R
Rohani Md-Rus
Researcher at Universiti Utara Malaysia
Publications - 21
Citations - 328
Rohani Md-Rus is an academic researcher from Universiti Utara Malaysia. The author has contributed to research in topics: Market liquidity & Cash flow. The author has an hindex of 10, co-authored 20 publications receiving 220 citations.
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The impact of bank competition and concentration on bank risk-taking behavior and stability: Evidence from GCC countries
TL;DR: In this paper, the impact of competition on bank fragility and bank stability in the GCC banking market has been assessed by bank risk-taking behavior and stability during the period 1998-2016.
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Predicting financial distress: Importance of accounting and firm-specific market variables for Pakistan’s listed firms
Hamid Waqas,Rohani Md-Rus +1 more
TL;DR: In this article, the predictors of financial distress for Pakistani firms were identified using the financial ratios representing profitability, liquidity, leverage, and cash fl... and used them to predict financial distress.
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The Determinants of Credit Risk in Malaysia
TL;DR: In this paper, the authors investigated the determinants of credit risk and examined the impact of earnings management on credit risk prediction and found that the liquidity ratio was significant in determining credit risk before and after earnings management was adjusted.
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Determinants of capital structure: evidence from Malaysian firms
Abdulazeez Y.H. Saif-Alyousfi,Rohani Md-Rus,Kamarun Nisham Taufil-Mohd,Hasniza Mohd Taib,Hanita Kadir Shahar +4 more
TL;DR: In this article, the authors examined the determinants of capital structure using a dataset of firms in Malaysia and carried out a panel data analysis of 8,270 observations from 827 listed non-financial firms on the Malaysia stock market over the period 2008-2017.
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Do oil and gas price shocks have an impact on bank performance
Abdulazeez Y.H. Saif-Alyousfi,Abdulazeez Y.H. Saif-Alyousfi,Asish Saha,Rohani Md-Rus,Kamarun Nisham Taufil-Mohd +4 more
TL;DR: In this paper, the authors examined the impact of oil and gas price shocks on bank performance in the major oil-and gas exporting GCC countries, using data for the period 2000-2017.