Items where Author is "Zainal Abidin, Sazali"
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Article
Haron, Razali and Zainal Abidin, Sazali (2006) Correlation and benefits of portfolio diversification among equity markets of developed countries and emerging countries in South East Asia region. International Journal of Economics and Management, 1 (1). pp. 43-66. ISSN 1823-836X
Haron, Razali and Zainal Abidin, Sazali (2006) Correlation studies on equity markets using linear regression model - Malaysia, developing and developed markets. Journal of International Business and Entrepreneurship, 12 (2). pp. 45-63. ISSN 0128-7494
Proceeding Paper
Haron, Razali and Zainal Abidin, Sazali (2008) Correlation and portfolio diversification among South East Asia, emerging and developed countries. In: 15th Annual Conference of the Multinational Finance Society, 6-8 July, 2008, Orlando, Florida, USA.
Haron, Razali and Zainal Abidin, Sazali and Larbani, Moussa (2006) Correlation studies on equity markets using linear regression model - Malaysia developing and developed markets. In: MFA's 8th. Annual Conference , 8-9 May, 2006, Universiti Malaysia Sabah.