Hooi Hooi Lean
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(Suggest an Edit or Addition)According to Wikipedia, Hooi Hooi Lean is a Malaysian economist and a professor at the School of Social Sciences in the Economics program at University of Science, Malaysia. Lean acts as an associate editor of Singapore Economic Review, Capital Market Review and Frontiers in Energy and an editor of J. of Asian Finance, Economics and Business and East Asian J. of Business Management.
Hooi Hooi Lean's Published Works
Published Works
- Co2 Emissions, Electricity Consumption And Output In Asean (2010) (720)
- Does financial development increase energy consumption? The role of industrialization and urbanization in Tunisia (2011) (677)
- Environmental Kuznets Curve hypothesis in Pakistan: Cointegration and Granger causality (2012) (552)
- The influence of economic growth, urbanization, trade openness, financial development, and renewable energy on pollution in Europe (2015) (444)
- The evolution of the natural resource curse thesis: A critical literature survey (2017) (419)
- Intellectual capital performance of financial institutions in Malaysia (2009) (336)
- The Dynamics of Electricity Consumption and Economic Growth:A Revisit Study of Their Causality in Pakistan (2012) (282)
- Do Islamic stock indexes outperform conventional stock indexes? A stochastic dominance approach (2014) (259)
- Multivariate Granger causality between electricity generation, exports, prices and GDP in Malaysia (2010) (249)
- On the dynamics of aggregate output, electricity consumption and exports in Malaysia: Evidence from multivariate Granger causality tests (2010) (212)
- CO2 emissions, energy consumption and economic growth in the ASEAN-5 countries: A cross-sectional dependence approach (2020) (203)
- International momentum strategies: a stochastic dominance approach (2005) (195)
- Natural Gas Consumption and Economic Growth in Pakistan (2013) (193)
- Is the tourism-led growth hypothesis stable for Malaysia? A note (2009) (143)
- Stochastic dominance analysis of Asian hedge funds (2008) (133)
- Effects of energy consumption, economic growth, and financial development on carbon emissions: evidence from heterogeneous income groups (2019) (122)
- Logistics and economic development: Experience from China (2014) (121)
- Market Efficiency of Oil Spot and Futures: A Mean-Variance and Stochastic Dominance Approach (2010) (107)
- Stochastic dominance and behavior towards risk: The market for Internet stocks (2008) (105)
- Revisiting calendar anomalies in Asian stock markets using a stochastic dominance approach (2007) (100)
- Long memory in US disaggregated petroleum consumption: Evidence from univariate and multivariate LM tests for fractional integration (2009) (95)
- The moderating role of energy consumption in the carbon emissions-income nexus in middle-income countries (2020) (89)
- Asian Financial Crisis, Avian Flu and Terrorist Threats: Are Shocks to Malaysian Tourist Arrivals Permanent or Transitory? (2009) (88)
- Capital Structure of Government-Linked Companies in Malaysia (2011) (84)
- Linkages between Foreign Direct Investment, Domestic Investment and Economic Growth in Malaysia (2011) (83)
- Asymmetric impact of oil price on Islamic sectoral stocks (2017) (80)
- Is Gold Good for Portfolio Diversification? A Stochastic Dominance Analysis of the Paris Stock Exchange (2015) (77)
- Policy uncertainty and performance characteristics of sustainable investments across regions around the global financial crisis (2014) (74)
- Will Inflation Increase Crime Rate? New Evidence from Bounds and Modified Wald Tests (2007) (74)
- Oil Curse and Finance-Growth Nexus in Malaysia: The Role of Investment (2016) (68)
- Environmental Kuznets Curve and the role of energy consumption in Pakistan (2011) (64)
- Are too many natural resources to blame for the shape of the Environmental Kuznets Curve in resource-based economies? (2020) (61)
- New evidence from the misery index in the crime function (2009) (61)
- Will policies to promote renewable electricity generation be effective? Evidence from panel stationarity and unit root tests for 115 countries (2013) (60)
- Performance and performance persistence of socially responsible investment funds in Europe and North America (2015) (60)
- Sharia compliant gold investment in Malaysia: Hedge or safe haven?☆ (2015) (59)
- Growth and environmental quality in Singapore: Is there any trade-off? (2014) (56)
- The impact of China’s one belt one road initiative on international trade in the ASEAN region (2019) (55)
- Natural gas consumption, income, urbanization, and CO2 emissions in China and India (2016) (54)
- The sizes and powers of some stochastic dominance tests: A Monte Carlo study for correlated and heteroskedastic distributions (2008) (53)
- Regional House Prices and the Ripple Effect in Malaysia (2013) (53)
- Are Malaysia's Tourism Markets Converging? Evidence from Univariate and Panel Unit Root Tests with Structural Breaks (2008) (51)
- Integration of world leaders and emerging powers into the Malaysian stock market: A DCC-MGARCH approach (2013) (51)
- The domestic savings and economic growth relationship in China (2009) (51)
- Are shocks to disaggregated energy consumption in Malaysia permanent or temporary? Evidence from LM unit root tests with structural breaks (2014) (47)
- Disaggregated energy demand by fuel type and economic growth in Malaysia (2014) (47)
- Moderating effect of inflation on the finance–growth nexus: insights from West African countries (2019) (45)
- Are fluctuations in US production of renewable energy permanent or transitory (2013) (45)
- Exchange Rate and Stock Price Interaction in Major Asian Markets: Evidence for Individual Countries and Panels Allowing for Structural Breaks (2011) (44)
- Do Asian Stock Markets Follow a Random Walk? Evidence from LM Unit Root Tests with One and Two Structural Breaks (2007) (44)
- Dynamic interaction between house prices and stock prices in Malaysia (2014) (42)
- The Impact of Foreign Direct Investment on the Growth of the Manufacturing Sector in Malaysia (2008) (41)
- Do Economic Policy Uncertainty and Geopolitical Risk Lead to Environmental Degradation? Evidence from Emerging Economies (2021) (36)
- The Impact of Foreign Direct Investment on Stock Market Development: Evidence From Pakistan (2013) (34)
- Ownership Concentration, Family Ownership and Leverage: Evidence from Malaysia (2015) (33)
- Will initiatives to promote hydroelectricity consumption be effective? Evidence from univariate and panel LM unit root tests with structural breaks (2014) (33)
- Preferences of risk-averse and risk-seeking investors for oil spot and futures before, during and after the Global Financial Crisis (2015) (32)
- Impact of financial structure on environmental quality: evidence from panel and disaggregated data (2019) (32)
- Performance of Islamic Indices in Malaysia FTSE Market: Empirical Evidence from CAPM (2012) (31)
- Are the Responses of Sectoral Energy Imports Asymmetric to Exchange Rate Volatilities in Pakistan? Evidence From Recent Foreign Exchange Regime (2021) (28)
- Stochastic dominance analysis of CTA funds (2013) (28)
- Do economic and financial integration stimulate economic growth? A critical survey (2019) (27)
- Size and Power of Some Stochastic Dominance Tests: A Monte Carlo Study (2006) (25)
- Financial development, oil dependence and economic growth: Evidence from the Republic of Yemen (2017) (25)
- Finance–Growth Nexus: New Insights from the West African Region (2017) (25)
- Managerial Overconfidence, Government Intervention and Corporate Financing Decision (2016) (24)
- Asymmetric inflation hedge properties of housing in Malaysia: New evidence from nonlinear ARDL approach (2017) (24)
- Influence of Real Exchange Rate on the Finance-Growth Nexus in the West African Region (2019) (24)
- Testing for weak-form efficiency of crude palm oil spot and future markets: new evidence from a GARCH unit root test with multiple structural breaks (2015) (24)
- Bivariate Causality between Exchange Rates and Stock Prices on Major Asian Countries (2005) (24)
- Does Electricity Drive the Development of Manufacturing Sector in Malaysia? (2015) (22)
- Energy subsidy and oil price fluctuation, and price behavior in Malaysia:A time series analysis (2019) (22)
- The roles of financial development and urbanization in degrading environment in Africa: Unravelling non-linear and moderating impacts (2022) (21)
- The role of deficit and debt in financing growth in West Africa (2020) (19)
- The Relation between Fees and Return Predictability in the Mutual Fund Industry (2015) (19)
- Are fluctuations in oil consumption permanent or transitory? Evidence from linear and nonlinear unit root tests (2016) (19)
- DOES GOVERNMENT OWNERSHIP MATTER? COMPARATIVE STUDY BETWEEN GLCS AND NGLCS IN MALAYSIA (2015) (19)
- Nonlinearity convergence of tourism markets in Seychelles (2014) (19)
- Do REITs Outperform Stocks and Fixed-Income Assets? New Evidence from Mean-Variance and Stochastic Dominance Approaches (2007) (18)
- IS GOLD A GOOD HEDGE AGAINST INFLATION ? EMPIRICAL EVIDENCE IN MALAYSIA (2015) (17)
- Why Are Warrant Markets Sustained in Taiwan but Not in China? (2018) (17)
- Foreign Capital Inflows and Economic Growth in Nigeria: Any Nexus? (2019) (16)
- Market-timing skills of socially responsible investment fund managers: The case of North America versus Europe (2014) (16)
- Do Malaysian house prices follow a random walk? Evidence from univariate and panel LM unit root tests with one and two structural breaks (2013) (16)
- REITs, interest rates and stock prices in Malaysia (2011) (16)
- Electricity consumption, output, and trade in Bhutan (2014) (15)
- Digitalization and Energy Sustainability in ASEAN (2022) (15)
- The regulated coal sector and CO2 emissions in Indian growth process: Empirical evidence over half a century and policy suggestions (2017) (14)
- Ownership Structure and Firm Performance: The Role of R&D (2016) (14)
- The Relevance of Heteroskedasticity and Structural Breaks when Testing for a Random Walk with High-Frequency Financial Data: Evidence from ASEAN Stock Markets (2015) (14)
- Natural Resources, Financial Development and Sectoral Value Added in a Resource Based Economy (2017) (14)
- Existence of the Day-of-the-week Effect in FTSE Bursa Malaysia (2010) (14)
- Asymmetric impact of oil price and exchange rate on disaggregation price inflation (2021) (13)
- Asymmetries in the effect of oil rent shocks on economic growth: A sectoral analysis from the perspective of the oil curse (2021) (13)
- Performances and risk of socially responsible investments across regions during crisis (2020) (13)
- Natural Resources and Productivity: Can Banking Development Mitigate the Curse? (2017) (12)
- Tripartite Analysis of Financial Development, Trade Openness and Economic Growth: Evidence from Ghana, Nigeria and South Africa (2018) (12)
- Market Timing Ability of Socially Responsible Investing Funds in Luxembourg (2013) (12)
- A comparison of the gold-oil portfolio and oil portfolio: A stochastic dominance approach (2020) (12)
- A Macro Assessment of China Effects on Malaysian Exports and Trade Balances (2013) (11)
- INFLUENCE OF MACROECONOMIC STABILITY ON FINANCIAL DEVELOPMENT IN DEVELOPING ECONOMIES: EVIDENCE FROM WEST AFRICAN REGION (2019) (11)
- Finance-Growth Nexus in Cote D’Ivoire and Nigeria: Does the Proxy of Financial Development Matter? (2017) (11)
- Stock Market Co-movement in ASEAN and China (2014) (11)
- Assessing The Asymmetric Impact Of Oil Price On Islamic Stocks In Malaysia: New Evidence From Non-Linear Ardl (2016) (10)
- Economic Inequality in Australia between 1983 and 2010: A Stochastic Dominance Analysis (2014) (10)
- Wealth Effect or Credit-Price Effect? Evidence from Malaysia (2012) (10)
- Performance Persistence of Socially Responsible Investment Funds in the Asia Pacific Region (2014) (9)
- The relationship between energy subsidies, oil prices, and CO2 emissions in selected Asian countries: a panel threshold analysis (2021) (9)
- Conditional Convergence in Energy Consumption Per Capita of OPEC Member Countries: Evidence from Non‐Linearity Tests (2018) (9)
- Ripple effect in regional housing and land markets in Iran: implications for portfolio diversification (2017) (9)
- THE STABILITY OF PHILLIPS CURVE IN MALAYSIA (2007) (9)
- The Malaysia–China Economic Relationship at 40: Broadening Ties and Meeting the Challenges for Future Success (2016) (8)
- Market Efficiency of Oil Spot and Futures: A Stochastic Dominance Approach (2010) (8)
- Socially Responsible Investing Funds in Asia Pacific (2013) (8)
- Liberalization and Interaction among China's Stock Markets: A Re-visit + (2011) (8)
- Revisit Feldstein-Horioka puzzle: evidence from Malaysia (2011) (8)
- International tourism market analysis in the Greater Mekong Sub-Region: a panel data approach. (2015) (8)
- Market Efficiency of Oil Spot and Futures: A Stochastic Dominance Approach (2010) (8)
- Economic growth, energy consumption and environmental degradation nexus in heterogeneous countries: does education matter? (2022) (8)
- Economic Union, Finance and Growth: A Prognosis in West Africa (2019) (7)
- DOES GOLD INVESTMENT OFFER PROTECTION AGAINST STOCK MARKET LOSSES? EVIDENCE FROM FIVE COUNTRIES (2020) (7)
- The Determinants of Financial Development in the Republic of Yemen: Evidence from the Principal Components Approach (2018) (7)
- Will Obama's economic stimulus package be effective? Evidence from the misery index (2011) (7)
- Purchasing power parity in ASEAN-5 countries: revisit with cross-sectional dependence and structural breaks (2018) (6)
- Unveiling the non-linear impact of sectoral output on environmental pollution in Malaysia (2021) (6)
- Population density and energy consumption: A study in Indonesian provinces (2022) (5)
- Asymmetric Volatility of Local Gold Prices in Malaysia (2015) (5)
- Renewable and non-renewable electricity-growth nexus in Asia: The role of private power plants and oil price threshold effect (2022) (5)
- DEMAND OF THAI TOURISTS TO LAO PDR: AN ARDL APPROACH Sakkarin Nonthapot 1 (2013) (5)
- Entrepreneurial orientation of traditional and modern cultural organisations: Cases in George town UNESCO world heritage site (2020) (5)
- Multivariate Causal Relationship between Stock Prices and Exchange Rates in the Middle East (2017) (5)
- Financial Market Integration of ASEAN-5 with China and India (2014) (5)
- Foreign investment in Australian residential properties (2019) (5)
- Time-Varying Linkages of Economic Activities in China and the Stock Markets in ASEAN-5 (2016) (5)
- Futures versus Stocks: A Stochastic Dominance Study in Malaysian Markets (2009) (5)
- THE EFFECTS OF DISAGGREGATED SAVINGS ON ECONOMIC GROWTH IN MALAYSIA - GENERALISED VARIANCE DECOMPOSITION ANALYSIS (2009) (4)
- Can the Housing Policies Sustain House Prices in Malaysia (2017) (4)
- NONLINEAR RELATIONSHIP BETWEEN HOUSING SUPPLY AND HOUSE PRICE IN MALAYSIA (2020) (4)
- Measuring entrepreneurial orientation of firms in the creative and cultural sector (2018) (4)
- Macroeconomic Variables, Investment and Economic Development in Nigeria: A Prognosis (2017) (4)
- Gold Investment in Malaysia: Refuge from Stock Market Turmoil or Inflation-Protector? (2018) (4)
- An innovative social enterprise: Roles of and challenges faced by an arts hub in a World Heritage Site in Malaysia (2021) (4)
- Is investing in Islamic stocks profitable? Evidence from the Dow Jones Islamic market indexes (2015) (4)
- Investor Preferences for Oil Spot and Futures Based on Mean-Variance and Stochastic Dominance (2010) (3)
- Calendar Anomalies and Risk in the Wine Exchange Market (2012) (3)
- Is ASEAN Ready for Banking Integration? Evidence from Interest Rate Convergence (2016) (3)
- Stochastic Dominance and Investors’ Behavior towards Risk: The Hong Kong Stocks and Futures Markets (2010) (3)
- Do Oil Price Shocks Matter for Environmental Degradation? Evidence of the Environmental Kuznets Curve in GCC Countries (2022) (3)
- Transition of economic structure and demography: The case of tourism gentrification in George Town, Penang (2017) (3)
- Malaysia's Past Successes and Uncertain Future: Graduating from the Middle or Caught in the Middle? (2014) (3)
- THE SAVINGS AND INVESTMENT NEXUS : EVIDENCE FROM ROLLING WINDOWS BOUNDS TEST (2008) (3)
- Economic Growth, Coal Demand, Carbon Dioxide Emissions: Empirical Findings from India with Policy Implications (2014) (3)
- Impact of Managerial Overconfidence and Government Intervention on Firm Leverage Decision: A MARS Model Approach (2016) (2)
- Editorial: Energy Economics and Energy Finance in Developing and Emerging Countries (2022) (2)
- Will My Customers Come Back? A Study of Beauty Salons in Taiwan (2018) (2)
- The dependence structure and portfolio risk of Malaysia's foreign exchange rates: the Bayesian GARCH–EVT–copula model (2020) (2)
- The Impact of Market Condition and Policy Change on the Sustainability of Intra-Industry Information Diffusion in China (2019) (2)
- Finance-Growth Nexus: New Insights from West African Region (2017) (2)
- Effectiveness of a Cluster of Determinants to Increase Economic Growth Rate: A Combined Statistical Criteria Approach (2016) (2)
- On the role of commodity futures in portfolio diversification (2021) (2)
- Stochastic Dominance Test for Risk Seekers: An Application To Oil Spot and Futures Markets (2006) (2)
- Is the Lustre Coming off Malaysia’s Shine? Malaysia’s Recent Economic Performance and Prospects for Future Growth (2016) (2)
- DOMESTIC SAVING AND ECONOMIC GROWTH IN CHINA (2008) (2)
- Moderating Impacts of Education Levels in the Energy–Growth–Environment Nexus (2023) (1)
- Is innovation happening in George Towns's creative and cultural sectors? A comparative analysis between traditional and modern organisations (2018) (1)
- Founder Management, Government Ownership and Firm Performance: Evidence from Malaysia (2017) (1)
- Trading Activities and the Volatility of Return on Malaysian Crude Palm Oil Futures (2022) (1)
- Corporate social responsibilities and stock returns: Stochastic dominance approach (2011) (1)
- Supply elasticity of new housing supply in Malaysia: an analysis across housing sub-markets (2020) (1)
- Intra-industry information diffusion in China's stock market (2017) (1)
- Peer-to-peer lending in Malaysia (2021) (1)
- Inequality in Australia 1983-2004: A Stochastic Dominance Approach (2012) (1)
- Market Timing Skill of Socially Responsible Investing Fund Managers: North America versus Europe (2014) (1)
- ASSET ALLOCATION DECISION MAKING: DO TIME AND BREAK MATTER? (2008) (1)
- STOCHASTIC DOMINANCE ANALYSIS OF AUSTRALIAN INCOME DISTRIBUTIONS (2007) (1)
- Will Penang Based Companies Perform Better than the Market (2016) (1)
- Euronext Stock Exchange Merger and Market Efficiency (2013) (1)
- The Inflation Hedging Ability of Domestic Gold in Malaysia (2016) (1)
- INFORMATIONAL EFFICIENCY OF FINANCE STOCKS IN MALAYSIA: A TWO-REGIME NONLINEAR THRESHOLD AUTOREGRESSIVE APPROACH (2019) (1)
- Stochastic Dominance Tests for Risk Lovers: with Application to Oil Spot and Futures Markets (2007) (1)
- Environmental degradation, economic growth, and energy consumption: The role of education (2023) (1)
- Revitalising ASEAN Economies in a Post-COVID-19 World: Socioeconomic Issues in the New Normal (2021) (1)
- Proceedings of Second International Conference on Contemporary Economic Issues (2017) (0)
- Energy Poverty and the Impact of Wellbeing in ASEAN Under China’s Foreign Aid Motives (2021) (0)
- Funds in Asia Pacific (2013) (0)
- Deterministic Adoption in Movie Industry (2007) (0)
- GOLD INVESTMENT AND FINANCIAL CRISIS: SOME THEORETICAL CONSIDERATIONS (2018) (0)
- Microsoft Word-AMO_MREE_A_1364623 (2017) (0)
- US Tourist Expenditures in China (2013) (0)
- Analysis of the environmental impacts of the agricultural, industrial, and financial sectors in Malaysia (2023) (0)
- Free trade and sustainable development: Progress and challenges in the oil palm sector (2012) (0)
- The impact of energy poverty on the aggregate and disaggregate material footprints in BRICS (2023) (0)
- The Effects of the Global Pandemic on China’s One Belt, One Road Outward Foreign Direct Investment in the Association Southeast Asian Nations (ASEAN) Region (2020) (0)
- UNDERSTANDING THE GOLD-INFLATION NEXUS IN MALAYSIA: HEDGE AND SAFE HAVEN PERSPECTIVES (2022) (0)
- Energy subsidy reform and energy sustainability in Malaysia (2022) (0)
- China (1939) (0)
- Fuel subsidy reforms in ASEAN countries (2021) (0)
- THE IMPACT OF FOREIGN DIRECT INVESTMENT ON STOCK MARKEET DEVELOPMENT (2013) (0)
- Commodity Trading Advisors Funds : Analysis and Application (2010) (0)
- Dataset for: What are the determinants of Fuel Subsidies in Asia Pacific Economic Cooperation (APEC) Countries? (2020) (0)
- Why Did Warrant Markets Close in China but Not Taiwan? (2018) (0)
- Creativity and Innovation in Creative Cities: Case of an Innovation Hub in George Town, Penang (2018) (0)
- Sovereign Wealth Funds and macroeconomic stability: before and after their establishment (2018) (0)
- Preferences of Malaysian Stocks and Futures Markets for Investors Before and After Crises (2011) (0)
- The Electricity Market in Asia: Do Power Plants Matter? (2021) (0)
- Market-timing skills of socially responsible investment fund managers: The case of North America versus Europe (2014) (0)
- KIER DISCUSSION PAPER SERIES (2010) (0)
- Dataset for: Fuel subsidy reforms in ASEAN countries (2020) (0)
- No . 30 / 2013 Risk-averse and Risk-seeking Investor Preferences for Oil Spot and Futures 1 (2013) (0)
- Will UCITS Funds Dominate Non UCITS Funds (2013) (0)
- Moderating effect of inflation on the finance–growth nexus: insights from West African countries (2018) (0)
- Risk-averse and Risk-seeking Investor Preferences for Oil Spot and Futures (2013) (0)
- Stochastic dominance analysis of CTA funds (2012) (0)
- ASIAN DEVELOPMENT BANK ELECTRICITY CONSUMPTION , OUTPUT , AND TRADE IN BHUTAN (2015) (0)
- Does Gold Still Shelter Inflation, and, if so, When? Evidence From Four Countries (2021) (0)
- The Size Anomaly in Islamic Stock Indices: A Stochastic Dominance Approach (2022) (0)
- No . 18 / 2010 Market Efficiency of Oil Spot and Futures : A Mean-Variance and Stochastic Dominance Approach 1 (2010) (0)
- Stochastic dominance approach of analysis for stock market valuation of financial consolidation in Taiwan (2011) (0)
- What Are the Determinants of Fuel Subsidies in Asia-Pacific Economic Cooperation Countries? (2020) (0)
- UCITS vs. Non-UCITS funds: Stochastic dominance approach (2013) (0)
- MACROECONOMIC VOLATILITY ON STOCK PRICES VOLATILITY DURING GLOBAL FINANCIAL CRISIS IN MALAYSIA (2018) (0)
- Data for: The Effects of the Global Pandemic on China’s ‘One belt, One Road’ Outward Foreign Direct Investment in the ASEAN Region (2020) (0)
- Positive collaborations: understanding positive relationships among key actors in creative and cultural cluster in Georgetown, Penang, Malaysia (2019) (0)
- Study of investors' preference on spot and futures markets (2009) (0)
- Proceedings of International Conference on Contemporary Economic Issues 2014 Stimulating Economic Growth, Improving Quality of Life & Enhancing Youth Involvement (2014) (0)
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