Penerbitan SCOPUS/ERA

tee lain tze, kew si roei, hawati janor, ruzita abdul rahim.  (2020).  do world crude oil prices, global uncertainty and exchange rates influence palm oil prices? evidence from the nonlinear ardl approach.  - institutions and economies.  1-18. 

ling pick soon, ruzita abdul rahim, fathin faizah said.  (2020).  the effectiveness of technical strategies in malaysian shariah vs conventional stocks.  - isra international journal of islamic finance.  195-215. 

adilah abd wahab, ruzita abdul rahim, hawati janor.  (2020).  impact of foreign exchange exposure and shariah-compliant status on malaysian firms hedging practice.  - jurnal pengurusan.  1-13. 

ruzita abdul rahim, ling pick soon, rasidah mohd rashid.  (2019).  performance of local versus international focus malaysian-based mutual funds.  - asian academy of management journal of accounting and finance (aamjaf).  53-75. 

rasidah mohd rashid, ruzita abdul rahim, norliza che-yahya.  (2019).  the influence of information asymmetry on ipo lock-up provisions: evidence from malaysian market.  - global business review.  613-626. 

ali albada, othman yong, ruzita abdul-rahim, mohd. ezani mat hassan.  (2019).  information asymmetry and signalling in emerging ipo markets: the case of malaysia.  - asian journal of business and accounting.  1-28. 

norliza che-yahya, ruzita abdul-rahim, rasidah mohd-rashid.  (2019).  flipping activity in malaysian ipo market: a new explanation from the winner's curse perspective.  - international journal of accounting and finance.  47-67. 

norliza che yahya and ruzita abdul-rahim.  (2019).  moderating effect of information asymmetry on the signaling role of ipo lockup provision.  - global business review.  917-930. 

adilah a. wahab, ruzita abdul rahim, hawati janor.  (2019).  role of foreign exchange exposure in determining hedging practices in malaysia.  - international journal of economics and management.  79-91. 

ruzita abdul rahim, adilah a wahab, nor amalina yusoff.  (2019).  impact of shariah-compliant status on firms decision to practice forex hedging.  - journal of islamic accounting and business research.  756-769. 

rasidah mohd rashid, ruzita abdul-rahim, norliza che yahya, ahmad hakimi tajuddin.  (2019).  impact of a regulatory change on initial performance of ipos.  - afro-asian journal of finance and accounting.  332-348. 

ali albada, othman yong, mohd ezani mat hassan, ruzita abdul-rahim.  (2018).  retention ratio, lock-up period and prestige signals and their relationship with initial public offering (ipo) return: malaysian evidence.  - asian academy of management journal of accounting and finance. 

maryam yousefi nejad, azlina ahmad, mohd fairuz md salleh, ruzita abdul rahim.  (2018).  international financial reporting standards foreign direct investment in asean countries.  - gadjah mada international journal of business. 

engku mohamad engku abdullah, aisyah abdul-rahman, ruzita abdul rahim.  (2018).  adoption of financial technology (fintech) in mutual fund/ unit trust investment among malaysians: unified theory of acceptance and use of technology (utaut).  - international journal of engineering & technology. 

rasidah mohd rashid, mansur masih, ruzita abdul rahim, norliza che yahya.  (2018).  does prospectus information matter in ipo pricing.  - journal of islamic accounting and business research. 

norliza che yahya, ruzita abdul rahim, rasidah mohd rashid.  (2018).  the influence of offer-for-sale by existing shareholders on investors' reaction in ipo immediate aftermarket.  - business and economic horizons. 

ruzita abdul-rahim, rafidah othman and ling pick soon.  (2017).  carhart and q-factor views of mutual fund performance.  - jurnal pengurusan.  1-16. 

norliza che-yahya, ruzita abdul-rahim & rasidah mohd-rashid.  (2017).  the moderating effect of information asymmetry on the signalling role of institutional investorsin the malaysian ipos.  - asian journal of business and accounting.  127-166. 

ling pick soon & ruzita abdul rahim.  (2017).  market efficiency based on unconventional technical trading strategies in malaysian stock market.  - international journal of economics and financial issues.  88-99. 

mohd hasimi yaacob, hawati janor, ruzita abd rahim, aisyah abdul rahman, raihan ashikin mohd nor.  (2017).  new dimension of asymmetric information in capital inflow composition on asean+3: a stock market microstructure approach.  - international journal of economic research.  353-360. 

ling pick soon, ruzita abdul rahim.  (2016).  efficiency of malaysian stock market: a revisit based on analysts` recommendations.  - geografia online: malaysian journal of society and space.  1-14. 

norliza che-yahya, ruzita abdul-rahim, rasidah abdul-rashid.  (2016).  determinants of corporate bond yield: the case of malaysian bond market.  - international journal of business and society.  245-258. 

ruzita abdul-rahim, azhan taqiyaddin-arizan, shifa mohd nor.  (2016).  analisis teknikal dan implikasinya terhadap kecekapan pasaran saham di malaysia.  - jurnal pengurusan.  3-20. 

norazlan alias, mohd hasimi yaacob, ruzita abdul-rahim, fauzias mat nor.  (2016).  board structure, free cash flow and dividend per share in malaysia listed firms: an empirical study of interaction effect.  - geografia online: malaysian journal of society and space.  58-67. 

shifa mohd nor, ruzita abdul rahim & zizah che senik.  (2016).  the potentials of internalising social banking among the malaysian islamic banks.  - environment, development and sustainability.  347 - 372. 

rasidah mohd-rashid, ruzita abdul-rahim and norliza che-yahya.  (2016).  shareholder retention influence on the flipping activity of malaysian ipos.  - pertanika social sciences and humanities.  133-144. 

ahmad hakimi tajuddin, rasidah mohd-rashid, nur adiana hiau abdullah, ruzita abdul rahim.  (2015).  an empirical examination of over-subscription in the malaysian ipo market.  - international journal of economics and management - pertanika.  81-102. 

norliza che yahya, ruzita abdul rahim.  (2015).  role of lockup provision and institutional investors in restricting ipo flipping activity: is there a moderating effect of investor demand.  - asian academy of management journal of accounting and finance.  1-28. 

norliza che-yahya, ruzita abdul rahim, othman yong.  (2014).  influence of institutional investors` participation on flipping activity of malaysian ipos.  - economic systems.  470-486. 

norazlan alias, ruzita abd. rahim, fauzias mat nor, mohd. hasimi yaacob.  (2014).  board structure, capital structure and dividend per share: is there interaction effect?.  - indian journal of corporate governance.  2-13. 

rasidah mohd rashid, ruzita abdul rahim, othman yong.  (2014).  the influence of lock-up provisions on ipo initial returns: evidence from an emerging market.  - economic systems.  487-501. 

nor asiah, ruzita abdul rahim, che aniza che wel, syed shah alam.  (2014).  compulsive buying and credit card misuse among credit card holders: the roles of self-esteem, materialism, impulsive buying and budget constraint.  - intagible capital.  52-74. 

ruzita abdul rahim, nor azizan che embi.  (2013).  initial returns of shariah versus non-shariah ipos: are there any differences?.  - jurnal pengurusan.  39: 23 pages. 

islam abdeljawad, fauzias mat nor, izani ibrahim, ruzita abdul rahim.  (2013).  dynamic capital structure trade-off theory: evidence from malaysia.  - international review of business research papers.  9(6):102-110. 

hawati janor, ruzita abdul rahim, aisyah abdul rahman, noor azryani auzairy, noor azuan hashim, muhamad zain yusof.  (2013).  integrating student-centered learning in finance courses: the case of a malaysian research university.  - international education studies.  6(6):108-123. 

ruzita abdul rahim, ros zam zam sapian, othman yong, noor azryani auzairy.  (2013).  flipping activity and subsequent aftermarket trading in malaysian initial public offerings (ipos).  - asian academy of management journal of accounting and finance.  113-128. 

ros zam zam sapian, ruzita abdul rahim, othman yong.  (2013).  ipo underpricing and aftermarket liquidity: evidence from malaysia.  - international journal of business and society.  14(2):299-318. 

ruzita abdul rahim, ros zam zam sapian, othman yong, noor azryani auzairy.  (2013).  flipping activity and subsequent aftermarket trading in malaysian initial public oferrings (ipos).  - asian academy of management journal of accounting and finance.  9(1):113-128. 

fauzias mat nor, ruzita abdul rahim, norazlan alias, mohd hasimi yaacob.  (2012).  malaysian corporate finance and governance behavior.  - jurnal pengurusan.  35:21-31. 

ros zam zam sapian, ruzita abdul rahim, othman yong.  (2012).  darjah terkurang harga, aktiviti penjualan semula dan tahap kecairan selepas pasaran saham taa.  - jurnal pengurusan.  34:29-43. 

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. 

syafaruddin alwi dan ruzita abdul rahim.  (2009).  dividend and debt policy as corporate governance mechanism : indonesian evidence.  - jurnal pengurusan.  29:112-125. 

ruzita abdul rahim, mohammed zain yusof, ros zam zam sapian, hawati janor.  (2008).  international transmission of stock market movement: evidence from the islamic equity markets.  - jurnal pengurusan.  27:49-68. 

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.