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1-8 of 8
Keywords: Diversification
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Journal Articles
International Journal of Islamic and Middle Eastern Finance and Management 1–27.
Published: 27 March 2026
...Mirzet Šeho; Mohammed Shaiban; Abdul Ghafoor Purpose This study aims to investigate whether diversification stabilizes bank lending over the business cycle, with a particular focus on differences between Islamic and conventional banks in dual-banking systems. Design/methodology/approach Using...
Journal Articles
Exploring the safe haven properties of sukuk: a machine learning and K-cluster perspective
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International Journal of Islamic and Middle Eastern Finance and Management (2025) 18 (3): 717–741.
Published: 29 January 2025
...Atta ul Mustafa Purpose This study aims to explore the safe-haven properties of sukuk and analyze the co-movement and interdependence between sukuk and conventional bond indices to provide insights into the potential role of diversification. Design/methodology/approach The study uses the data...
Journal Articles
Diversification and performance of microfinance institutions: does Islamic microfinance model matter?
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International Journal of Islamic and Middle Eastern Finance and Management (2023) 16 (5): 975–995.
Published: 07 March 2023
...Asma Ben Salem; Ines Ben Abdelkader Purpose The aim of this study is to investigate the effect of income and geographic diversification on the double bottom line of microfinance institutions (MFIs) in Middle East and North Africa (MENA) countries where conventional and Islamic MFIs coexist...
Journal Articles
Are Islamic indexes, Bitcoin and gold, still “safe-haven” assets during the COVID-19 pandemic crisis?
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International Journal of Islamic and Middle Eastern Finance and Management (2022) 15 (2): 372–385.
Published: 23 September 2021
... Diversification Hedging Islamic indices COVID-19 Safe haven Hedge COVID-19 pandemic crisis Islamic index Gold Bitcoin C2 C22 G15 G1 Recently, global financial markets have confronted enormous risks owing to the recent outbreak of COVID-19. The impact of this pandemic on stock markets has...
Journal Articles
The impact of performance, liquidity and credit risks on banking diversification in a context of financial stress
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International Journal of Islamic and Middle Eastern Finance and Management (2022) 15 (1): 66–82.
Published: 16 July 2021
...Oussama Gafrej; Mouna Boujelbéne Purpose The purpose of this paper is to examine the relation “diversification-risk-performance” for Islamic and conventional banks in different financial stress levels. Also, it aims to investigate the impact of the structure of board directors, macroeconomic...
Journal Articles
Benefits of international portfolio diversification: Implication of the Middle Eastern oil-producing countries
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International Journal of Islamic and Middle Eastern Finance and Management (2014) 7 (4): 457–472.
Published: 11 November 2014
...S. Jamaledin Mohseni Zonouzi; Gholamreza Mansourfar; Fateme Bagherzadeh Azar Purpose – This paper aims to investigate opportunities of the short- and long-run international portfolio diversification (IPD) benefits by investing in the Middle Eastern oil-producing countries. Over the past decades...
Journal Articles
The subprime crisis and Islamic stock markets integration
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International Journal of Islamic and Middle Eastern Finance and Management (2010) 3 (4): 363–371.
Published: 23 November 2010
... The Islamic stock markets provide opportunity for the potential benefits from international portfolio diversification, even after the subprime crisis. The prohibition of riba, gharar and maysir is one of the plausible reasons of no cointegration in the Islamic stock markets...
Journal Articles
Index funds and diversification in Saudi Arabia
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International Journal of Islamic and Middle Eastern Finance and Management (2009) 2 (3): 201–212.
Published: 28 August 2009
...' monthly stock returns from January 2001 to June 2006 is used to simulate the performance of various portfolio sizes; second, a modified Statman diversification model is used to evaluate the performance of index funds in Saudi Arabia and thus assess the size of a diversified portfolio. Findings...
