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1-5 of 5
Keywords: Financial crisis
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Journal Articles
Factors affecting sukuk market development: empirical evidence from sukuk issuing economies
Available to Purchase
International Journal of Islamic and Middle Eastern Finance and Management (2022) 15 (5): 884–902.
Published: 16 December 2021
... a developed capital market is very essential to enable an economy resilient to the financial crisis. Therefore, this study aims to produce theoretical relationships and identify empirical support for the determinants of sukuk market development. Design/methodology/approach By using panel data analysis...
Journal Articles
Panel modeling of z-score: evidence from Islamic and conventional Saudi banks
Available to Purchase
International Journal of Islamic and Middle Eastern Finance and Management (2019) 12 (3): 448–468.
Published: 19 July 2019
... per cent of the Saudi banking sector, including IBs and CBs. The panels cover close to two-thirds of banks whose shares are traded on the Saudi stock market; and, second, the samples contain the events of the recent global financial crisis (2007-2009). Saudi Arabia is the largest economy...
Journal Articles
Identifying the optimal level of gold as a reserve asset using Black–Litterman model: The case for Malaysia, Turkey, KSA and Pakistan
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International Journal of Islamic and Middle Eastern Finance and Management (2018) 11 (3): 334–356.
Published: 02 March 2018
... hold more foreign exchange reserves to enhance the credibility of exchange rate policies. The demand for gold, which was the main reserve asset prior the collapse of the Bretton Woods system, has increased as a reserve asset once again following the global financial crisis (GFC) of 2008, given gold’s...
Journal Articles
Resiliency between Islamic and conventional banks in Bangladesh: Dynamic GMM and quantile regression approaches
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International Journal of Islamic and Middle Eastern Finance and Management (2017) 10 (3): 400–418.
Published: 21 August 2017
...Ajim Uddin; Mohammad Ashraful Ferdous Chowdhury; Md. Nazrul Islam Purpose The purpose of this paper is to examine the resiliency between conventional banks (CBs) and Islamic banks (IBs) in Bangladesh at the financial crisis, pre-crisis and post-crisis period. Design/methodology/approach Data...
Journal Articles
Did corporate governance mechanisms affect earnings management? Further evidence from GCC Islamic banks
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International Journal of Islamic and Middle Eastern Finance and Management (2017) 10 (1): 2–23.
Published: 18 April 2017
... governance efficiency and earnings management within the Gulf Cooperation Council (GCC) Islamic banking industry before, during and after the global financial crisis. Indeed, our paper contributes to the research on corporate governance and earnings management in several ways: First, while prior research...
