Kian-Ping Lim

ORCID iD
https://orcid.org/0000-0003-0471-9752
  • Also known as
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KP

Sources:
Kian-Ping Lim (2016-09-05)

  • Keywords
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Stock Price Efficiency,

Sources:
Kian-Ping Lim (2016-09-05)

Stock Liquidity,

Sources:
Kian-Ping Lim (2016-09-05)

Stock Volatility,

Sources:
Kian-Ping Lim (2016-09-05)

Emerging Stock Markets,

Sources:
Kian-Ping Lim (2016-09-05)

Corporate Ownership,

Sources:
Kian-Ping Lim (2016-09-05)

Institutional Quality,

Sources:
Kian-Ping Lim (2016-09-05)

Financial Liberalization

Sources:
Kian-Ping Lim (2016-09-05)

  • Websites
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KP Personal Website

Sources:
Kian-Ping Lim (2016-09-05)

Mendeley profile

Sources:
Elsevier - Mendeley (2016-12-10)

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Sources:
Kian-Ping Lim (2016-09-05)

  • Other IDs
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ResearcherID: C-6528-2011

Sources:
ResearcherID (2016-12-10)

Scopus Author ID: 57014016900

Sources:
Scopus to ORCID (2016-12-11)

Biography

Kian-Ping Lim is a Senior Lecturer in the Faculty of Economics and Administration at University of Malaya. He holds a PhD degree from Monash University, with his thesis explores empirical issues related to the informational efficiency of stock markets. Chapter 2 of his thesis, published in Journal of Economic Surveys, summarizes the past, present and future of the return predictability literature, including his own contributions to the field. More specifically, his decade-long research on market efficiency addresses the possible existence of nonlinear return predictability, and advocates the use of research framework that is capable of measuring the degree of market efficiency across stocks/markets and over time. Theoretically, the relative and evolving market efficiency are grounded on the adaptive markets hypothesis (AMH), a new framework that offers reconciliation between the competing camps of efficient markets hypothesis and behavioral finance. KP’s long-term research on stock markets has produced publications in Applied Economics (Taylor & Francis), Economic Modelling (Elsevier), Economics Letters (Elsevier), Journal of Economic Surveys (Wiley-Blackwell), Journal of Emerging Market Finance (Saga), Journal of Empirical Finance (Elsevier), Journal of International Financial Markets, Institutions & Money (Elsevier), Journal of Policy Modeling (Elsevier), International Review of Financial Analysis (Elsevier), Macroeconomic Dynamics (Cambridge University Press), Manchester School (Wiley-Blackwell), and North American Journal of Economics & Finance (Elsevier).
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