The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor

This study examines the relationships between interest rate and stock market in Malaysia and the relationships between interest rate and stock market in Malaysia in different economic condition. Extending related empirical studies, comparative analyses of pre-crisis, crisis, and post crisis periods...

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Main Author: Mohd Noor, Noorulasikin
Format: Student Project
Language:English
Published: Faculty of Business and Management 2013
Subjects:
Online Access:http://ir.uitm.edu.my/id/eprint/28712/1/28712.pdf
http://ir.uitm.edu.my/id/eprint/28712/
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spelling my.uitm.ir.287122020-06-18T04:38:02Z http://ir.uitm.edu.my/id/eprint/28712/ The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor Mohd Noor, Noorulasikin Finance and cycles. Financial crises. Convergence (Economics) Interest Investment, capital formation, speculation Stock exchanges. Insider trading in securities This study examines the relationships between interest rate and stock market in Malaysia and the relationships between interest rate and stock market in Malaysia in different economic condition. Extending related empirical studies, comparative analyses of pre-crisis, crisis, and post crisis periods are conducted to comprehensively evaluate how the relationship between interest rate and stock market in Malaysia was affected by financial crises. In general, the results show that no relationships between interest rate and stock market in Malaysia. In addition, Interest Rate has no significant relationship on stock market in Malaysia at pre-economic crisis and during economic crisis. However, interest rate has significant relationship with stock market at post economic crisis. In addition to this, interest rates are one of the macroeconomic variables that will explain stock market in Malaysia. In this paper Regression Analysis approach was used to determine the significant relationship between interest rate and stock market in Malaysia by way of analysing the trend of the interest rate and stock markets for the period January 2005 to August 2010. Monthly data were used for the analysis. Faculty of Business and Management 2013 Student Project NonPeerReviewed text en http://ir.uitm.edu.my/id/eprint/28712/1/28712.pdf Mohd Noor, Noorulasikin (2013) The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor. [Student Project] (Unpublished)
institution Universiti Teknologi Mara
building Tun Abdul Razak Library
collection Institutional Repository
continent Asia
country Malaysia
content_provider Universiti Teknologi Mara
content_source UiTM Institutional Repository
url_provider http://ir.uitm.edu.my/
language English
topic Finance and cycles. Financial crises. Convergence (Economics)
Interest
Investment, capital formation, speculation
Stock exchanges. Insider trading in securities
spellingShingle Finance and cycles. Financial crises. Convergence (Economics)
Interest
Investment, capital formation, speculation
Stock exchanges. Insider trading in securities
Mohd Noor, Noorulasikin
The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
description This study examines the relationships between interest rate and stock market in Malaysia and the relationships between interest rate and stock market in Malaysia in different economic condition. Extending related empirical studies, comparative analyses of pre-crisis, crisis, and post crisis periods are conducted to comprehensively evaluate how the relationship between interest rate and stock market in Malaysia was affected by financial crises. In general, the results show that no relationships between interest rate and stock market in Malaysia. In addition, Interest Rate has no significant relationship on stock market in Malaysia at pre-economic crisis and during economic crisis. However, interest rate has significant relationship with stock market at post economic crisis. In addition to this, interest rates are one of the macroeconomic variables that will explain stock market in Malaysia. In this paper Regression Analysis approach was used to determine the significant relationship between interest rate and stock market in Malaysia by way of analysing the trend of the interest rate and stock markets for the period January 2005 to August 2010. Monthly data were used for the analysis.
format Student Project
author Mohd Noor, Noorulasikin
author_facet Mohd Noor, Noorulasikin
author_sort Mohd Noor, Noorulasikin
title The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
title_short The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
title_full The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
title_fullStr The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
title_full_unstemmed The relationship between interest rate and stock market in Malaysia / Noorulasikin Mohd Noor
title_sort relationship between interest rate and stock market in malaysia / noorulasikin mohd noor
publisher Faculty of Business and Management
publishDate 2013
url http://ir.uitm.edu.my/id/eprint/28712/1/28712.pdf
http://ir.uitm.edu.my/id/eprint/28712/
_version_ 1685650450412470272
score 13.211869