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ahmad monir abdullah; maizatulakma abdullah; romlah jaafar. (2022). the dynamic volatilities and correlations between german stock market indices and commodities: evidence from wavelet and mgarch-dcc approaches. - asian economic and financial review. 731-750. |
ahmad monir abdullah, hishamuddin abdul wahab, mohd fahmi ghazali, hazriah hasan, rafiatul adlin mohd ruslan, wan muhd nasrul hadi wan abdul aziz. (2022). portfolio diversification benefits of malaysia's stock indices with commodities: an analysis based on the mgarch-dcc and wavelet techniques. - jurnal pengurusan. 1-17. |
ahmad monir abdullah, hishamuddin abdul wahab, mohd fahmi ghazali, mohd hasimi yaacob, abul mansur mohammed masih. (2022). the dynamics of australian stock indices and commodities based on mgarch-dcc and wavelet techniques. - cogent business & management. 1-29. |
hishamuddin abdul wahab, obiyathulla ismath bacha, norhazlina ibrahim, ahmad monir abdullah, nurul afaaf mohd nasir. (2022). an assessment of currency exposure of non-financial firms in asean-4: insights using the stock returns and cash flow methodologies. - asian economic and financial review. 1002-1026. |
mohd fahmi ghazali, nurul fasyah mohd ussdek, hooi hooi lean, ahmad monir abdullah, anath rau krishnan. (2022). understanding the gold-inflation nexus in malaysia: hedge and safe haven perspectives. - international journal of business and society. 279-296. |