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1-6 of 6
Keywords: Financial stability
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Journal Articles
Analyzing the synchronization and causality between India’s financial and business cycle: empirical evidence and policy insights
Available to Purchase
International Journal of Emerging Markets 1–16.
Published: 22 April 2026
... Publishing Limited Licensed re-use rights only Indian financial cycle Aggregate financial cycle Business cycle Concordance index Lead-lag relationship Synchronization Comovement Financial interlinkage Financial market Financial stability Causality Emerging country G0 G1 G4...
Includes: Supplementary data
Journal Articles
Corporate social responsibility disclosure and financial stability of Islamic banks: evidence from GCC countries
Available to Purchase
International Journal of Emerging Markets (2026) 21 (5): 1525–1544.
Published: 25 September 2025
...Anas Mohammad Aljbour; Lei Xu; Damien Wallace; Gordon Yuan Purpose This study aims to examine the relationship between corporate social responsibility (CSR) disclosure and financial stability in Islamic banks, with a focus on insolvency risk, liquidity risk and credit risk. Design/methodology...
Journal Articles
Financial inclusion matter for poverty, income inequality and financial stability in developing countries: new evidence from public good theory
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International Journal of Emerging Markets (2024) 19 (11): 3561–3580.
Published: 06 March 2023
...Ismail Khan; Iftikhar Khan Purpose This paper aims to examine the influence of financial inclusion (FI) on poverty, income inequality and financial stability from the perspective of public good (PG) theory in developing countries. Design/methodology/approach This study applies the fixed...
Journal Articles
Bank opacity and stability in an emerging market
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International Journal of Emerging Markets (2024) 19 (11): 3601–3623.
Published: 02 March 2023
...Van Dan Dang; Japan Huynh Purpose The paper analyzes the impact of bank opacity on financial stability in an emerging economy. Design/methodology/approach Based on a unique dataset of 31 Vietnamese commercial banks from 2007 to 2019, the paper captures earnings opacity via discretionary loan...
Journal Articles
Do macroprudential regulations condition the role of financial inclusion for ensuring financial stability? Cross-country perspective
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International Journal of Emerging Markets (2024) 19 (7): 1769–1803.
Published: 24 October 2022
...Mallika Saha; Kumar Debasis Dutta Purpose Empirical studies, to date, show that financial inclusion (FI) enhances financial stability (FS) by promoting a large deposit base, reducing information asymmetry, and strengthening market power on the one hand, and leads to financial fragility...
Journal Articles
What drives microfinance institution lending behavior? Empirical evidence from Sub-Saharan Africa
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International Journal of Emerging Markets (2023) 18 (8): 1745–1765.
Published: 05 July 2021
... improve their liquidity and size by attracting more deposits and nondeposit borrowings, among others, they can increase credit access to the poor. Moreover, since the lending behavior of MFIs is not resilient to GDP shocks, different measures are needed to increase the financial stability...
