Penerbitan SCOPUS/ERA

yusri yahya, abdul hafizh mohd azam, zulkefly abdul karim, mohd azlan shah zaidi .  (2026).  risiko geopolitik dan keputusan pelabur di pasaran saham malaysia pendekatan lat tertabur autoregresif.  - jurnal ekonomi malaysia.  59 - 69. 

xiaoyi zhang, tamat sarmidi, yongxu chai, abdul hafiz mohd azam, muhammad faliq abd razak .  (2026).  the role of china’s edible oil and oil-seed futures in world related futures market: a look at the impact of extreme shocks.  - review of derivatives research .  1 - 30. 

ahmed saleh hasan, zulkefly abdul karim, abdul hafizh mohd azam, mohd fahmi ghazali.  (2026).  the determinants of exchange rate volatility in the mena region: new evidence using a dynamic panel data.  - international journal of economics and finance studies.  128 - 161. 

mohammed r. m. salem, abdul hafizh mohd azam, shahida shahimi, mohd fahmi ghazali.  (2026).  the mediating role of bank risk-taking in the relationship between esg pillars and banks financial performance in asean-5 economies.  - risk management.  1 - 28. 

mohammed r. m. salem, abdul hafizh mohd azam, siti afiqah zainuddin.  (2026).  factors influencing bank financial performance in asean-5 with the mediating role of fintech adoption.  - discover artificial intelligence.  1 - 28. 

ebraheem m. b. k. h. h. alorf, suziana hassan, abdul hafizh mohd azam and norlida hanim mohd salleh .  (2026).  a systematic literature review for the nexus between  co2 emissions, energy use and foreign direct investment.  - discover environment.  1 - 46. 

mohammed r. m. salem, norazah mohd suki, abdul hafizh mohd azam.  (2026).  beyond the fintech proxy: the ai evidence gap and esg intelligence divide in global banking: a scoping review.  - sn business & economics.  363 - 363. 

ahmad fiqry ahmad murad, abdul hafizh mohd azam, muhamad rias k. v. zainuddin.  (2025).  malaysia’s economic growth: evidence from japan-malaysia bilateral trade and development aid relationships.  - international journal of economics and financial issues.  260 - 267. 

tuan muhammad amir amirul tuan soh, muhamad rias k. v. zainuddin, abdul hayy haziq mohamad, arifin, abdul hafizh mohd azam.  (2025).  the role of financial development in poverty and income distribution dynamics in asean countries: a panel cointegration analysis.  - international journal of economics and financial issues.  336 - 343. 

nur anita yunikawatia, linda seprillinaa, bagus shandy narmadityaa, vika annisa qurrataa, abdul hafizh mohd azam.  (2025).  unraveling entrepreneurship program in higher education: a bibliometric analysis.  - multidisciplinary reviews.  1 - 10. 

ma hui, zulkefly abdul karim, noorasiah sulaiman, abdul hafizh mohd azam .  (2025).  impact of digital economy on high-quality development: a panel evidence from chinese provinces.  - jurnal ekonomi malaysia.  1 - 14. 

xiaoyi zhang, tamat sarmidi1, yongxu chai, abdul hafiz mohd azam, and faliq abd razak.  (2025).  dynamic spillover effects and its influencing factors in commodity futures markets under major shocks: evidence from china’s edible oils and oil-seeds futures.  - paper asia.  218 - 231. 

suziana hassan, shengyu chen, abdul hafizh mohd azam, banji rildwan olaleye.  (2025).  measuring green economic growth in eastern china: influencing factors and policy perspectives.  - discover sustainability.  1 - 21. 

hua nian, fathin faizah said, abdul hafizh mohd azam, noratiqah mohd ariff.  (2025).  does esg implementation reduce bankruptcy risk of manufacturing and non-manufacturing firms? evidence from dynamic panel threshold model.  - finance research letters.  1 - 9. 

linda seprillina, tamat sarmidi, abdul hafizh mohd. azam.  (2025).  macro-prudential policy, income inequality, and economic growth: a systematic literature review.  - multidisciplinary reviews.  1 - 10. 

xiaonan hu, ruzita abdul-rahim, abdul hafizh mohd azam, jikui li.  (2025).  tail risk hedging with cryptocurrencies: a copula-garch approach for global sectoral equities.  - international journal of economics and finance studies.  61 - 78. 

mohammed r. m. salem, shahida shahimi, suhaili alma‘amun, abdul hafizh mohd azam, and mohd fahmi ghazali.  (2025).  esg and banking performance in asean-5: disaggregated analysis using system gmm and lsdvc.  - sage open.  1 - 19. 

yusri yahya, abdul hafizh mohd azam, zulkefly abdul karim, mohd azlan shah zaidi.  (2025).  reverse herding behavior in the malaysian stock market: a wavelet multiple cross-correlation analysis.  - economics bulletin.  2102 - 2110. 

nurhamizah rashid, abdul hafizh mohd azam, tamat sarmidi, naziatul aziah mohd radzi.  (2024).  asymmetric effect of market sentiment on banking: a nonlinear ardl approach.  - jurnal ekonomi malaysia.  1-15. 

kalsom zakaria, nur ain mohd hassan, abdul hafizh mohd azam, kamalrudin mohamed salleh, nur nadia kamil, norhidayu abdullah.  (2024).  factors affecting export demand for malaysian palm-based finished products.  - asian academy of management journal.  109 - 132. 

ma hui, zulkefly abdul karim, noorasiah sulaiman, abdul hafizh mohd azam.  (2023).  corporate income tax incentives and r&d investment in digital companies: a new evidence from china.  - jurnal ekonomi malaysia.  1-10. 

tamat sarmidi, abdul hafizh mohd azam, abu hassan shaari md nor, kalsom zakaria.  (2022).  the role of palm oil in stabilising the price of vegetable oil market: empirical evidence using mgarch approach.  - journal of sustainability science and management.  19-31. 

mohd syafiq sabri, norlin khalid, abdul hafizh mohd azam, tamat sarmidi.  (2022).  impact analysis of the external shocks on the prices of malaysian crude palm oil: evidence from a structural vector autoregressive model.  - mathematics.  1-22.