The impact of financial and economic crises on the performance of the stock market in Malaysia for the period
DOI:
https://doi.org/10.36325/ghjec.v19i4.13851Keywords:
The financial crisis,, Economic crisis, Indicators of the financial crisis, Malaysian financial crisisAbstract
During the research period, the countries of Southeast Asia faced many stifling economic (financial) crises, and of course Malaysia did not escape the negative effects of this crisis, and this is what led it to adopt a quick and effective strategy to confront the crisis or at least mitigate its negative effects. Thus The basis for this research paper is the following issues, respectively: the repercussions and negative effects of the financial crisis on Malaysia, then a review of the most important measures and decisions adopted to confront the financial crisis, and finally the foundations adopted for dealing with the results of the crisis or the factors for the success of managing this financial crisis, in order to benefit from this. The pioneering experience in confronting future financial and economic crises in developing countries, and the result of this research is self-reliance and national administration, the reason for the success of managing the Malaysian financial crisis.
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