Finance & Banking
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Recent Submissions
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Do implied volatilities of stock and commodity markets affect conventional & shariah indices differently? An evidence by OVX, GVZ and VIX
(Elsevier Ltd, 2023-11)The current study aims to investigate how index returns of conventional and shariah indices of the USA, Europe, and Asia are affected by changes in oil prices, gold prices, VIX, gold-VIX, and oil-VIX. In our investigation, ... -
Unpacking the asymmetric impact of exchange rate volatility on trade flows: A study of selected developed and developing Asian economies
(Public Library of Science, 2023-10)Maintaining a stable exchange rate is a challenging task for the world, especially for developing economies. This study examines the impact of asymmetric exchange rates on trade flows in selected Asian countries and finds ... -
Dynamics of speed of leverage adjustment and financial distress in the Indian steel industry
(Elsevier B.V., 2023-12)Business managers strive to attain the optimal capital structure (OCS), which allows them to raise capital at a minimal cost, thereby maximising their returns. Balancing risk and reward is crucial in determining the target ... -
Towards an encompassing concept of remittance in the digital era: Assessing the role of formal banking and mobile money accounting in its spatial flow
(Elsevier B.V., 2023)Drawing from capital mobility theory, this article adopts an encompassing view on remittance that covers both domestic and international financial transfers, to retrospectively explore and evaluate the relative influences ... -
Financial distress in the banking industry: A bibliometric synthesis and exploration
(Cogent OA, 2023)Recent financial upheavals and economic downturns have triggered and sped up the research on financial distress in general and in the Banking industry in specific. The current review attempts to gauge and map performance ... -
Does the Investor’s Trading Experience Reduce Susceptibility to Heuristic-Driven Biases? The Moderating Role of Personality Traits
(Multidisciplinary Digital Publishing Institute (MDPI), 2023-07)The aim of this study was to evaluate whether trading experience reduces exposure to heuristic-driven biases, namely availability bias, anchoring and adjustments bias, representativeness bias, and confirmation biases of ... -
Does Financial Technology Adoption Influence Bank’s Financial Performance: The Case of Jordan
(Multidisciplinary Digital Publishing Institute (MDPI), 2023)This research will examine the impact of the adoption of financial technology on conventional banks’ financial performances. The research will place emphasis on the listed commercial banks at Amman Stock Exchange—ASE, using ... -
Effect of country governance on trade credit activities: Empirical evidence from Pakistan
(Cogent OA, 2023)An existence of good governance situation ensures the progress of economic sectors. The recent literature has mentioned the role of country governance in multiple business operations. However, the effect of country governance ... -
A Bibliometric Analysis of Fintech Trends: An Empirical Investigation
(MDPI, 2023)Financial technology, or Fintech, has captured the attention of scholars, students, and institutions across worldwide for over a decade. With a plethora of new financial services, products, and innovative methods to engage ... -
Do positive and negative variations in stock indexes lead to depreciation in local currencies? A beyond symmetrical evidence from ASEAN-5 region
(Taylor and Francis Ltd., 2023)Preliminary studies overlooked the importance of the financial crisis in the asymmetric transmission of financial market shocks to FX market returns. Moreover, existing studies also concentrated on the response of aggregate ... -
Revisiting the Oil and Food Prices Dynamics: A Time Varying Approach
(Springer Science and Business Media Deutschland GmbH, 2023)Given the cyclicality of energy and food commodity prices influenced by global macroeconomic uncertainties, there is a need to provide appropriate measures for understanding the predictive relationship between energy and ... -
Socioeconomic and geospatial determinants of households’ food and non-food consumption dynamics within the West African Economic and Monetary Union
(Elsevier B.V., 2023)This article explores the cross-sectional properties of household's food and non-food consumption expenditures conceptualized as inter-dependent spatial random processes within the West African Economic and Monetary Union ... -
Impact of Financial Technology on Improvement of Banks’ Financial Performance
(MDPI, 2023)This study investigates the main financial technologies adopted by banks to improve their financial performance. The study population consists of commercial banks listed on the Amman Stock Exchange and Abu Dhabi Securities ... -
Examining the Relationship between Economic Growth, Financial Development, and Carbon Emissions: A Review of the Literature and Scientometric Analysis
(Econjournals, 2023)This article presents a comprehensive overview of the relationship between economic growth, financial development, and carbon emissions by utilizing bibliometric analysis and scientific mapping. The research utilized the ... -
Do Financial Crises Matter for Nonlinear Exchange Rate and Stock Market Cointegration? A Heterogeneous Nonlinear Panel Data Model with PMG Approach
(2023)The existing literature has explained the causality flow from the exchange rates toward the stock market without explaining the role of the economic crisis in effecting this nexus. This study examines the role of the ... -
Nexus between Macroeconomic Factors and Corporate Investment: Empirical Evidence from GCC Markets
(MDPI, 2023)The current study aims to explore the role of various macroeconomic factors in determining corporate investment. Using firm-level data of six Gulf Cooperation Council (GCC) region countries for a 14 year period (2007–2020), ... -
The bargain purchase option: Should IT be more than an option?
(Virtus Interpress, 2023)This study examines the bargain purchase option, which gives the lessee the option to buy the leased asset at the end of the lease period at a price significantly less than its fair market value. The study analyses the ... -
Dynamic Conditional Correlation and Volatility Spillover between Conventional and Islamic Stock Markets: Evidence from Developed and Emerging Countries
(MDPI, 2023)This study aims to investigate the dynamic conditional correlation and volatility spillover between the conventional and Islamic stock markets in developed and emerging countries in order to develop better portfolio and ... -
COVID-19 Pandemic & Financial Market Volatility; Evidence from GARCH Models
(MDPI, 2023)Across the globe, COVID-19 has disrupted the financial markets, making them more volatile. Thus, this paper examines the market volatility and asymmetric behavior of Bitcoin, EUR, S&P 500 index, Gold, Crude Oil, and Sugar ... -
Corporate Tax Rate, Financing Policy and Investment Decisions: Evidence from 8 Asian Economies
(Instituto de Estudios Fiscales, 2022)This study intends to examine the heterogeneous impact of corporate tax rates on financing policy and investment decisions. It further quantifies how different financing options can alienate the adverse impacts of corporate ...