Please use this identifier to cite or link to this item: https://ptsldigital.ukm.my/jspui/handle/123456789/578416
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dc.contributor.authorMarzuki R. M (UITM)
dc.contributor.authorMohd M. A (UITM)
dc.contributor.authorNawawi A. H. M (UITM)
dc.contributor.authorRedzwan N. M (UITM)
dc.date.accessioned2023-11-06T03:01:31Z-
dc.date.available2023-11-06T03:01:31Z-
dc.date.issued2017-07
dc.identifier.issn0128-7680
dc.identifier.otherukmvital:115910
dc.identifier.urihttps://ptsldigital.ukm.my/jspui/handle/123456789/578416-
dc.descriptionSingle Stock Futures (SSFs) was introduced in Bursa Malaysia on 28th April 2006. There have been many studies on derivative instruments in Malaysia; however, none is on SSFs. Various statistical methods have been used to analyse the SSFs and its spot returns, namely Descriptive Statistics, Unit Root test, VAR, Johansen and Juselius Co-integration test, Granger Causality test, Variance Decomposition test, VECM, and GARCH model. This study analyses the SSFs and spot returns of eight companies listed in Bursa Malaysia. It found that Berjaya Sports Toto Bhd and Genting Bhd have no long-run and short-run causality (Genting Bhd has bi-directional causality) while AirAsia Bhd and AMMB Holdings Bhd’s spot returns’ volatility decreased after the introduction of SSFs; it increased in the other seven companies. In addition, only AMMB Holdings Bhd futures return did not affect its spot return. Bursa Malaysia Bhd and RHB Capital Bhd spot returns lead their futures returns
dc.language.isoen
dc.publisherUniversiti Putra Malaysia Press
dc.relation.haspartPertanika Journals
dc.relation.urihttp://www.pertanika.upm.edu.my/regular_issues.php?jtype=2&journal=JST-25-3-7
dc.rightsUKM
dc.subjectSingle Stock Futures
dc.subjectSSF
dc.subjectVAR
dc.subjectGranger Causality
dc.subjectGARCH
dc.titleAnalysis of Malaysia’s single stock futures and its spot price
dc.typeJournal Article
dc.format.volume25
dc.format.pages735-744
dc.format.issue3
Appears in Collections:Journal Content Pages/ Kandungan Halaman Jurnal

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