Chong Lee-Lee
Title
Cited by
Cited by
Year
Macroeconomic factors of exchange rate volatility
C Lee‐Lee, T Hui‐Boon
Studies in Economics and Finance, 2007
432007
Is the risk management committee only a procedural compliance?
TH Ng, LL Chong, H Ismail
The Journal of Risk Finance, 2013
402013
The behavior of institutional and retail investors in Bursa Malaysia during the bulls and bears
MM Lai, SH Tan, LL Chong
Journal of Behavioral Finance 14 (2), 104-115, 2013
352013
Determinants of corporate foreign exchange risk hedging
LL Chong, XJ Chang, SH Tan
Managerial Finance, 2014
282014
Firm size and risk taking in Malaysia's insurance industry
TH Ng, LL Chong, H Ismail
The Journal of Risk Finance, 2013
202013
Long memory properties in stock prices. Evidence from the Malaysian stock market
SH Tan, LL Chong, PF Yeap
European Journal of Economics, Finance and Administrative Sciences 18, 77-84, 2010
182010
Factors influencing knowledge sharing among undergraduate students: A Malaysian perspective
HB Ong, PF Yeap, SH Tan, LL Chong
Industry and Higher Education 25 (2), 133-140, 2011
172011
Exchange rate risk and macroeconomic fundamentals: Evidence from four neighboring Southeast Asian economies
LL Chong, BH Tan
International Research Journal of Finance and Economics 16, 88-95, 2008
142008
Innovative educational program: A new edge of education
L Chong, M Lai, H Ong, S Tan, NTP Lan
Journal of Applied Sciences 8 (10), 1832-1840, 2008
132008
Corporate risk-taking and performance in Malaysia: the effect of board composition, political connections and sustainability practices
LL Chong, HB Ong, SH Tan
Corporate Governance: The International Journal of Business in Society, 2018
102018
How past perceived portfolio returns affect financial behaviors—The underlying psychological mechanism
MTI Khan, SH Tan, LL Chong
Research in International Business and Finance 42, 1478-1488, 2017
92017
The perception of households about solid waste management issues in Malaysia
SW Choon, SH Tan, LL Chong
Environment, development and sustainability 19 (5), 1685-1700, 2017
92017
The effects of stated preferences for firm characteristics, optimism and overconfidence on trading activities
MTI Khan, SH Tan, LL Chong
International Journal of Bank Marketing, 2016
92016
Gender differences in preferences for firm characteristics across different groups of investors
MTI Khan, SH Tan, LL Chong
Qualitative Research in Financial Markets, 2016
92016
Auditors Switching in the Relationship Between Corporate Governance and Financial Performances-Evidence from Malaysian Public Listed Companies (PLCs).
IKYEE TAN, TZE SAN ONG, AB SAMUEL, LEELEE CHONG
International Journal of Economics & Management 10 (1), 2016
82016
A framework of a sustainable performance measurements (SPMS) model for the Malaysian electronic and electrical industry
TB Heng, CL Lee, YP Foong, OT San
World Applied Sciences Journal 20 (1), 107-119, 2012
82012
Perception of past portfolio returns, optimism and financial decisions
MTI Khan, SH Tan, LL Chong
Review of Behavioral Finance, 2017
72017
Multivariate market risk evaluation between Malaysian Islamic stock index and sectoral indices
SL Ng, WC Chin, LL Chong
Borsa Istanbul Review 17 (1), 49-61, 2017
72017
Impacts of FRS139 adoption on value relevance of financial reporting in Malaysia
CY Gan, LL Chong, Z Ahmad
Managerial Finance, 2016
72016
Information sources and investing decisions–a path modeling approach
MTI Khan, SH Tan, LL Chong
Managerial Finance, 2017
52017
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