The Malaysian Banking Industry: Policies and Practices after the Asian Financial Crisis, 1st Edition (Hardback) book cover

The Malaysian Banking Industry

Policies and Practices after the Asian Financial Crisis, 1st Edition

By Rozaimah Zainudin, Chan Sok-Gee, Aidil Rizal Shahrin


160 pages | 28 B/W Illus.

Purchasing Options:$ = USD
Hardback: 9781138545779
pub: 2018-06-26
eBook (VitalSource) : 9781351000512
pub: 2018-06-27
from $12.50

FREE Standard Shipping!


The book provides students and academics in finance and banking with the most recent updates and changes in the Malaysian banking sector post-AFC period. The book explores the evolution of banking policies and practices after the "Tomyam Goong Crisis" and investigates the health of Malaysian banks via efficiency measurement. In addition, it also presents the evolution of bank risk management regulations and practices in Malaysia. The book also discusses the effectiveness of the Malaysian bank bailout strategy with comparison to the banks’ bailout in developed countries such as the US.

This book is important and timely since there are very limited books in the market that cover the recent developments on Malaysian banking sectors post-AFC period. Hence, this book serves as the valuable resource for all finance and banking students, academic researchers, and practitioners not limited to the Asian region that require in-depth insights on the latest policies and practices in the Malaysian banking sector.


'This book is important reading for anyone who wishes to gain a deeper understanding of the Malaysian banking industry and how it has come out of and changed since the 1997 crisis.'Jens Hagendorff, Professor of Finance, The University of Edinburgh

Table of Contents

1. The Malaysian Banking Industry. Policies and Practices after the Asian Financial Crisis

2. The Health of the Malaysian Banking Industry

3. Bank Risk Management

4. Bank Bailout Efficacy

5. Conclusion

6. Special Topic: Practitioner Insight on Risk Management Practices (Eric H.Y. Koh)

About the Authors

Rozaimah Zainudin is Senior Lecturer at the Faculty of Business and Accountancy, University of Malaya, Malaysia. Prior to joining academia, she worked in the banking sector for seven years and was attached to a Banking Operations and System Department. Her areas of research include risk management, derivative markets, corporate finance, and international finance. Her research projects currently involve banking and financial wellbeing.

Chan Sok-Gee is Senior Lecturer at the Faculty of Business and Accountancy, University of Malaya, Malaysia. Her commitment to research and publication, especially on the topic of bank performance, has led her to publication in world-recognized journals, such as the Global Economic Review, Review of Managerial Science, Prague Economic Papers, and others. Besides bank performance, her research areas include corporate governance and bank efficiency, economic efficiency analysis, and value-added tax. She has also been recognized as an outstanding young researcher by the University of Malaya. She serves as Editor-in-Chief of the Asian Journal of Economics, Business and Accounting.

Aidil Rizal Shahrin is Senior Lecturer at the Department of Banking and Finance, Faculty of Business and Accountancy, University of Malaya, Malaysia. His research focuses on applied econometrics in the areas of finance and macroeconomics. He has been published in internationally refereed journals, such as the Journal of Economics and Statistics, the Romanian Journal of Forecasting, and the International Journal of Statistics and Economics. Recently, he has focused on bank efficiency, emphasizing the econometrics methodology.

About the Series

Routledge Focus on Economics and Finance

The fields of economics and finance are constantly expanding and evolving. This growth presents a significant challenge to readers trying to keep up with the latest important insights. Routledge Focus on Economics and Finance presents short books on the latest big topics, leveraging cutting edge research from scholars globally. 

Individually, each title in the series provides coverage of a key topic, whilst collectively, the series forms a comprehensive collection across the whole spectrum of economics and finance.

Learn more…

Subject Categories

BISAC Subject Codes/Headings: