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Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries

Year 2017, Volume: 7 Issue: 1, 37 - 45, 01.03.2017

Abstract

This paper aims to examine the effect of macroeconomic variables namely inflation, money supply, and exchange rate on both conventional and Islamic stock market returns in the three selected ASEAN countries (Singapore, Malaysia, Indonesia) by utilising monthly data over the period of January 2005 to December 2015. Applying the panel least square regression techniques, the results show that both stock market returns are significantly affected by the exchange rate and inflation rate. Money supply is found to be insignificant. The findings of this paper also conclude that inflation poses a greater effect and inversely related to the stock market returns. In this case, there is a need for amendment in monetary policy to ensure that inflation rate is set at a low level, since the results would be able to bring an impact to boost the capital market in the selected ASEAN countries.

Year 2017, Volume: 7 Issue: 1, 37 - 45, 01.03.2017

Abstract

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Details

Other ID JA69RS76EH
Journal Section Research Article
Authors

Nurasyikin Jamaludin This is me

Shahnaz Ismail This is me

Syamimi Ab Manaf This is me

Publication Date March 1, 2017
Published in Issue Year 2017 Volume: 7 Issue: 1

Cite

APA Jamaludin, N., Ismail, S., & Manaf, S. A. (2017). Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries. International Journal of Economics and Financial Issues, 7(1), 37-45.
AMA Jamaludin N, Ismail S, Manaf SA. Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries. IJEFI. March 2017;7(1):37-45.
Chicago Jamaludin, Nurasyikin, Shahnaz Ismail, and Syamimi Ab Manaf. “Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries”. International Journal of Economics and Financial Issues 7, no. 1 (March 2017): 37-45.
EndNote Jamaludin N, Ismail S, Manaf SA (March 1, 2017) Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries. International Journal of Economics and Financial Issues 7 1 37–45.
IEEE N. Jamaludin, S. Ismail, and S. A. Manaf, “Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries”, IJEFI, vol. 7, no. 1, pp. 37–45, 2017.
ISNAD Jamaludin, Nurasyikin et al. “Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries”. International Journal of Economics and Financial Issues 7/1 (March 2017), 37-45.
JAMA Jamaludin N, Ismail S, Manaf SA. Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries. IJEFI. 2017;7:37–45.
MLA Jamaludin, Nurasyikin et al. “Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries”. International Journal of Economics and Financial Issues, vol. 7, no. 1, 2017, pp. 37-45.
Vancouver Jamaludin N, Ismail S, Manaf SA. Macroeconomic Variables and Stock Market Returns: Panel Analysis from Selected ASEAN Countries. IJEFI. 2017;7(1):37-45.