THE INFLUENCE OF FINANCIAL RISK ON BANK STOCK RETURN IN MALAYSIA
This study investigates how financial risk influences the stock returns of Malaysian banks listed on Bursa Malaysia from 2015 to 2024. Using a multivariate Generalized Least Squares regression model, the effects of credit risk, market risk, liquidity risk, and capital risk on quarterly bank stock...
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| Main Authors: | , , |
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| Format: | Article |
| Language: | en |
| Published: |
UNIMAS Publisher
2025
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| Subjects: | |
| Online Access: | http://ir.unimas.my/id/eprint/50692/1/Yun%2BYi%2Bet%2Bal_83_102.pdf http://ir.unimas.my/id/eprint/50692/ https://publisher.unimas.my/ojs/index.php/URAF/article/view/11519 |
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