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Posted by EngineeringProfit > 2 hours ago | Report Abuse
Political instability arises ahead of key state elections or leadership challenges, undermining investor confidence. Delayed implementation of major government initiatives (e.g., Budget 2025 infrastructure spending). Scandals involving large corporations or government-linked companies (GLCs) lead to steep sell-offs. Increased pressure on banks as non-performing loans (NPLs) rise due to a slower domestic economy.
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Double Swords 双剑论股
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CS Tan
4.9 / 5.0
This book is the result of the author's many years of experience and observation throughout his 26 years in the stockbroking industry. It was written for general public to learn to invest based on facts and not on fantasies or hearsay....
Posted by EngineeringProfit > 2 hours ago | Report Abuse
Weak corporate earnings in export-dependent sectors such as electronics, oil & gas, and palm oil due to declining global demand. Ringgit depreciation amplifies costs for import-reliant industries. Investors pull out from Malaysian equities, preferring safer assets.