norain mod asri.  (2008).  pembangunan kewangan dan pertumbuhan sektor-sektor ekonomi: bukti empirikal di malaysia.  - jurnal ekonomi malaysia.  42(1):65-89. 

mohd azlan shah zaidi and zurina kefeli.  (2006).  exchange rate volatility and export flows among asean-4 countries.  - journal of business and policy research.  2(1):1-12.