Mohammad Kabir Hassan
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Economics
Mohammad Kabir Hassan's Degrees
- PhD Economics University of Georgia
- Masters Economics University of Dhaka
- Bachelors Economics University of Dhaka
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Why Is Mohammad Kabir Hassan Influential?
(Suggest an Edit or Addition)According to Wikipedia, Mohammad Kabir Hassan is a Bangladeshi-American economist who serves as Professor of Finance at University of New Orleans. He has been providing consultancy to International Monetary Fund, World Bank, Transparency International Bangladesh, African Development Bank , Islamic Development Bank and Government of Turkey.
Mohammad Kabir Hassan's Published Works
Published Works
- Financial Development and Economic Growth: New Evidence From Panel Data (2007) (699)
- Determinants of Islamic Banking Profitability (2003) (630)
- Technical, scale and allocative efficiencies of Turkish banking industry (2002) (627)
- A Comparative Literature Survey of Islamic Finance and Banking (2001) (530)
- The Performance of Malaysian Islamic Bank During 1984–1997: An Exploratory Study (2006) (429)
- Determinants of Corporate Social Responsibility Disclosure: The Case of Islamic Banks (2011) (392)
- Financial deregulation and total factor productivity change: An empirical study of Turkish commercial banks (2003) (385)
- Financial inclusion and economic growth in OIC countries (2018) (289)
- Efficiency, Ownership and Market Structure, Corporate Control and Governance in the Turkish Banking Industry (2003) (241)
- The governance, risk-taking, and performance of Islamic banks (2016) (240)
- Genetic Algorithm Based Model For Optimizing Bank Lending Decisions (2017) (215)
- Is There a Cost to Faith-Based Investing: Evidence from FTSE Islamic Indices (2008) (193)
- Cost and Profit Efficiency of the Turkish Banking Industry: An Empirical Investigation (2002) (192)
- A contemporary survey of islamic banking literature (2018) (166)
- The Financial and Operating Performance of China's Newly Privatized Firms (2003) (160)
- Faith-Based Ethical Investing: The Case of Dow Jones Islamic Indexes (2010) (159)
- The Impact of Mergers and Acquisitions on the Efficiency of the U.S. Banking Industry: Further Evidence (2008) (158)
- Regulation and Performance of Islamic Banking in Bangladesh (2007) (153)
- The Global Financial Crisis and Islamic Finance (2011) (152)
- Handbook of Islamic Banking (2009) (147)
- The X-Efficiency in Islamic Banks (2006) (146)
- Global and regional integration of the Middle East and North African (MENA) stock markets (2008) (144)
- Banking Behavior of Islamic Bank Customers in Bangladesh (2008) (134)
- Are Islamic bonds different from conventional bonds? International evidence from capital market tests (2013) (127)
- Is SAARC a viable economic block? evidence from gravity model (2001) (126)
- Islamic banking in theory and practice: the experience of Bangladesh (1999) (115)
- Liquidity risk, credit risk and stability in Islamic and conventional banks (2019) (115)
- Financial disruption and bank productivity: The 1994 experience of Turkish banks (2003) (106)
- A bibliometric review of sukuk literature (2019) (102)
- Time-varying volatility and equity returns in Bangladesh stock market (2003) (100)
- Capital adequacy and lending and deposit behaviors of conventional and Islamic banks (2014) (100)
- Short-run and long-run dynamic linkages among international stock markets (1996) (98)
- Customer Demographics Affecting Bank Selection Criteria, Preference, and Market Segmentation: Study on Domestic Islamic Banks in Bangladesh (2009) (97)
- Profit distribution management by Islamic banks: An empirical investigation (2012) (97)
- Islamic takaful: Business models, Shariah concerns, and proposed solutions (2007) (94)
- Country risk and stock market volatility, predictability, and diversification in the Middle East and Africa (2003) (91)
- Islamic mutual funds (2007) (91)
- Deposit Insurance, Market Discipline and Off-Balance Sheet Banking Risk of Large U.S. Commercial Banks (1994) (87)
- Islamic Banking Sustainability: A Review of Literature and Directions for Future Research (2016) (78)
- Corporate Lobbying, CEO Political Ideology and Firm Performance (2016) (76)
- The Microfinance Revolution and the Grameen Bank Experience in Bangladesh (2002) (76)
- The Potentials of mushārakah mutanāqisah for Islamic Housing Finance (2011) (71)
- Predicting Efficiency in Islamic Banks: An Integrated Multicriteria Decision Making (MCDM) Approach (2016) (71)
- The X-Efficiency of a Group-Based Lending Institution: The Case of the Grameen Bank (2001) (70)
- Islamic Capital Markets: Products and Strategies (2011) (70)
- Efficiency Analysis of Microfinance Institutions in Developing Countries (2009) (68)
- ZAKAT, EXTERNAL DEBT AND POVERTY REDUCTION STRATEGY IN BANGLADESH (2007) (67)
- ISLAMIC ENTREPRENEURSHIP: A CASE STUDY OF SAUDI ARABIA (2010) (64)
- ESG activities and banking performance: International evidence from emerging economies (2021) (63)
- The experience of the Grameen Bank of Bangladesh in community development (1997) (63)
- Does an Islamic Label Indicate Good Corporate Governance? (2017) (63)
- A re-examination of financial development, stock markets development and economic growth (2012) (62)
- Saudi Arabia's economic development: entrepreneurship as a strategy (2011) (62)
- Political Systems and the Financial Soundness of Islamic Banks (2017) (62)
- Quality Perception of the Customers towards Domestic Islamic Banks in Bangladesh (2018) (61)
- Is faith‐based investing rewarding? The case for Malaysian Islamic unit trust funds (2010) (59)
- Impact of behavioral factors on investors’ financial decisions: case of the Egyptian stock market (2019) (59)
- The near-collapse of LTCM, US financial stock returns, and the fed (2005) (58)
- Ownership and performance in Chinese manufacturing industry (2002) (58)
- Exchange rate volatility and aggregate export growth in Bangladesh (1998) (57)
- The Time Value of Money Concept in Islamic Finance (2006) (57)
- Basel Capital Requirements and Bank Credit Risk Taking In Developing Countries (2005) (56)
- RIBA AND ISLAMIC BANKING (2008) (55)
- A bibliometric review of takaful literature (2020) (55)
- Customer‐centric corporate social responsibility (2013) (55)
- The Global Financial Crisis, Risk Management and Social Justice in Islamic Finance (2009) (53)
- Non‐parametric performance measurement of international and Islamic mutual funds (2012) (53)
- The determinants of co-movement dynamics between sukuk and conventional bonds (2017) (53)
- Operational Efficiency and Performance of Islamic Banks (2007) (52)
- Trade credit research before and after the global financial crisis of 2008 – A bibliometric overview (2020) (51)
- Impact of COVID-19 pandemic on stock markets: Conventional vs. Islamic indices using wavelet-based multi-timescales analysis (2021) (50)
- Efficiency Determinants and Dynamic Efficiency Changes in Latin American Banking Industries (2007) (50)
- Safe havens in Islamic financial markets: COVID-19 versus GFC (2021) (50)
- Fintech and Islamic Finance: Literature Review and Research Agenda (2020) (50)
- Islamic bank incentives and discretionary loan loss provisions (2014) (49)
- Governance, Resources and Growth (2016) (49)
- Ethical Principles of Islamic Financial Institutions (2013) (48)
- The Islamic risk factor in expected stock returns: an empirical study in Saudi Arabia (2015) (48)
- Islamic Banking: An Introduction and Overview (2007) (47)
- The determinants of Islamic bank capital decisions (2017) (47)
- Sustainable and socially responsible investing: Does Islamic investing make a difference? (2013) (46)
- Introduction to Islamic banking and finance : principles and practice (2013) (45)
- Are safe haven assets really safe during the 2008 global financial crisis and COVID-19 pandemic? (2021) (45)
- Financial Development and Economic Growth in the Organization of Islamic Conference Countries (2011) (44)
- Defense Expenditure and Economic Growth in the SAARC Countries (2003) (44)
- The Off-Balance Sheet Banking Risk of Large U.S. Commercial Banks (1993) (41)
- A Comparative Study between the InvestmentCharacteristics of Islamic and Conventional EquityMutual Funds in Saudi Arabia (2012) (41)
- The Wealth and Risk Effects of the Gramm-Leach-Bliley Act (Glba) on the Us Banking Industry (2005) (40)
- A survey on Islamic Finance and accounting standards (2019) (40)
- Factors affecting customers’ attitude towards Islamic banking in UAE (2019) (39)
- An Empirical Analysis of Emerging Stock Markets of Europe (2006) (39)
- Exploring the hedge and safe haven properties of cryptocurrency in policy uncertainty (2021) (39)
- Entrepreneurship and Islam: An Overview (2014) (39)
- Performance of Microfinance Institutions in Muslim Countries (2014) (38)
- AN EMPIRICAL STUDY OF RELATIVE EFFICIENCY OF THE BANKING INDUSTRY IN BAHRAIN (2004) (38)
- A Review of Islamic Investment Literature (2018) (38)
- Pricing Beliefs: Empirical Evidence from the Implied Cost of Deposit Insurance for Islamic Banks (2016) (38)
- The impact of the Gramm-Leach-Bliley act on the financial services industry (2004) (36)
- Oil price volatility, Islamic financial development and economic growth in Gulf Cooperation Council (GCC) countries (2019) (36)
- Capital market tests of risk exposure of loan sales (1993) (35)
- Day of the Week Effect in Istanbul Stock Exchange (2006) (34)
- Socioeconomic Impact of COVID-19 in MENA region and the Role of Islamic Finance (2021) (34)
- Credit Default Swaps and Sovereign Debt Markets (2011) (34)
- A bibliometric review of finance bibliometric papers (2021) (34)
- Religion and Mergers and Acquisitions Contracting: The Case of Earnout Agreements (2016) (33)
- Economic Performance of the OIC Countries and the Prospect of an Islamic Common Market (2009) (32)
- Off-balance sheet activities and bank default-risk premia: A comparison of risk measures (1993) (31)
- Islamic banks and political risk: International evidence (2019) (31)
- Regulating the governing law clauses in Sukuk transactions (2015) (30)
- Efficiency of Bangladesh stock market: evidence from monthly index and individual firm data (2008) (30)
- An Empirical Examination of Stability, Predictability, and Volatility of Middle Eastern and African Emerging Stock Markets (2004) (29)
- Activity Strategies, Information Asymmetry, and Bank Opacity (2018) (28)
- On the role of Islamic and conventional banks in the monetary policy transmission in Malaysia: Do size and liquidity matter? (2020) (28)
- The Islamic Banking and Economic Growth Nexus: A Panel VAR Analysis for Organization of Islamic Cooperation (OIC) Countries (2016) (28)
- Risk Management and Capital Adequacy in Turkish Participation and Conventional Banks: A Comparative Stress Testing Analysis (2016) (28)
- TRADE RELATIONS WITH SAARC COUNTRIES AND TRADE POLICIES OF BANGLADESH (2000) (28)
- Impact of financial liberalization and foreign bank entry on Islamic banking performance (2013) (28)
- The Legal Implications of ‘ Fatwā Shopping’ in the Islamic Finance Industry: Problems, Perceptions and Prospects (2016) (28)
- Financial Liberalization and Foreign Bank Entry on the Domestic Banking Performance in MENA Countries (2012) (28)
- New evidence on shareholder wealth effects in bank mergers during 1980-2000 (2010) (27)
- Discretionary loan loss provision behavior in the US banking industry (2020) (27)
- Faith-based norms and portfolio performance: Evidence from India (2019) (26)
- Attitude of Muslim minority in Spain towards Islamic finance (2018) (26)
- Fintech-based financial inclusion and bank risk-taking: Evidence from OIC countries (2021) (25)
- Influential and intellectual structure of Islamic finance: a bibliometric review (2020) (25)
- Vulnerability of financial markets in India: The contagious effect of COVID-19 (2021) (25)
- Using precious metals to hedge cryptocurrency policy and price uncertainty (2021) (24)
- Islamic microfinance: A bibliometric review (2021) (24)
- STABILITY OF MONEY DEMAND UNDER INTEREST‐FREE VERSUS INTEREST‐BASED BANKING SYSTEM (1998) (24)
- A review of Islamic stock market, growth and real-estate finance literature (2020) (24)
- Does the Covid-19 pandemic affect faith-based investments? Evidence from global sectoral indices (2021) (24)
- Ethical Gaps and Market Value in the Islamic Banks of Bangladesh (2010) (24)
- Opinion of the zakat recipients on their food security: a case study on Bangladesh (2014) (24)
- Stability, Volatility, Risk Premiums, and Predictability in Latin American Emerging Stock Markets (2001) (23)
- CanShariahboard characteristics influence risk-taking behavior of Islamic banks? (2019) (23)
- The inter-temporal relationship between risk, capital and efficiency: The case of Islamic and conventional banks (2020) (23)
- Scales and technical efficiencies in Middle East and North African (MENA) micro financial institutions (2012) (23)
- Macroeconomics, Investor Sentiment, and Islamic Stock Price Index in Malaysia (2014) (22)
- Price discovery process in the emerging sovereign CDS and equity markets (2014) (22)
- The Effects of Shariah Board Composition on Islamic Equity Indices' Performance (2018) (21)
- Time-Varying and Spatial Herding Behavior in the US Housing Market: Evidence from Direct Housing Prices (2017) (21)
- Deep learning-based exchange rate prediction during the COVID-19 pandemic (2021) (21)
- Islamic Banking Regulations in Light of Basel II (2004) (21)
- Does Islamic microfinance serve maqāsid al-shari'a? (2020) (21)
- The impact of macroeconomic and financial stress on the U.S. financial sector (2015) (21)
- Fractal Patterns in Nonlinear Dynamics and Applications (2019) (20)
- THE INFLUENCE OF RELIGION AND SOCIAL INEQUALITY ON FINANCIAL INCLUSION (2018) (20)
- The value of certification in Islamic bond offerings (2019) (20)
- A Methodological Investigation of Risk Exposure of Bank Off-Balance Sheet Loan Commitment Activities (1994) (20)
- Dividend Signaling Hypothesis and Short-Term Asset Concentration of Islamic Interest-Free Banking (2003) (20)
- Emerging Market Efficiencies: New Zealand's Maturation Experience in the Presence of Non-Linearity, Thin Trading and Asymmetric Information (2008) (20)
- International Diversification with American Depository Receipts (ADRs) (2011) (19)
- Asymmetric connectedness across Asia-Pacific currencies: Evidence from time-frequency domain analysis (2022) (19)
- The relationship between board characteristics and performance of bank holding companies: before and during the financial crisis (2016) (19)
- An econometric estimation of the aggregate import demand function for Bangladesh: some further results (2004) (19)
- Islam and Speculation in the Stock Exchange (2007) (19)
- CORPORATE GOVERNANCE, RISK-TAKING AND FIRM PERFORMANCE OF ISLAMIC BANKS DURING GLOBAL FINANCIAL CRISIS (2014) (19)
- Product development and Shariah issues in Islamic finance (2007) (19)
- Does credit default swap spread affect the value of the Turkish LIRA against the U.S. dollar (2017) (18)
- A CONTEMPORARY REVIEW OF ISLAMIC FINANCE AND ACCOUNTING LITERATURE (2019) (18)
- Islamic finance: A system at the crossroads? (2007) (18)
- Interest-free monetary policy and its impact on inflation and unemployment rates (2019) (18)
- Does Faith Matter in Mutual Funds Investing? Evidence from Saudi Arabia (2016) (18)
- Handbook on Islam and Economic Life (2015) (18)
- The market's perception of the riskiness of large U.S. Bank commercial letters of credit (1992) (18)
- Corporate Lobbying and Labor Relations: Evidence from Employee-Level Litigations (2017) (18)
- Technology Gap and Managerial Efficiency: A Comparison between Islamic and Conventional Banks in MENA (2019) (17)
- AIG's announcements, Fed's innovation, contagion and systemic risk in the financial industries (2013) (17)
- Does ethics improve stock market resilience in times of instability? (2018) (17)
- The assets and liabilities gap management of conventional and Islamic banks in the organization of Islamic cooperation (OIC) countries (2014) (17)
- An Integrated Islamic Poverty Alleviation Model (2013) (17)
- Equity Pricing in Islamic Banks: International Evidence (2018) (17)
- Factors affecting Islamic banking behavioral intention: the moderating effects of customer marketing practices and financial considerations (2019) (17)
- The size effect reversal in the USA (2005) (17)
- When and why firms issue sukuk (2018) (17)
- Cybersecurity hazards and financial system vulnerability: a synthesis of literature (2020) (17)
- How does listing status affect bank risk? The effects of crisis, market discipline and regulatory pressure on listed and unlisted BHCs (2019) (17)
- Islamic Banking and Performance in the Asean Banking Industry: A Topsis Approach with Probabilistic Weights (2017) (17)
- Portfolio and hedging effectiveness of financial assets of the G7 countries (2018) (16)
- AN EMPIRICAL ANALYSIS OF BANK STANDBY LETTERS OF CREDIT RISK (1992) (16)
- Does venture capital portfolio size matter (2013) (16)
- Political patronage and firm performance: Further evidence from Malaysia (2012) (16)
- Islamic banking stability amidst the COVID-19 pandemic: the role of digital financial inclusion (2021) (16)
- A bibliometric review of the Waqf literature (2021) (15)
- The impact of religious certification on market segmentation and investor recognition (2019) (15)
- Guarantees and Profit-Sharing Contracts in Project Financing (2015) (15)
- Financial Services Modernization Act of 1999: Market Assessment of Winners and Losers in The Insurance Industry (2017) (15)
- On black market exchange rate and demand for money in developing countries: The case of Nigeria (1995) (15)
- Financial Guarantee as Innovation Tool in Islamic Project Finance (2006) (15)
- Network Connectedness of World's Islamic Equity Markets (2020) (14)
- An Empirical Investigation of Economic Cooperation among the OIC Member Countries (2002) (14)
- Regional Cooperation in Trade, Finance and Investment Among SAARC Countries: The Bangladesh Perspective (2001) (14)
- Rational speculative bubbles in MENA stock markets (2010) (14)
- How did the Fed do? An empirical assessment of the Fed's new initiatives in the financial crisis (2010) (14)
- The Impact of Foreign-Owned Islamic Banks and Islamic Bank Subsidiaries on the Efficiency and Productivity Change of Malaysian Banks (2011) (14)
- The Dispute Resolution Framework for the Islamic Capital Market in Malaysia: Legal Obstacles and Options (2015) (13)
- Mining netizen’s opinion on cryptocurrency: sentiment analysis of Twitter data (2021) (13)
- Dividend payout policy of Shariah compliant firms: Evidence from United States (2020) (13)
- Qard-al-Hasan-based monetary policy and the role of the central bank as the lender of last resort (2020) (13)
- From interest tax shield to dividend tax shield: A corporate financing policy for equitable and sustainable wealth creation (2017) (13)
- CASH WAQF INVESTMENT AND POVERTY ALLEVIATION: CASE OF TABUNG MASJIDS IN MALAYSIA (2019) (13)
- A note on COVID-19 instigated maximum drawdown in Islamic markets versus conventional counterparts (2021) (13)
- Firm fundamentals and stock prices in emerging Asian stock markets: some panel data evidence (2013) (13)
- The crossroads of ESG and religious screening on firm risk (2021) (13)
- How Efficient are Alternative Financial Institutions? An Empirical Investigation of Islamic REITs in Malaysia (2017) (12)
- A Comparative Efficiency Analysis of Interest Free Financial Institutions and Conventional Banks: A Case Study on Turkey (2007) (12)
- Specialization versus diversification in venture capital investing (2009) (12)
- Legal and regulatory issues of Islamic finance in Australia (2009) (12)
- Characterizing Sovereign Credit Risk Interdependencies: Evidence from the Credit Default Swap Market (2016) (12)
- Exploring the dynamic spillover of cryptocurrency environmental attention across the commodities, green bonds, and environment-related stocks (2022) (12)
- Evolution of research in finance over the last two decades – A topographical view (2022) (12)
- Safety-first portfolio optimization for US investors in emerging global, Asian and Latin American markets (2004) (11)
- The Shariah Process in Product Development and Approval in ICM (2015) (11)
- Religion and Ratio Analysis: Towards an Islamic Corporate Liquidity Measure (2016) (11)
- A Model of the Islamic Sovereign Wealth Fund (2019) (11)
- Bibliometric and Scientometric analysis on CSR practices in the banking sector (2022) (11)
- Cryptocurrency Tide and Islamic Finance Development: Any Issue? (2019) (11)
- Portfolio investment of the OIC countries and their implications on trade (2003) (11)
- Non-Performing Loans and Bank Efficiency of Conventional and Islamic Banks in the Organization of Islamic Cooperation (OIC) Countries (2017) (11)
- Trade liberalization and industry performance in Bangladesh (2010) (11)
- Loan Loss Provisioning in OIC Countries: Evidence from Conventional vs. Islamic Banks (2014) (11)
- SOVEREIGN DEBT ISSUANCE CHOICE: SUKUK VS CONVENTIONAL BONDS (2020) (10)
- Chapter 4 Religious Preference and Financial Inclusion: The Case for Islamic Finance (2018) (10)
- Determinants of credit default swaps spreads in European and Asian markets (2013) (10)
- Handbook of Empirical Research on Islam and Economic Life (2017) (10)
- Corporate Control and Governance in Banking (2004) (10)
- Dependency of Islamic bank rates on conventional rates in a dual banking system: A trade-off between religious and economic fundamentals (2021) (10)
- Some economic determinants of Third World professional immigration to the United States: 1972-87 (1990) (10)
- Corporate governance and liquidity creation nexus in Islamic banks—Is managerial ability a channel? (2020) (10)
- Forecasting realised volatility using ARFIMA and HAR models (2019) (10)
- Why do sukuks (Islamic bonds) need a different pricing model? (2020) (10)
- State contingent banking and asset price bubbles: The case of Islamic banking industry (2020) (10)
- Rational Speculative Bubbles: An Empirical Investigation of the Middle East and North African Stock Markets (2007) (10)
- The Risks of Off-Balance Sheet Derivatives in U.S. Commercial Banks (2009) (10)
- Financing Super-Infrastructures Using ISTISNA-SUKUK Based Monetary POLICY for Faster Economic Development (2020) (9)
- Productivity and Spillover effect of merger and acquisitions in Malaysia (2015) (9)
- Twenty-nine years of the Journal of International Review of Economics and Finance: A scientometric overview (1992–2020) (2021) (9)
- The 1994–1995 Mexican Currency Crisis and U.S. Bank Stock Returns (1999) (9)
- COVID-19 and Islamic Social Finance (2021) (9)
- Does Financial Inclusiveness Affect Economic Growth? New Evidence Using a Dynamic Panel Threshold Regression (2021) (9)
- Islamic business scorecard and the screening of Islamic businesses in a cross‐country setting (2019) (9)
- Culture and the capital–performance nexus in dual banking systems (2020) (8)
- Market Values of Islamic Banks and Ethical Identity (2014) (8)
- Relative performance of religious and ethical investment funds (2020) (8)
- The Role of Waqf in Educational Development – Evidence from Malaysia (2019) (8)
- Basel II and Bank Credit Risk: Evidence from the Emerging Markets (2006) (8)
- Big data tools for Islamic financial analysis (2020) (8)
- Oil subsidies and the risk exposure of oil-user stocks: Evidence from net oil producers (2019) (8)
- The Effect of Implicit Market Barriers on Stock Trading and Liquidity (2018) (8)
- RATIONAL SPECULATIVE BUBBLES IN THE OIC (ORGANISATION OF ISLAMIC CONFERENCE) STOCK MARKETS (2009) (8)
- Courting innovation: The effects of litigation risk on corporate innovation (2021) (8)
- Introduction to Islamic Banking and Finance (2020) (8)
- Are there bubbles in the REITs market? New evidence using regime-switching approach (2011) (8)
- Modeling credit risk in credit unions using survival analysis (2018) (8)
- Experiences and Lessons of Cash Waqf in Bangladesh and Other Countries (2018) (8)
- Mediating Role of Trust in Cash Waqf Donations (2019) (8)
- Islamic labeled firms: Revisiting Dow Jones measure of compliance (2020) (8)
- THE DETERMINANTS OF BANK CAPITAL STRUCTURE IN THE WORLD (2020) (8)
- Forward Lease Sukuk in Islamic Capital Markets: Structure and Governing Rules (2018) (8)
- Asymmetric information and securitization design in Islamic capital markets (2020) (7)
- Ownership Structure and Bank Risk: The Effects of Crisis, Market Discipline and Regulatory Pressure (2018) (7)
- Tawarruq: Controversial or Acceptable? (2019) (7)
- Retirement Savings of the Hip Generation: A Study of Retirement Preparation among Individuals in Their Fifties (2018) (7)
- Asymmetric capital structure speed of adjustment, equity mispricing and Shari’ah compliance of Malaysian firms (2020) (7)
- The Determinants and Policy Implications of Off-Balance Sheet Activities in MENA Countries Commercial Banks (2010) (7)
- Firm-Level Attributes and Performance of Micro-Finance Institutions (2011) (7)
- Islamic Mutual Funds' Performance in Saudi Arabia (2013) (7)
- Islamic Finance in France: Current State, Challenges and Opportunities (2015) (7)
- Stock Exchange Alliances in Organization of Islamic Conferences (Oic) Countries (2007) (7)
- Bibliometric analysis of the Journal of Islamic Accounting and Business Research : Ten years review (2021) (7)
- The Potential of Derivatives Market in Bangladesh (2011) (7)
- The Impact of the COVID-19 Pandemic on Islamic Finance: The Lessons Learned and the Way Forward (2022) (7)
- Pricing of Islamic deposit insurance (2019) (7)
- The COVID-19 Pandemic: Conceptual Model for the Global Economic Impacts and Recovery (2020) (7)
- Are Islamic banks more resilient to the crisis vis-à-vis conventional banks? Evidence from the COVID-19 shock using stock market data (2022) (7)
- Impact of international and local conditions on sovereign bond spreads: International evidence (2017) (7)
- The Relative Performance of Debt-restricted Real Estate Investment Trusts (REITs): Does Faith Matter? (2011) (7)
- Efficiency, diversification, and performance of US banks (2020) (7)
- Profit- sharing ratio as a screening device in venture capital (2017) (7)
- Can Efficiency of Returns Be Considered as a Pricing Factor? (2018) (7)
- Sterilisation and Monetary Control by the GCC Member Countries (2013) (7)
- AAOIFI ACCOUNTING STANDARDS AND A THEORY OF INTEREST-FREE BANKING (2020) (7)
- An introduction to Islamic banking and finance (2017) (7)
- Safety-first and extreme value bilateral U.S.–Mexican portfolio optimization around the peso crisis and NAFTA in 1994 (2007) (6)
- Financial Sectors Reform and Economic Growth in Morocco: An Empirical Analysis (2014) (6)
- How do takaful operators choose which model to adopt? A case study from the Kingdom of Bahrain (2020) (6)
- Prospect and Problems of a Common Market: An Empirical Examination of the OIC Countries (2001) (6)
- Performance of Islamic Mutual Funds in Saudi Arabia (2011) (6)
- Employee lawsuits and capital structure (2018) (6)
- Takaful operators: analysing segregated accounts between operator/participants (2020) (6)
- Calendar anomalies in the stock markets: conventional vs Islamic stock indices (2021) (6)
- ESG Activities and Bank Efficiency: Are Islamic Banks Better? (2022) (6)
- Understanding self-efficacy and performance of salespersons in Islamic banking (2020) (6)
- Oil and Sovereign Credit Risk: Asymmetric Nonlinear Dynamic Interactions (2019) (6)
- The Performance of Islamic Vs. Conventional Banks: Evidence on the Suitability of the Basel Capital Ratios (2018) (6)
- The performance of Islamic vs . conventional banks : A note on the suitability of capital ratios (2016) (6)
- Religiosity, Neglected Risk and Asset Returns: Theory and Evidence from Islamic Finance Industry (2019) (6)
- A Review of Empirical Islamic Finance Literature (2017) (6)
- Monetary Policy Responses to the 2008 Financial Crisis: Quantitative Easing Evidence in the United Kingdom (2017) (6)
- Political lobbying, insider trading, and CEO compensation (2019) (6)
- PRUDENTIAL REGULATORY REGIMES, ACCOUNTING STANDARDS, AND EARNINGS MANAGEMENT IN THE BANKING INDUSTRY (2019) (6)
- A Conventional and Sharīʿah Analysis of Bitcoin (2020) (6)
- How efficient are the commercial, investment and Islamic bank managers in Jordan? (2017) (6)
- Reporting of zakat and charitable activities in Islamic banks: theory and practice in a multi- cultural setting (2017) (6)
- Does an Islamic label cause stock price comovements and commonality in liquidity? (2018) (6)
- What Does the U.S. REIT Market Have in Store for Nonconventional Investors? The Case of Shariah Compliance (2013) (5)
- The Current Status of Islamic Bank Regulation in the World (2017) (5)
- Discretionary loan loss provision behavior in the US banking industry (2018) (5)
- Coskewness in Islamic, Socially Responsible and Conventional Mutual Funds: An Asset Pricing Test (2017) (5)
- Product recalls and security prices: New evidence from the US market (2017) (5)
- Financial crisis spillover from Wall Street to Main Street: further evidence (2018) (5)
- An empirical investigation of U.S. bank risk and the Mexican peso crisis (1998) (5)
- The governance, risk-taking, and performance of Islamic banks (2016) (5)
- An Islamic Finance Model for the Small and Medium-Sized Enterprises in France (2013) (5)
- Does the interest tax shield align with maqasid al Shariah in finance? (2019) (5)
- Introduction to Sukuk (2018) (5)
- Foreign Direct Investment and Investor Sentiment: A Causal Relationship (2016) (5)
- Economic freedom, development and bank intermediation spreads (2012) (5)
- Economic Freedom and Bank Intermediation Spreads: Do Countries Level of Economic Development Make a Difference? (2011) (5)
- Incorporating active adjustment into a financing based model of capital structure (2019) (5)
- Diversification as a Corporate Strategy for a Family-Controlled Business Group in a Frontier Market (2001) (5)
- The Estimation and Policy Implications of the Underground Economy: The Case for Bangladesh (1997) (5)
- Islamic Banks and Financial Stability: Further Evidence (2009) (5)
- The Relation between Return and Volatility in ETFs Traded in Borsa Istanbul: Is There Any Difference between Islamic and Conventional ETFs? (2016) (5)
- Determinants of Mortgage Default Rates: Pre-Crisis and Crisis Period Dynamics and Stability (2016) (5)
- Ten years of the Journal of Islamic Marketing: a bibliometric analysis (2021) (5)
- Types of Sukuk, Their Classification and Structure in Islamic Capital Market (2018) (5)
- An empirical investigation of asset-liability management of small US commercial banks (1997) (5)
- Six Sigma Stock Returns and Operating Performance (2016) (5)
- Determinants of Credit Default Swaps in International Markets (2011) (5)
- Developing a Shari’ah based FinTech money creation free [SFMCF] model for Islamic banking (2021) (5)
- Activity Strategies, Agency Problems and Bank Risk (2018) (5)
- An analysis of COVID-19 and WHO global research roadmap: knowledge mapping and future research agenda (2020) (5)
- The regulation and supervision of sukuk in global capital markets (2014) (4)
- Zakah and re-distributive justice in Islam (2006) (4)
- Multifractality (2020) (4)
- An Islamic Perspective of Financial Engineering (2015) (4)
- Islam, the economy and economic life (2014) (4)
- Firm size and the interlinkages between sales volatility, exports, and financial stability of Pakistani manufacturing firms (2020) (4)
- Developments in Islamic Finance Practice: The Experience of Australia (2015) (4)
- Artificial intelligence and Natural language processing (NLP) based FinTech model of Zakat for poverty alleviation and sustainable development for Muslims in India (2021) (4)
- Efficiency Determinants and Dynamic Efficiency Changes (2007) (4)
- The Money Supply Process in Bangladesh: An Error-Correction Approach (2003) (4)
- Financial Sector Reform and Economic Growth in Morocco: An Empirical Analysis (2007) (4)
- The mediating role of competition on deposit insurance and the risk-taking of banks in ASEAN countries (2022) (4)
- Impact of Ownership Structure and Regulation on the Risk-Taking Behavior of Depository Institutions (2006) (4)
- Russian financial crisis, US financial stock returns and the IMF (2009) (4)
- Financing the Sustainable Development Goals (SDGs): The Socio-Economic Role of Awqaf (Endowments) in Bangladesh (2019) (4)
- Islamic Finance and Socio-Economic Transformation in Asia (2017) (4)
- Trade, financial openness and dual banking economies: Evidence from GCC Region (2021) (4)
- Retirement preparation of men and women in their positive savings periods (2018) (4)
- National and Regional Trends in Community Banking (2015) (4)
- ACTIVITY STRATEGIES, AGENCY PROBLEMS, AND BANK RISK (2020) (4)
- Market efficiency, the Mexican peso crisis, and the US bank stock returns: An application of the event parameter method (2000) (3)
- Persistence of volatility of sovereign credit risk in presence of structural breaks (2014) (3)
- The Impact of a Dual Banking System on Macroeconomic Efficiency (2022) (3)
- Russia–Ukraine conflict: 2030 Agenda for SDGs hangs in the balance (2022) (3)
- The impact of bank opacity on bank risk‐taking behavior (2022) (3)
- Sharia governance standards and the role of AAOIFI: a comprehensive literature review and future research agenda (2022) (3)
- Venture capital financing during crises: A bibliometric review (2022) (3)
- Indo-China Border Disputes and Heterogeneous Sectoral Returns: an Event Study Approach (2022) (3)
- The decision to defer: factors affecting employee deferral incentives (2001) (3)
- What explains the lack of monetary policy influence on bank holding companies (2014) (3)
- Do determinants of fees differ between Islamic and conventional funds? (2020) (3)
- The Development of Islamic Finance in Tunisia after the Arab Spring: Does Political Islam Matter? (2021) (3)
- Millennials’ acceptability of tawarruq-based ar-rahnu in Malaysia (2022) (3)
- Qard Hasan (Interest-Free Loan) as a Tool for Sustainable Development—Global Evidence (2021) (3)
- Case Studies of Shari`ah Governance Practices in Bangladesh (2017) (3)
- Islamic Finance: A Literature Review (2021) (3)
- Determinants of Thrift Institution Off-Balance Sheet Activities: An Empirical Investigation (2006) (3)
- Cross-border impact of the Financial Services Modernization Act: evidence from large foreign banks (2011) (3)
- Covid-19 pandemic and stock returns in India (2022) (3)
- The influence of religion on the determinants of capital structure: the case of Saudi Arabia (2020) (3)
- Monetary Shocks, Policy Tools and Financial Firm Stock Returns: Evidence from the 2008 U.S. Quantitative Easing (2016) (3)
- A Re-Examination of the U.S. Underground Economy: Size, Estimation, and Policy Implications (2010) (3)
- DYNAMIC VOLATILITY AND SHOCK INTERACTIONS BETWEEN OIL AND THE U.S. ECONOMIC SECTORS (2019) (3)
- Geopolitical Uncertainties and Malaysian Stock Market Returns: Do Market Conditions Matter? (2021) (3)
- Can information asymmetry explain both the post-merger value and the announcement discount in M&As? (2022) (3)
- Productive Efficiency and Welfare Gains from Privatization in Malaysia (2015) (3)
- Returns Predictability in Emerging Housing Markets (2016) (3)
- Economic policy uncertainty, agency problem, and funding structure: Evidence from U.S. banking industry (2021) (3)
- COVID-19 pandemic and risk dynamics of financial markets in G7 countries (2022) (3)
- The Cartagena Declaration, the Baker Plan, and U.S. bank security returns: An empirical investigation (1993) (3)
- An empirical investigation of the existence of market discipline of off-balance sheet banking risk (1994) (3)
- Session Effect in Istanbul Stock Exchange (2006) (2)
- Feature Transformation for Corporate Tax Default Prediction: Application of Machine Learning Approaches (2021) (2)
- The Determinants of Derivatives Activities in U.S. Commercial Banks (2009) (2)
- Effect of Monetary Policy on Commercial Banks Across Different Business Conditions (2015) (2)
- A HYBRID REVIEW OF ISLAMIC PRICING LITERATURE (2021) (2)
- Banks’ financial soundness during the COVID-19 pandemic (2022) (2)
- CONCEPTUALISING ISLAMIC CREDIT CARDS BASED ON MUSHĀRAKA MUTANĀQISA (2020) (2)
- Does a search attention index explain portfolio returns in India? (2021) (2)
- Market discipline and capital buffers in Islamic and conventional banks in the MENA region (2022) (2)
- Financial Structure, Creditworthiness and Stock Market Development: A Cross-Country Analysis (2001) (2)
- Depositor Discipline and Bank Risk-Taking Behavior: Evidence from the South-East Asian Financial Crises (2006) (2)
- CONTINGENCY THEORY APPROACH TO RISK MANAGEMENT PRACTICES IN ISLAMIC BANKS: A CASE STUDY ON KAZAKHSTAN (2016) (2)
- Dividend Signaling Hypothesis and Short-Term Asset Concentration in Interest-Free Banking (2003) (2)
- An Application of Can Slim Investing in the Dow Jones Benchmark (2018) (2)
- An Overview of Islamic Capital Market (ICM) and Sukuk Industry (2018) (2)
- Competition, Risk Taking and Efficiency in the US Commercial Banks Prior to 2008 Financial Crisis (2012) (2)
- Towards the Implementation of Monetary Management in Islamic Economic System Based on Recent Developments (2021) (2)
- Is the Long Term Profit Rate of Malaysian Sukuk a Good Predictor of Short Term Profit Rate (2013) (2)
- Green and socially responsible finance: past, present and future (2022) (2)
- Islamic business research (2019) (2)
- Sukuk in Islamic Capital Market (2018) (2)
- An Empirical Literature Survey of Islamic Banking (2016) (2)
- Discretionary Loan Loss Provision Behaviour and Banks’ Liquidity Creation (2019) (2)
- The theoretical and empirical evaluation of the third world brain drain to the United States: 1972-1987. (1990) (2)
- Islamic Equity Investments (2020) (2)
- Corporate social responsibility of Islamic labeled firms (2019) (2)
- Implications of Public Corruption for Local Firms: Evidence from Corporate Debt Maturity (2021) (2)
- Rational Speculative Bubbles: An Empirical Investigation of the Middle East and North African (MENA) Stock Markets (2008) (2)
- Firm fundamentals and stock prices in emerging Asian stock markets: some panel data evidence (2012) (2)
- Islamic Finance in the United States (2015) (2)
- THE IMMIGRATION OF THIRD WORLD SCIENTISTS AND ENGINEERS TO THE UNITED STATES: Theoretical, Empirical and Policy Evaluations (1988) (2)
- Corporate Lobbying and Financial Institution Firm Performance: Evidence from Shareholder Litigations (2017) (2)
- The religious fringe of Corporate Social Responsibility (2022) (2)
- Optimal Carried Interest: Adverse Selection in Islamic and Conventional Venture Capital and Private-Equity Funds (2017) (2)
- Gulf Monetary Union and Regional Integration (2008) (2)
- Impact of COVID-19 on Islamic social finance (2021) (2)
- Participation (Islamic) Banking in Turkey: A Bibliometric Analysis and Future Research Agenda (2022) (2)
- The nexus between environmental and financial performance: Evidence from gulf cooperative council banks (2022) (1)
- Ijarah Sukuk and Forward Lease Sukuk—Case Study (2018) (1)
- A Guide to Islamic Asset Management (2021) (1)
- Integrating Islamic finance and halal industry: current landscape and future forward (2021) (1)
- On the Relation between Credit market disruption and Corporate Social Responsibility (2021) (1)
- Introduction: empirical research on Islam and economic life (2017) (1)
- Weathering the COVID-19 storm: The case of community banks (2020) (1)
- Banking Sector Reforms (2022) (1)
- Corruption and bank efficiency: Expanding the ‘sand or grease the wheel hypothesis’ for the Gulf Cooperation Council (2021) (1)
- Monetary Policy and the Investment Companies (2018) (1)
- An Analysis of Financial Preparation for Retirement (2007) (1)
- Economic analysis of Islamic monetary framework and instruments (2020) (1)
- New evidence on the rationality of exchange rate expectation (2003) (1)
- Does Corporate Diversification Retrench the Effects of Firm-Level Political Risk? (2020) (1)
- Product Demand Sensitivity and the Corporate Diversification Discount (2020) (1)
- Regulating the governing law clauses in Sukuk transactions (2014) (1)
- Country governance and the performance of Islamic and conventional banks: international evidence (2017) (1)
- Common Risk Factors in Returns on Sukuk Investment (2019) (1)
- Moral hazard in Islamic profit–loss sharing contracts and private equity (2014) (1)
- Investment in Gold: A Bibliometric Review and Agenda for Future Research (2022) (1)
- INTERCROPPING: A SUSTAINABLE LAND USE SYSTEM IN THE RAINFED AGRICULTURE OF SOUTH WEST BANGLADESH (1991) (1)
- Institutional ownership and firm performance: the case of Morocco (2021) (1)
- Partial adjustment towards performance‐based mutual fund returns: Evidence from U.S.‐based equity funds (2020) (1)
- Working Paper 2010-WP-04 November 2010 A Re-examination of the U . S . Underground Economy : Size , Estimation , and Policy Implications (2010) (1)
- Islamic Corporate Finance (2019) (1)
- Policy uncertainty, the use of derivatives: Evidence from U.S. bank holdingcompanies (BHCs) (2021) (1)
- Application of a distributed verification in Islamic microfinance institutions: a sustainable model (2022) (1)
- Readiness Of The Gulf Monetary Union: Revisited (2008) (1)
- Forward Ijarah Sukuk : Concept, Issuance, Structuring and General Governing Rules (2018) (1)
- Equity costs and risks in emerging markets: Are ESG and Sharia principles complementary? (2022) (1)
- Islamic FinTech (2021) (1)
- Islamic Social Finance (2020) (1)
- THE PROSPECT OF AN ISLAMIC COMMON MARKET (2016) (1)
- Mechanisms to Handle Default Cases in Islamic Banking: The Malaysian Approach (2021) (1)
- Need to Redefine Islamic Finance in the Light of Maqasid Al-Shariah (2021) (1)
- 17. The Current Financial Market Crisis: Lessons Learned, Risks and Strengths of Islamic Capital Markets Compared to the Conventional System (2015) (1)
- The stock market reactions to terminations of overfunded pension plans (1998) (1)
- The market's evaluation of off-balance sheet banking risk: a methodological reexamination (1991) (1)
- South-South and South-North cooperation in sciences : proceedings of the conference organised by the Third World Academy of Sciences, Trieste, Italy, 5-10 July 1985 (1986) (1)
- Did Corporate Social Responsibility Vaccinate Corporations Against COVID-19? (2023) (1)
- On the dependency structure of Islamic assets (2017) (1)
- Financial industry lobbying and shareholder litigation outcomes: implications for managers and regulators (2020) (1)
- Impact of the Basel I Accord on Credit Expansion in Developing Countries (2011) (1)
- An Empirical Examination of Rational Expectations Hypothesis in the Foreign Exchange Market (2018) (1)
- COVID-19 and Islamic Finance (2022) (1)
- Knowledge discovery of zakat administration worldwide from YouTube and Zoom via text mining (2022) (1)
- Ex-post facto analysis of cryptocurrency literature over a decade using bibliometric technique (2023) (1)
- The Performance of Islamic Vs. Conventional Banks: Evidence on the Suitability of the Basel Capital Ratios (2018) (1)
- How do investors price accrual risk during crises? (2022) (1)
- Do firms harvest from political connections during general elections? Case of Pakistan (2020) (1)
- Bank Competition–Stability Relations in Pakistan: A Comparison between Islamic and Conventional Banks (2021) (1)
- Islamic accounting research between 1982 and 2020: a hybrid review (2022) (1)
- Do Islamic banks gain from corruption and money laundering (ML)? (2021) (1)
- Managerial Efficiency and Corporate Leverage Policy in Pakistan (2020) (1)
- An Empirical Investigation of the Existence of 'market Discipline' of Off-Balance Sheet Banking Risk (1991) (1)
- ISLAMIC FINANCE, SUSTAINABLE DEVELOPMENT WITH FINANICIAL INCLUSION (2014) (1)
- Product Structures in Islamic Banking (2020) (0)
- Black Market Exchange Rate Expectations and the Demand for Money. The Case of SAARC Countries (1995) (0)
- Literature review, research gap, industry and theoretical summaries (2021) (0)
- Editorial (2019) (0)
- Islamic Banking in the Digital Era (2020) (0)
- Technology Gap and Managerial Efficiency: A Comparison between Islamic and Conventional Banks in MENA (2019) (0)
- January Reversal in the US Weekend Effect (2003) (0)
- Research design and finding data (2021) (0)
- A legal perspective on extraterritorial policin (2018) (0)
- The Impact of Foreign State-Owned Enterprise Mergers on Politically Connected U.S. Competitors (2023) (0)
- Corporate Culture and Inventory Behavior (2022) (0)
- Firm size and the interlinkages between sales volatility, exports, and financial stability of Pakistani manufacturing firms (2020) (0)
- A New Model for Screening Shariah Compliant Firms (2022) (0)
- Bank's service failures and bank customers' switching behavior: does bank reputation matter? (2023) (0)
- Repercussions of the Silicon Valley Bank Collapse on Global Stock Markets (2023) (0)
- Making 'space' for women in Canadian peacekeeping : the battle of closing the gap (2017) (0)
- CEO duality and firm performance during the 2020 coronavirus outbreak (2022) (0)
- The Impact of Sub-Sector of Economic Activity and Financial Development on Environmental Degradation: New Evidence Using Dynamic Heterogeneous Panel (2022) (0)
- Does the Factors Model Perform Well in Emerging Market? - the Empirical Evidence of China Stock Market. (2019) (0)
- Erratum to: Guarantees and Profit-Sharing Contracts in Project Financing (2014) (0)
- Exploring the development of Islamic fintech ecosystem in Indonesia: a text analytics (2023) (0)
- A bibliometric analysis on poverty alleviation (2022) (0)
- Does corporate governance compliance condition information asymmetries? Moderating role of voluntary disclosures (2021) (0)
- The relationship between board characteristics and performance of bank holding companies: before and during the financial crisis (2015) (0)
- Technical efficiency of Islamic equity capital market: Empirical evidence from Malaysian Islamic REITs (2016) (0)
- The Effects of Political Risk on Corporate Compliance Violation (2022) (0)
- The Effects of Firm Political Contributions on Earmarks and Subsequent Firm Performance (2022) (0)
- Nexus between green finance, environmental degradation, and sustainable development: Evidence from developing countries (2023) (0)
- COVID-19 pandemic and the dynamics of major investable assets: What gives shelter to investors? (2023) (0)
- SHARIA LAW AND ECONOMIC GROWTH (2017) (0)
- Application of a distributed verification in Islamic microfinance institutions: a sustainable model (2022) (0)
- Annex: survey questions for major asset management banks (2021) (0)
- R&D Intensity Channel: How Corporate Pension Affects Stock Returns (2020) (0)
- An econometric estimation of the aggregate import demand function for Bangladesh: some further results (2004) (0)
- Erratum to: Guarantees and Profit-Sharing Contracts in Project Financing (2014) (0)
- Guarantees and Profit-Sharing Contracts in Project Financing (2014) (0)
- Factors affecting Islamic banking behavioral intention: the moderating effects of customer marketing practices and financial considerations (2019) (0)
- Firm specific variation in returns and fundamentals in Korea stock market (2015) (0)
- Prospects for Islamic derivatives in Bangladesh 1 (2019) (0)
- Erratum to “Financial disruption and bank productivity: The 1994 experience of Turkish banks”: [The Quarterly Review of Economics and Finance 43 (2003) 291–320] (2007) (0)
- Ethnicity and homophily effects in US M&As (2023) (0)
- Banking with Millennials (2015) (0)
- Millennial Generation’s Islamic Banking Behavioral Intention: The Moderating Role of Profit-Loss Sharing, Perceived Financial Risk, Knowledge of Riba, and Marketing Relationship (2022) (0)
- Discussion of findings (2021) (0)
- BANK EFFICIENCY AND FINTECH-BASED INCLUSIVE FINANCE: EVIDENCE FROM DUAL BANKING SYSTEM (2023) (0)
- Lobbying in Finance Industry: Evidence from US Banking System (2016) (0)
- Answers to Self-Assessment End of Chapter Quizzes (2020) (0)
- Monetary transmissions mechanism for Islamic capital markets: evidence from Markov switching dynamic regression approach (2022) (0)
- Credit Supply and Corporate Social Responsibility (2019) (0)
- Understanding “Riba” (interest): the religious and the rational (2021) (0)
- Machine learning in fnance and accounting (2021) (0)
- Introduction (2021) (0)
- U.S. COMMUNITY BANKING PERFORMANCE (2015) (0)
- WP-01 March 2014 Partial Adjustment Toward Equilibrium Mutual Fund Allocations : Evidence from U . S .-based Equity Mutual Funds (2014) (0)
- Financial crisis spillover from Wall Street to Main Street: further evidence (2018) (0)
- Major Principles, Terms and Conditions Governing Ijarah Sukuk Issuance as Practiced in the Islamic Capital Market (2018) (0)
- 1 Islamic banking: an introduction and overview (2007) (0)
- Special issue on the impact of COVID‐19 pandemic on Islamic financial markets and institutions (2022) (0)
- Transaction Cost and the Small Stock Puzzle: The Impact of Outliers in the NYSE, 1970-2000 (2004) (0)
- Introduction (2019) (0)
- An information explanation of the survival of technical analysis in capital market (1991) (0)
- Islamic View on Capital Allocation (2020) (0)
- Does the regional proximity lead to exchange rate spillover? (2022) (0)
- The Essentials of Machine Learning in Finance and Accounting (2021) (0)
- How Corporate Pensions Affect Stock Returns: the Role of R&D Expenditures (2023) (0)
- Islamic venture capital financing (2019) (0)
- Stochastic Fractal (2020) (0)
- Off-balance sheet activity, market-determined and accounting-determined stock prices of commercial banks (1991) (0)
- Efficiency, Value Addition and Performance of US Bank Mergers (2017) (0)
- US community bank failure: An empirical investigation (2018) (0)
- Dividend policy (2019) (0)
- Pandemic Crisis, Digitalization and Social Responsibility: An Emerging Role of Islamic Economics and Finance (2021) (0)
- Working Paper 2018-WP-04 – July 2018 Activity Strategies , Information Asymmetry , and Bank Opacity (2018) (0)
- Islamic banking in Bangladesh: a literature review and future research agenda (2023) (0)
- Domestic liquidity of cross-listed stocks: Evidence from the ADR market (2022) (0)
- The Russian Financial Crisis, U.S. Financial Stock Returns, and the International Monetary Fund (2011) (0)
- Islamic Money Market (2020) (0)
- The impact of Adarsha Gram (Ideal Village) Project on community development and poverty alleviation in Bangladesh. (2000) (0)
- Management of Islamic Finance (2018) (0)
- Interdependency and Asymmetric Relationship of Credit Default Swap: Latin America Evidence (2015) (0)
- AIG’s Announcements, Fed’s Innovation, Contagion and Systemic Risk in the Financial Industry (2011) (0)
- Momentum and Nonlinear Price Discovery in Sovereign Credit Risk and Equity Markets of the Organization of Islamic Cooperation (OIC) Countries (2012) (0)
- Ethical Banking: Bangladesh Perspectives (2018) (0)
- Guest editorial: Islamic finance in South Asia (2023) (0)
- Global Impact of the Gramm-Leach-Bliley Act: Evidence from Insurance Industries of Developed Countries (2009) (0)
- Forward Lease/ Ijarah Sukuk : Issues, Challenges and Shariah Compliance (2018) (0)
- Do green and dirty investments hedge each other? (2023) (0)
- Empirical analysis, research design and methodology (2021) (0)
- Scaling, Scale-invariance and Self-similarity (2020) (0)
- Conclusion, Recommendation and Policy Implication (2018) (0)
- An applied credit scoring model (2019) (0)
- Searching hedging instruments against diverse global risks and uncertainties (2023) (0)
- Guest editorial: Special issue on Covid-19 pandemic crisis and Islamic finance (2022) (0)
- Financial inclusion and risk exposure among different income groups (2021) (0)
- Shari’a Governance in Bahrain: Analysing the Islamic Banking Industry’s Implementation of the Newly Issued Regulatory Shari’a Governance Module (2022) (0)
- Ramadan’s impact on the optimism of analysts’ recommendations (2019) (0)
- Determinants of Bank Capital in Dual Banking Systems (2017) (0)
- РАЗДЕЛ 2 КОРПОРАТИВНОЕ УПРАВЛЕНИЕ В БАНКАХ SECTION 2 CORPORATE GOVERNANCE IN BANKING CORPORATE CONTROL AND GOVERNANCE IN BANKING (2017) (0)
- Theory of Ijarah, Securitization and the Concept Financial Certificate (2018) (0)
- Time-Varying and Spatial Herding Behavior in the US Housing Market: Evidence from Direct Housing Prices (2016) (0)
- Results, relevance and limitations (2021) (0)
- Three decades of research on the demand and supply side perspectives of digital technologies in banking: a review and research agenda (2021) (0)
- A Simple Way to Estimate to Bid-Ask Spreads from Daily Prices: A Case Study of Bangladesh (2011) (0)
- Default risk as a factor preventing companies from entering the sukuk market (2022) (0)
- Market discipline and capital buffers in Islamic and conventional banks in the MENA region (2022) (0)
- Russian financial crisis, US financial stock returns and the IMF (2009) (0)
- Agency Costs and the Islamic Sharia in Mergers and Acquisition (M&A): The Case of Earnout Agreement (2016) (0)
- Can Efficiency of Returns Be Considered as a Pricing Factor? (2017) (0)
- Supplementary Material to the Editorial note in ALQ 35/3 (2021) (ALQ 2011) (2021) (0)
- Risk Assessment of Equity-based Conventional and Islamic Stock Portfolios (2022) (0)
- Introduction (2019) (0)
- Introduction: Islamic Finance and Contemporary Challenges (2020) (0)
- Introduction to Islamic Finance (2020) (0)
- Consumer Choice in Residential Mortgage Market: An Islamic Mortgage Contract (2021) (0)
- Islamic Banking: Past, Present and Future (2022) (0)
- Risk dimensions, risk clusters, and foreign direct investments in developing countries (2022) (0)
- Introduction (2001) (0)
- The June 1989 Regulatory Mandated Argentinean Loan Write‐offs and US Bank Security Returns: An Empirical Investigation (1996) (0)
- Does Religious Diversity Play Roles in Corporate Environmental Decisions? (2022) (0)
- Fractals (2020) (0)
- The Stock Market Reactions to Terminations of Over Funded Pension Plans (1998) (0)
- Application in Image Processing (2020) (0)
- Openness, culture, legal environment and Islamic finance (2017) (0)
- Employee lawsuits and capital structure (2018) (0)
- Introduction to A Guide to Islamic Asset Management (2021) (0)
- Rational Speculative Bubbles in the Frontier Emerging Stock Markets (2015) (0)
- SPECIAL ISSUE ON ISLAMIC ECONOMICS AND FINANCE (2021) (0)
- Access to finance, social capital and the improvement of corporate performance: evidence from Southeast Asia (2022) (0)
- Chapter 11 Political Islam, Democracy, and Islamic Finance Development (2018) (0)
- Research methodology and fieldwork experiences (2013) (0)
- Volatility forecasting, value- at- risk and expected shortfall estimations under the Basel II Accord in GCC shariah stocks (2017) (0)
- The Pronounced Impact of Macroeconomic Stress on the Financial Sector: Implications for Real Sector Growth (2013) (0)
- Financial Distress and Bank Performance: Turkish Experience (2002) (0)
- Mainstreaming Islamic Finance: The Way Forward (2020) (0)
- Partial Adjustment Toward Equilibrium Mutual Fund Allocations: Evidence from U.S.-Based Equity Mutual Funds (2014) (0)
- Limitations, and future research (2021) (0)
- Fractal and Multifractal in Stochastic Time Series (2020) (0)
- How Do Sectoral Islamic Equity Markets React to Geopolitical Risk, Economic Policy Uncertainty, and Oil Price Shocks? Using Quantile on Quantile Regression Analysis (2022) (0)
- Implications for theory and practice (2021) (0)
- Economics of Islamic Banking Product Structures (2020) (0)
- Portfolio and hedging effectiveness of financial assets of the G7 countries (2018) (0)
- Introduction (2007) (0)
- Dividend policy: the case of Shariah-compliant firms (2019) (0)
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