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1990/91 - Stock Investment
Portfolio Management (Vancouver Stock
Exchange, VSE), CANADA
- Traded
in several oil & gold exploration stocks
listed on Toronto/
Vancouver Stock Exchanges -- through L.O.M.
Western Securities Ltd.,
Vancouver,
Canada. Stocks:
Pan Pacific Petroleum, Consolidated Goldwest, Solomon
Resources, Adrian Resources & Silver Butte.
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1983/85 - Stock Investment
Portfolio Management (Sydney & Melbourne Stock
Exchanges), AUSTRALIA
- Traded
in several industrial/property trust/oil & gold
exploration stocks listed on
Sydney/Melbourne
Stock Exchanges -- through
Hattersley Maxwell Noall & Co.,
Canberra,
Australia. Stocks: ICI, Offshore Oil, Weeks
Australia, S.W.Gold Mines, Whim Creek & IEL
Property Trust.
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1990/91 Canadian Shareowners
Association, CANADA
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1993 - Attachment
Project at Capitalcorp
Securities Sdn Bhd, Kuala Lumpur
-
Conducted studies on
leading indicator hypothesis/lead-lag relationship between stock
market indicies and the Malaysian economy
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Dissertation
Research for Masters Degree at ANU
(1985)
Researched
on the stock
market
economics for MADE thesis at ANU, on DEC-10 mainframe computer
using SHAZAM econometric packages. Coverage
of study from 1967-1983, tested “follow-the-leader” and "leading
indicator" hypotheses on price trends of plantation
stocks and its relationship to the performance of Malaysia's
macroeconomic parameters and prices of major commodities.
- Jul83-
Jun85 Master of
Agric. Dev. Economics (MADE)
(THE AUSTRALIAN NATIONAL UNIVERSITY
(ANU), Canberra,
Australia)
- Dissertation:
'Stock
Market Trends of Plantation Securities and its Relationship to
the Performance of the Malaysian Economy’
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