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1-6 of 6
Keywords: G15
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Journal Articles
Qualitative Research in Financial Markets (2025) 17 (2): 292–311.
Published: 05 July 2024
... securities Defaults G15 G32 Z19 Sukuk issuance grew from zero to a cumulative US$350bn from 1996 to mid-2012, and the issuance surged to US$767bn in 2015 (IIFM2015). In past week of May 2013, Sukuk issued by Islamic Development Bank for five years, got $1.5bn in bids for $1bn...
Journal Articles
Qualitative Research in Financial Markets (2023) 15 (3): 495–513.
Published: 29 December 2022
..., policymakers and bankers to better understand foreign banks’ entry into emerging and developing markets. Najla Alomar can be contacted at: najla.Alomar@canberra.edu.au Kingdom of Saudi Arabia (KSA) Foreign banks Challenges Developing markets Business environment F20 F29 G15 G29...
Journal Articles
Mahfuzur Rahman, Che Ruhana Isa, Ginanjar Dewandaru, Mohamed Hisham Hanifa, Nazreen T. Chowdhury, Moniruzzaman Sarker
Qualitative Research in Financial Markets (2020) 12 (4): 599–619.
Published: 12 August 2020
... Islamic finance Qualitative research Socially responsible investments SRI sukuk Islamic bond G1 G2 G15 G31 MOHE UM-INCEIF Islamic Finance Research Programme MO002-2017 It was also assured that respondents’ identity would keep anonymous, and collected data will be used...
Journal Articles
Qualitative Research in Financial Markets (2018) 10 (2): 152–170.
Published: 08 May 2018
... to do more work. Cash holdings Agency problems Country-level governance Firm-level governance G30 G15 G34 Tahir Akhtar can be contacted at: tahirakhtar01@gmail.com 19 04 2017 05 10 2017 26 10 2017 © Emerald Publishing Limited 2018 Emerald Publishing...
Journal Articles
Qualitative Research in Financial Markets (2018) 10 (1): 15–70.
Published: 05 February 2018
... Limited 2018 Emerald Publishing Limited Licensed re-use rights only Literature review Financial contagion G10 G15 For three decades, global financial markets have experienced financial and currency crises that originate in one particular country, market or geographical region...
Journal Articles
Qualitative Research in Financial Markets (2017) 9 (4): 391–408.
Published: 06 November 2017
... G10 G15 The term contagion was initially used in July 1997 when a currency crisis which started from Thailand spread in Russia, Brazil and East Asia. It further spread to developed markets like Europe and North America as well. Because of a shift in relative prices of financial instruments...
