Research Area/ Research Interest: Occurrence of Financial Crisis and financial instability Islamic Finance
Research Paper Topics on Occurrence of Financial Crisis and financial instability Islamic Finance for Masters and Ph.D. Thesis and publication
- Assessing the Islamic Bank Financing During Economic Recession: The Role of Stimulus Regulation POJK Number 11/POJK. 03/2020
- The Urgency of Using Syariah Method Facing Economic Crisis: to Compare with Conventional Method
- Liquidity risk in economic uncertainty: Evidence from Indonesian Islamic banks
- An Insight into the Fintech and Islamic Finance Literature: A Bibliometric and Visual Analysis
- The Typology of The Global Financial Crisis and the Solution in Islamic Economic Perspective
- Can trade credit rejuvenate Islamic banking?
- The drivers of financial vulnerability and profitability: evidence from conventional and Islamic banks in Islamic finance-oriented countries
- Regulatory policies in the global Islamic banking sector in the outbreak of COVID-19 pandemic
- Evaluating indonesian islamic banking scholarly publications: A data analytics
- The Impact of Covid-19 on Islamic Economics and Finance Industry: Text Analytics using R
- Is Islamic Finance A Panacea for Global Economic Disruptions after COVID-19 Outbreak?
- Indonesia’s Islamic Banking Strategy For Sustaining Financial Operations During The Pandemic
- Islamic Finance and Indonesia’s Economy: An Empirical Analysis
- Impact of Islamic Financial Principles on Mitigating the COVID-19 Financial Crisis in Pakistan
- Perception study on the effects of interest-free financing of Islamic banking on information asymmetry among entrepreneurs: Evidence from Nigeria
- Does the efficiency of banks adversely affect financial stability? A comparative study between traditional and Islamic banks: Evidence from Egypt
- An Islamic critique of rival economic systems’ theories of interest
- Credit default risk in Islamic and conventional banks: Evidence from a GARCH option pricing model
- Islamic Finance and Blockchain: A Bibliometric Analysis
- The Impact of Net Stable Funding Ratio (NSFR) Regulations of Basel-III on Financial Profitability and Stability: A Case of Asian Islamic Banks
- Are Shariah Banking Financing patterns pro-cyclical? An Evidence from ASEAN Countries
- COVID-19 effect on Islamic vs. conventional banks’ stock prices: Case of GCC countries
- … sectoral Islamic and conventional stock markets during COVID-19 pandemic: What matters more between actual COVID-19 occurrence and speculative and …
- Blockchain, Fintech, and Islamic finance: Building the future in the new Islamic digital economy
- An Overview of The Literature and Practices of Islamic Economics and Finance in Europe
- Bibliometric network analysis of thirty years of islamic banking and finance scholarly research
- Islamic banking: past, present and future
- Innovations in Islamic Fintech: a focus on Africa
- How do the global equity and bond markets affect Islamic and conventional banks? A comparative cross-country analysis using multivariate regression quantiles
- The Role of Islamic Economics on Covid-19 Recovery
- Fintech innovations, scope, challenges, and implications in Islamic Finance: A systematic analysis
- The Determinants of Non-Performing Loans in the Indonesian Banking Industry: An Asymmetric Approach Before and During the Pandemic Crisis
- The Magnitude of Market Power between SCBs and SBUs: the Root Cause of Stagnancy of the Growth in Islamic Banking Industry and Spin-off Policy as its …
- THE SIGNIFICANCE OF ISLAMIC FINANCE AND BANKING FOR THE SOCIO-ECONOMIC DEVELOPMENT IN BANGLADESH
- The Impact of Covid-19 on Islamic Economics & Finance Industry: A Bibliometric Analysis
- The Influence of Corporate Governance on the Performance of Islamic Banking Companies in Indonesia
- THE ROLE OF MALAYSIA ECONOMIC GROWTH AND LOCAL ISLAMIC BANK FINANCING IN MODELLING LONG RUN RELATIONSHIP
- Determinants Analysis of Islamic and Conventional Banks Systemic Risk Potentiality: A Preliminary Study
- The comparison of the islamic and conventional bank performance before and during Covid-19 pandemic in Indonesia
- Bibliometric and Scientometric analysis on CSR practices in the banking sector
- The impact of FinTech firms on bank financial stability
- Risk Of Istishna Contracts In Sharia Commercial Banks
- Islamic Finance Industry in Kazakhstan: Then and Now
- COVID-19 on Performance of Islamic Banks in Fintech and Digitalization Era
- … the effect of exchange rate jumps and the global financial crisis using the overshooting Dornbusch Model for the financial stability of the state banking system of Iran’s …
- CAMELS, risk-sharing financing, institutional quality and stability of Islamic banks: evidence from 6 OIC countries
- Liquidity Factors and Liquidity Risk Management for Financial Performance Improvement in the UAE Islamic Banking System
- The impact of the COVID-19 pandemic on Islamic finance: the lessons learned and the way forward
- From Structure to Purpose: Green and Social Narratives, and the Shifting Morality of Islamic Finance in Kuala Lumpur
- Sharia Law and Islamic Banking in Uganda
- Al-Risalah
- Participation (Islamic) Banking in Turkey: A Bibliometric Analysis and Future Research Agenda.
- Islamic Banking and Finance: Current Developments and its Future Prospects
- Genre Analysis of Risk Management Reports by an Islamic Financial Institution in Malaysia.
- The Significance of Risk Management in Reducing Losses and Strengthening The Institutional Structure of Islamic Financial Institutions
- COVID-19 and connectedness between Sustainable and Islamic equity markets
- Economic Modelling at thirty-five: A retrospective bibliometric survey
- The cost of constituent-rebalancing of Sharīʿah-compliant indexes: lessons for future crises
- Understanding Islamic Finance
- Examining the Effect of Economic Collison: Case On Credit Performance in Islamic Banking
- Can geopolitical risks excite Germany economic policy uncertainty: Rethinking in the context of the Russia-Ukraine conflict
- LITERATURE REVIEW OF AGRIBUSINESS PRODUCT FINANCING DEVELOPMENT MODEL AT SHARIA BANK
- The consequence of the credit risk on the financial performance in light of COVID-19: Evidence from Islamic versus conventional banks across MEA region
- POLICY RATES PASS-THROUGH IN INDONESIA’S DUAL BANKING SYSTEM: DOES BUSINESS CYCLE MATTER?
- Raising capital amid economic policy uncertainty: an empirical investigation
- Algorithmic Stablecoins–are they Shariah-compliant?
- The Determinant of Shariah Financing in the Agricultural Sector: Evidence from Indonesia
- Jurnal Ekonomi dan Keuangan Islam
- Basel III and Firm Performance: A Lens of Managerial Ownership
- KUANOVA LAURA AIBOLOVNA
- The efficiency level of Indonesian banks in the Covid-19 pandemic era and its determinant
- Maqasid Al-Shariah based index of socio-economic development: A literature review
- Co-movement and causality dynamics linkages between conventional and Islamic stock indexes in Bangladesh: A wavelet analysis
- INDONESIA ISLAMIC BANK MERGER: STAGES, CHALLENGES, AND STRATEGIES
- EFFECT OF CORPORATE AND SHARIAH GOVERNANCE ON PREVENTION OF FRAUDS IN BANKING SECTOR OF PAKISTAN: MEDIATING ROLE OF …
- A theory of capitalist co-optation of radical alternatives: The case of Islamic banking industry
- Ṣukūk or Bond, Which Is More Sustainable during COVID-19? Global Evidence from the Wavelet Coherence Model
- Applying Blockchain in Islamic Finance
- Bank stock performance during the COVID-19 crisis: does efficiency explain why Islamic banks fared relatively better?
- Financial cybercrime in the Islamic Finance Metaverse
- Does risk governance mediate the impact of governance and risk management on banks’ performance? Evidence from a selected sample of Islamic banks
- The role of trust, investor sentiment, and uncertainty on bank stock return performance: Evidence from the MENA region
- COVID-19 and the ASEAN stock market: a wavelet analysis of conventional and Islamic equity indices
- Economic policy uncertainty, investor sentiment and financial stability—an empirical study based on the time varying parameter-vector autoregression model
- Comparative study between conventional and Islamic banks’ liquidity after the Subprime Crisis
- Competition and distress in banks in India: An application of panel data
- … AND OWNERSHIP STRUCTURE OF ISLAMIC BANKS, EMPIRICAL EVIDENCE FROM MULTIREGIONAL, THROUGHOUT THE LAST GLOBAL FINANCIAL CRISIS.
- Sensitivity of Stock Returns Volatility and Money Market Rates: Insight from Nigeria
- Contribution of Islamic Debt Financing in Entrepreneurship Promoting Financial Sector Transformation
- The Essentials of Islamic Banking, Finance, and Capital Markets
- Implications of the Bartering System in Counseling and Psychotherapy: An Economic Psychology and Ethical Approach
- Sustainable financial services: reflection and future perspectives
- FACTORS AFFECTING THE FINANCIAL PERFORMANCE OF ISLAMIC INSURANCE COMPANIES IN INDONESIA USING SURPLUS ON CONTRIBUTION (SOC)
- THE STUDY OF THE BANK SYARIAH INDONESIA MERGER BASED ON SWOT ANALYSIS
- Importance-performance analysis (IPA) of banking factors affecting the improvement of business environment and prevention of corporate bankruptcy through the IPA …
- Embedding sustainability into bank strategy: implications for sustainable development goals reporting
- Debt Ridden and Deficit Afflicted Economic Turmoil of Pakistan
- Indicators of Banking Fragility of Participation Banks in Turkey
- The Impact of COVID-19 pandemic on Islamic and conventional financial markets: International empirical evidence
- On the potential of sovereign state-contingent debt in contributing to better public debt management and enhancing sustainability outcomes
- COVID-19 and Islamic Finance
- Nineteen Years of Emerging Markets Finance and Trade: A Bibliometric Analysis
- Impact of Macroeconomic and Bank specific variables on Credit Risk in Pakistan: A Comparative Analysis of Islamic and Conventional Banks
- Testing the animal spirits theory for ethical investments: further evidence from aggregated and disaggregated data
- Financial stability: a ‘vaccine’for tail risk of the global banking sector in the shadow of the pandemic
- Banking Crisis Prediction Modeling with Bayesian Model Averaging Approach
- Experts’ views on ḥiyal in the Malaysian Islamic banks’: the case of tawarruq-based deposit products
- The Determinants of Non-Performing Loans (NPLs); Evidence from the Banking Sector of Pakistan
- The Role of Islamic Social Finance in Facing Covid-19 and Economic Crisis
- COVID-19 and bank performance in dual-banking countries: an empirical analysis
- Fifty years of research in deposit insurance: A bibliometric analysis and review
- Development Strategy of Sharia Insurance in Indonesia
- The impact of financial risk on green innovation: Global evidence
- Regulation, financial crises, and liberalization traps
- Spillover connection between oil prices, energy risk exposure, and financial stability: implications for the COVID-19 pandemic
- THE IMPACT OF INDIRECT FOREIGN INVESTMENT ON INDICATORS OF FINANCIAL STABILITY IN IRAQ
- Financial inclusion and economic well-being: Evidence from Islamic Pawnbroking (Ar-Rahn) in Malaysia
- Financial stability and monetary policy reaction: Evidence from the GCC countries
- The Impact of liquidity risk management on Financial Performance through Profitability in the UAE Islamic banks: A review
- Terrorist attacks and bank financial stability: evidence from MENA economies
- Unravelling the mystery behind bank insolvencies in the East African Community (EAC)–the case for Uganda, Kenya and Tanzania
- Dynamic connectedness and spillovers between Islamic and conventional stock markets: time-and frequency-domain approach in COVID-19 era
- A bibliometric review of finance bibliometric papers
- The Obstacles Of Libyan Banks In Transition To Islamic Banks
- Fundamentals of Economic and Monetary Policy in Islam
- Stress Testing Financial Systems: Macro and Micro Stress Tests, Basel Standards and Value-at-Risk as Financial Stability Measures
- Diversification benefits of Turkey-based investors: evidence from top trading partners based on a multivariate-GARCH approach
- Related party disclosures in financial reporting for Islamic banks
- THE INTERNAL SHARIA AUDITOR IN ISLAMIC BANKS.
- Macroprudential policies, economic growth and banking crises
- Did the Islamic Stock Index Provide Shelter for Investors during the COVID-19 Crisis? Evidence from an Emerging Stock Market
- Measuring Basel Credit Gap in Iran: Assessing Implications in Banking Supervision and Crises Prediction
- Integrating sustainability practices into islamic corporate governance for sustainable firm performance: From the lens of agency and stakeholder theories
- The impact of Shariah Advisory Board characteristics on the financial performance of Islamic banks
- The COVID-19 Impact On Emerging Markets
- Nonlinearities between bank stability and income diversification: A dynamic network data envelopment analysis approach
- The need to digitize sukuk issuance amid Covid-19 crisis
- Capital regulation, competition and risk-taking: Policy implications for banking sector stability in the MENA region
- Bank Insolvencies and the UNCITRAL Model Law
- Time-frequency analysis of financial stress and global commodities prices: Insights from wavelet-based approaches
- Return and volatility spillovers between energy and BRIC markets: Evidence from quantile connectedness
- Growth of banking credit in indonesia influence on economic growth in the pandemic
- Risk management and corporate governance of Islamic banks: evidence from GCC countries
- Islamic Capital Markets: The Structure, Formation and Management of Sukuk
- The impact of credit risk and liquidity risk on bank margins during economic fluctuations: evidence from MENA countries with a dual banking system
- An empirical investigation of market risk, dependence structure, and portfolio management between green bonds and international financial markets
- Thirty years of herd behavior in financial markets: A bibliometric analysis
- Liquidity risk and bank financial performance: an application of system GMM approach
- Does bank deposits volatility react to political instability in developing countries?
- … Islamic Finance Contract between Indifference, Recharacterisation, and Invalidation: A Look at the Judicial Trends in Light of Economic and Regulatory Backgrounds …
- The Challenges and Prospects of Sukuk: A Content Analysis-Based Study
- The nexus of financial literacy and depositor discipline in commercial banks
- Financial stability role on climate risks, and climate change mitigation: Implications for green economic recovery
- The linkage between oil price, stock market indices, and exchange rate before, during, and after COVID-19: Empirical insights of Pakistan
- Dividend payout strategies and bank survival likelihood: A cross-country analysis
- THE IMPACT OF THE INDICATORS OF IRAQ STOCK EXCHANGE ON SOME VARIABLES OF FINANCIAL STABILITY IN IRAQ
- Literature study of Islamic Economics and Finance Research
- Islamic accounting research between 1982 and 2020: a hybrid review
- Does bank income diversification affect systemic risk: New evidence from dual banking systems
- RISK MANAGEMENT PRACTICES OF ISLAMIC AND CONVENTIONAL BANKS OF PAKISTAN: A COMPARATIVE STUDY
- Spillovers between the Islamic gold-backed cryptocurrencies and equity markets during the COVID-19: A sectorial analysis
- Decentralized finance research and developments around the World
- Impact of Diversification on Bank Stability: Evidence from Emerging and Developing Countries
- Islamic equity indices: a focus group discussion
- Why do sukuks (Islamic bonds) need a different pricing model?
- Earnings management and internal governance mechanisms: The role of religiosity
- Climate finance in the wake of COVID-19: connectedness of clean energy with conventional energy and regional stock markets
- Dynamic Connectedness, Spillovers, and Delayed Contagion between Islamic and Conventional Bond Markets: Time-and Frequency-Domain Approach in …
- International Journal of Emerging Markets: a bibliometric review 2006–2020
- The Role of Islamic Microfinance in Poverty Alleviation: Evidence from Pakistan
- Political risk in banks: A review and agenda
- Does insurance demand react to economic policy uncertainty and geopolitical risk? Evidence from Saudi Arabia
- Covid-19 and informational efficiency in Asian emerging markets: a comparative study of conventional and Shariah-compliant stocks
- Banking innovations and their effect on profitability
- EXAMINING BANKS’FAILURE IN THE MENA REGION
- Russia’s war in Ukraine: Consequences for European countries’ businesses and economies
- The impact of covid-19 on financial markets & institutions: a literature review
- Financial Liquidity of Indonesian Manufacturing Companies before and during the COVID-19 Pandemic
- IMF Engagement on Financial Sector Issues in Small Developing States
- Islamic Political Capitalism and Economics of Predation
- The Correlation Between Islamic Bank Services, Customer Satisfaction, And Customer Loyalty: A Study In Iraq
- Role of public and private investments for green economic recovery in the post-COVID-19
- Islamic and capitalist economies: Comparison using econophysics models of wealth exchange and redistribution
- COPING WITH COVID-19 IN LEBANON
- FINANCIAL RISK AND FINANCIAL PERFORMANCE OF COMMERCIAL BANKS LISTED IN THE NAIROBI SECURITIES EXCHANGE IN KENYA
- Sri Lanka’s Economic Crisis
- Methodological Approaches to Determining the Financial Stability of Commercial Banks and the Central Bank Assessment Model
- Evolution of research in finance over the last two decades–a topographical view
- Revisiting systemic risk during political shocks and its impact on unemployment: evidence from Tunisia
- Basel III capital regulations and bank efficiency: Evidence from selected African Countries
- The impact of risk governance structure on bank risk management effectiveness: evidence from ASEAN countries
- Asymmetric risk transmissions between oil, gold and US equities: Recent evidence from the realized variance of the futures prices
- Board structure and financial stability of financial firms: Do board policies and CEO duality matter?
- The Effect of Liquidity Risk and Credit Risk on Bank Stability in ASEAN Countries Experiencing Recession Due to the Covid-19 Pandemic
- Credit bureaus, corruption and banking stability
- International uncertainty shocks and central bank quantitative easing under supply shocks
- Digitalization and Banking Crisis: A Nonlinear Relationship?
- The Relationship Between Earnings Management and Firm Performance in the Companies Listed in Tehran Stock Exchange: The Function of Firm Size
- The impact of digital finance on the natural resource market: Evidence from DeFi, oil, and gold
- Indonesian Economic Recovery after COVID-19 Pandemic: Qur’anic Paradigm in Community Economic Development
- The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC Markets
- Information Asymmetry and Card Debt Crisis in Taiwan
- Does Shariah compliance affect investor behaviour in the COVID-19 times: evidence from herding in the global energy market
- Crude oil and Islamic sectoral stocks: Asymmetric TVP-VAR connectedness and investment strategies
- Financialisation, globalisation, and the industrial labour share: A comparison between Iran and Thailand
- Quantifying the hedge and safe-haven properties of bond markets for cryptocurrency indices
- Variables Affecting the Creation and Development of Bank Loss Syndrome with Emphasis on Ethical Variables
- Relationships between ESG Disclosure and Economic Growth: A Critical Review
- Investigating the impact of the devaluation of national currency and macroeconomic indicators considering the political effects of sanctions on stock prices
- COVID-19, local wisdom, and resilience: The case of embroidery artisans in Indonesia
- What drives the systemic banking crises in advanced economies?
- Risk management practices of Islamic microfinance institutions to improve their financial performance and sustainability: a study on Baitut Tamwil Muhammadiyah …
- Modeling of Overdue Receivables in the City Bank Using Agent-based Simulation (Northwestern provinces of the Country)
- Pandemic COVID-19 and Macroeconomic Indicators: A Study of the Structural Factors Exacerbating Palestine’s Economic Crisis
- Searching Hedging Instruments Against Diverse Global Risks and Uncertainties
- Issues of the Legal Status of a Corporation as a Legal Entity in the Aspect of Crisis Changes in the Global Economy
- International Insolvency and Finance Law: Legal Constants in Times of Crises
- Economic Meltdown in Turkey: Great Divergence Fueled by Erdogan’s Quixotic Policies
- COVID-19 and GCC stock market performance: an analysis of the boon (financial stimulus package) and curse (oil price plunge) effects
- Empirical Stylized Facts of Financial Assets A Comparative Study Between Islamic and Conventional Index
- CAPITALISM AS AN ECONOMIC SYSTEM. AN EMPIRICAL ANALYSIS OF THE CAPITALIST FINANCIAL STABILITY DURING CRISIS
- The economic impact by COVID-19 Pandemic in South Asia: Islamic economical tool based short and long term policy responses for South Asian Muslim countries
- Time-frequency comovements between sovereign CDS and exchange rates: The role of sentiments
- The effect of financial repression policy on bank liquidity risk (evidence from Central Bank of Iran)
- A Relook into Awareness, Perceptions and Infrastructure Needs: A Case of Sukuk and the Nigerians
- Financial Crises Continue to Strike amid Accelerated Evolution of Risk Management
- Multilateral Development Banks. Mission, Business Model, Financial Management.
- The investment account holders disclosure level in the annual reports of Islamic banks: construction of IAHs disclosure index
- Comparative Analysis of Financial Performance Before and During the Covid-19 Pandemic at BTPN Syariah
- Governance and financial development: Evidence from a global sample of 120 countries
- The Dark Side of Bitcoin: Do Emerging Asian Islamic Markets Subdue the Ethical Risk?
- The role of institutional quality in bank deposit growth In European transition economies
- Causes and Consequences of the World Financial Crisis 2008: A Historical Perspective
- Islamic Law, Social Justice and Injustices: The Case for Islamic Welfare Systems
- Corporate governance mechanisms and their effect on financial performance in Islamic banks
- Impact of the COVID-19 outbreak and its related announcements on the Chinese conventional and Islamic stocks’ connectedness
- Risk Disclosure in Banking: The State of the Art
- Transitioning green finance from theory to practice for renewable energy development
- Impact of Covid-19 Pandemic on the Financial Performance of the Banking Sector of Bangladesh
- 30 YEARS OF SUSTAINABLE FINANCE RESEARCH IN SOCIAL SCIENCE AND BUSINESS–A BIBLIOMETRIC ANALYSIS
- Exploring the impact of financial inclusion and financial development on non-performing loans: Evidence from banking sector of Pakistan
- Does implied volatility (or fear index) affect Islamic stock returns and conventional stock returns differently? Wavelet-based granger-causality, asymmetric quantile …
- A bibliometric analysis of ESG performance in the banking industry: from the current status to future directions
- Does Financial Crisis Really Affect French Economic Growth? Fresh Insights from Nonlinear Approach
- Effectiveness of macroprudential policies: Do stringent bank regulation and supervision matter?
- Flights-to-and-from-quality with Islamic and conventional bonds in the COVID-19 pandemic era: ICEEMDAN-based transfer entropy
- PROSPECTS FOR SOUTHEAST ASIA’SLONG TERM ECONOMIC DEVELOPMENT: WHAT ROLE FOR CENTRAL BANKS?
- Developing Countries in the Lead: A Bibliometric Approach to Green Finance
- Russia–Ukraine conflict: 2030 Agenda for SDGs hangs in the balance
- An overview of recent developments in corporate governance
- Application of Maqasid Al-Shariah and Rules of Shariah in Managing Wealth and Financial Transactions
- Comparing asymmetric price efficiency in regional ESG markets before and during COVID-19
- Bubble contagion effect between the main precious metals
- Qard Hasan as a feasible Islamic financial instrument for crowdfunding: its potential and possible application for financing micro-enterprises in Malaysia
- Millennials’ acceptability of tawarruq-based ar-rahnu in Malaysia
- A Frontier Market in the COVID-19 Era: Kazakhstan’s Economic Diversification in the 2020s
- Rethinking financial contagion: information transmission mechanism during the COVID-19 pandemic
- Flights-to-quality from EM Bonds to safe-haven US Treasury Securities: A time-frequency Analysis
- Fostering green finance for sustainable development: a focus on textile and leather small medium enterprises in Pakistan
- Modeling and Mathematical Analysis of Liquidity Risk Contagion in the Banking System
- Linkage dynamics of sovereign credit risk and financial markets: A bibliometric analysis
- The impact of COVID-19 on conventional and Islamic stocks: empirical evidence from Pakistan
- Does political risk matter for gold market fluctuations? A structural VAR analysis
- DOES BANK EFFICIENCY ENHANCE BANK PERFORMANCE? EMPIRICAL EVIDENCE FROM INDIAN BANKING
- The Effect of Applying Banking Regulations on Banking Performance of MENA Region Countries
- Out-of-Sample Stock Return Predictability of Alternative COVID-19 Indices
- THE RESPONSE OF ECONOMIC GROWTH TO THE SPACE AVAILABLE FOR ECONOMIC POLICIES IN LIGHT OF THE CORONA PANDEMIC, WITH A …
- Disclosure of Risks and Opportunities in the Integrated Reports of South African Banks
- Fundamentals of Board Busyness and Corporate Governance
- The dark side of Bitcoin: Do Emerging Asian Islamic markets help subdue the ethical risk?
- Banking Risks in the Asset and Liability Management System
- Systemic risk measures and regulatory challenges
- The Implementation of Hardship Principles in OJK Regulation Number 11/POJK. 03/2020 as a Strategy of Economic Strengthening in Handling the Impact of COVID …
- The impact of natural disasters on the performance and solvency of US banks
- Implications of accountability on employment and income: evidence from Nigerian’s deposit banks
- Sustainability and Financial Growth
- Financial untouchability: a polysemic narrative of digital financial inclusion in Modi’s India
- Measuring the effect of GST towards performances of Malaysian takaful operators
- Tackling the Global Food Crisis: Impact, Policy Response, and the Role of the IMF
- Krisis Keuangan Masa Depan dan Sistem Keuangan Baru
- The Proliferation of Commercial Banking Sector in Bangladesh and the Competitive Position of Top Three commercial Banks
- Regulating the Crypto Ecosystem: The Case of Stablecoins and Arrangements
- Risk Disclosure in the European Banking Industry
- The Twin Crises in the Iranian Economy and Its Determination during 1980–2018
- Central bank independence and systemic risk
- Effects of COVID-19 on cryptocurrency and emerging market connectedness: Empirical evidence from quantile, frequency, and lasso networks
- Blockchain in Banking and Finance: is the best yet to come? A bibliometric review
- Arbitrating financial disputes—are they different and what lies ahead?
- Handbook of research on entrepreneurship and organizational resilience during unprecedented times
- Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies
- Financial Crisis Prediction Model of Listed Companies Based on Statistics and AI
- Risk spillovers and interconnectedness between systemically important institutions
- Financial Risk, Firm Size and Financial Distress: Turbulent Times for Firms Listed at the Nairobi Securities Exchange, Kenya
- COVID19: A blessing in disguise for European stock markets?
- Determining dependence, centrality, and dynamic networks between green bonds and financial markets
- The Technological Impact in Finance: A Bibliometric Study of Fintech Research
- Case Studies on the Online Tourism Marketplace
- From the Economic Crisis to the Rise of Political Populism in Italy: How economic factors has been the most relevant to explain Populism’s rise in Italy
- An empirical investigation of the effects of competition, efficiency and risk-taking on profitability: An application in Indian banking
- Knowledge Structures, Progression and Emergent Areas of Corporate Bankruptcy: A Bibliometric and Topic Modelling Analyses
- Financial Markets and Institutions in Malaysia (UUM Press)
- A framework for short-vs. long-term risk indicators for outsourcing potential for enterprises participating in global value chains: Evidence from Western Balkan countries
- Role of zakat in responding to COVID-19 pandemic: lessons learnt and way forward
- ARE BANKING INDUSTRY MORE RESILIENT AGAINST THE COVID-19 PANDEMIC IN INDONESIA?
- The evolution of bank revenue and risk in the Asia-Pacific Region
- Spillovers and contagion between BRIC and G7 markets: New evidence from time-frequency analysis
- Impact of the application of IFRS 9 on listed Spanish credit institutions: Implications from the regulatory, supervisory and auditing point of view
- COVID-19 pandemic and risk dynamics of financial markets in G7 countries
- Optimization of Regulatory Economic-Capital Structured Portfolios: Modeling Algorithms, Financial Data Analytics, and Reinforcement Machine Learning in Emerging …
- How do countries deal with global uncertainty? Domestic ability to absorb shock through the lens of the economic complexity and export diversification
- The Financial Crisis of the XXI-st Century
- Ownership concentration and its influence on transparency and disclosures of banks in India
- The green movement in Iran: 2009–2010
- Blessing or curse? Government funding of deposit insurance and corporate lending
- Safe flight to which haven when Russia invades Ukraine? A 48-hour story
- Does leverage fit non-performing loans in the COVID-19 pandemic–evidence from the Vietnamese banking system
- Quantifying systemic risk in US industries using neural network quantile regression
- BANK GOVERNANCE AND RISK-TAKING: A SURVEY OF THE LITERATURE
- Monetary Finance: Do Not Touch, or Handle with Care?
- Islamic Market Index Behavior and Performance: Empirical Evidence from Dow Jones Market Indexes
- A crisis that changed the banking scenario in India: exploring the role of ethics in business
- Analysis of Countercyclical Policy Factors in The Era of the COVID-19 Pandemic in Financial Statement Fraud Detection of Banking Companies in Indonesia
- Sudan’s December revolution and the demise of the Al Bashir Regime
- Geopolitical risk and stock market volatility in emerging markets: A GARCH–MIDAS approach
- Moderating Effect of Gender, Income and Age towards an Islamic Health Protection Retirement Plan (i-HPRP)
- The development of economic potential of people in pandemic through earning Zakat distribution
- Decoding the trinity of Fintech, digitalization and financial services: An integrated bibliometric analysis and thematic literature review approach
- Sovereign debt crisis, fiscal consolidation, and active central bankers in a monetary union
- Volatility spillovers among Northeast Asia and the US: Evidence from the global financial crisis and the COVID-19 pandemic
- How does renewable energy technology innovation affect the upgrading of industrial structure? The moderating effect of green finance
- The threshold effects of income diversification on bank stability: an efficiency perspective based on a dynamic network slacks-based measure model
- Mediating effect of risk management practices in Iraqi private banks financial performance
- Diversifier or more? Hedge and safe haven properties of green bonds during COVID-19
- The religious fringe of Corporate Social Responsibility
- THE EFFECT OF CASH FLOW AND CURRENCY EXCHANGE RATE ON FINANCIAL DISTRESS
- FORECASTING THE INDONESIAN RURAL BANKS’PROFITABILITY: THE CASE OF DYNAMIC AND STATIC FORECASTING
- Governance in the era of Blockchain technology in Qatar: a roadmap and a manual for Trade Finance
- Do financial inclusion and R&D matter? Exploring the effect of uncertainty on economic performance
- Religiosity and bank performance: How strong is the link?
- Financial Development and Shadow Economy: A Bibliometric Analysis Using the Scopus Database (1985–2021)
- Green investments: A luxury good or a financial necessity?
- Has the Risk of Socially Responsible Investments (SRI) Companies Stocks Changed in the COVID-19 Period? International Evidence
- The effects of economic uncertainty, geopolitical risk and pandemic upheaval on gold prices
- Asymmetric causality of economic policy uncertainty and oil volatility index on time-varying nexus of the clean energy, carbon and green bond
- Personal Bankruptcy in Malaysia and Singapore: An Empirical Analysis
- Banking sector reforms and customer switching intentions: Evidence from the Ghanaian banking industry
- Customer Satisfaction Measurement: A Study on Dutch Bangla Bank Limited
- Accounting Quality and Audit Attributes on the Stock Price Crashes in an Emerging Market
- A bibliometric review of financial market integration literature
- Upside/Downside Spillovers between Oil and Chinese Stock Sectors: From the Global Financial Crisis to Global Pandemic
- Revisiting the financial market interdependence during COVID-19 times: a study of green bonds, cryptocurrency, commodities and other financial markets
- The Affect of Digital Transformation on Leadership in Shariah Bank: A Literature Review
- Juridic Review Concerning Supervision of Financial Services Authorities in Insurance Companies Based on Law Number 40 of 2014 Concerning Insurance
- THE INFLUENCE OF MARKET RISK TOWARDS FINANCIAL PERFORMANCE OF FOREIGN EXCHANGE BANKS IN INDONESIA
- The Evolution of Prudential Rules on Credit Risk Management: From Basel Agreements to IFRS 9
- Project Finance
- Saudi Arabia’s small and medium enterprises (SMES) sector post-Covid-19 recovery: stakeholders’ perception on investment sustainability
- The nature of the crisis
- Benefit–Risk Perceptions of FinTech Adoption for Sustainability from Bank Consumers’ Perspective: The Moderating Role of Fear of COVID-19
- Stock markets response to contagious disease: Evidence on the impact of COVID-19 in the three worst hit African economies
- Contagion and Interdependencies: A Dynamic Connectedness approach among Implied Volatilities
- Covid-19 impact on Latin and Asian stock markets
- Trends in FinTech Research and Practice: Examining the Intersection with the Information Systems Field
- What explains provisioning behaviour in the banking industry? Evidence from an emerging economy
- COMPETITION AND PROFITABILITY: IMPACT ON STABILITY IN INDONESIAN BANKING
- Socio-economic Impact of Covid-19 on Marginalized Youth in Malaysia
- The determinants of fertility and economic uncertainty: an application of the NARDL model for Hong Kong and South Korea
- RETRACTED ARTICLE: Nexus between sustainable economic growth and foreign private investment: evidence from emerging and developed economies
- Do corporate governance codes matter in Africa?
- Twitter’s daily happiness sentiment, economic policy uncertainty, and stock index fluctuations
- Corporate risk disclosure: A systematic literature review and future research agenda
- The effect of oil prices on bank lending behaviour: evidence from the GCC region
- International Journal of Engineering Technology Research & Management
- The New Bail-In Legislation
- Analysis of Sukuk Research in Indonesia Bibliometric Approach
- Beyond religion and culture: The economic consequences of the institutionalization of sharia law
- BigTech in Financial Services: Regulatory Approaches and Architecture
- COVID-19 Pandemic’s Impact on Return on Asset and Financing of Islamic Commercial Banks: Evidence from Indonesia
- Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks)
- Sustainability of basket peg choices in the post-COVID-19 era: new evidence from Morocco & Tunisia
- Artificial intelligence and machine learning in finance: A bibliometric review
- Classical Islamic Perspectives on Monetary Theory
- Russia-Ukraine War and systemic risk: Who is taking the heat?
- Corporate Bond Defaults and Spillover Effects on Bank Risk—Evidence from City Commercial Banks in China
- Educational Ecosystem of Philippine Learning Institutions in Surviving COVID-19 and Beyond
- Poisson Processes
- The behaviour of US stocks to financial and health risks
- Spillovers from global economic policy uncertainty and oil price volatility to the volatility of stock markets of oil importers and exporters
- The world uncertainty index
- Changes in co-movement and risk transmission between South Asian stock markets amidst the development of regional co-operation
- A Panel Data Analysis into the Impact of Regulations and Supervision on the African Banking Profitability and Risk Profile
- Privatisation Policy and the Ghanaian Gold Mining Industry: Assessing the Benefits and Costs
- The emergence of the ‘sovereign debt crisis’ in 1970s MENA economies
- Modelling the Vulnerability of Financial Accounting Systems during Global Challenges: A Comparative Analysis
- Assessing the effects of cost, revenue and profit efficiency on bank performance: empirical evidence from Indian banking
- Canadian banks and their responses to COVID-19–stakeholder-oriented crisis management
- Hedge Ratios and Modelling select Global Financial Variables with BRICS.
- The 1980s ‘debt crisis’ in the Middle East and North Africa: framing regional dynamics within the international stage at UNCTAD
- Shariah auditing: analyzing the past to prepare for the future