Browsing Finance & Banking by Title
Now showing items 13-32 of 78
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Data for the spatiotemporal analysis of US global banks’ exposure to foreign counterparty risks
(Elsevier, 2019)This article Presents an extract of the fully consolidated data collected through the US Federal Financial Institutions Examination Council (FFIEC) reports, FFIEC 009 and FFIEC 009a [1]. The data is provided here as a Panel ... -
The determinants of liquidity of Indian listed commercial banks: A panel data approach
(Cogent OA., 2019)The objective of this study is to examine the liquidity (LQD) determinants of Indian listed commercial banks. The study has applied both GMM and pooled, fixed and random effect models to a panel of 37 commercial banks ... -
Digital currency and blockchain security in accelerating financial stability: A mediating role of credit supply
(Borsa Istanbul Anonim Sirketi, 2023)This study examines how blockchain and digital currency have affected the supply of credit and financial stability. It pays particular attention to industry-based analyses and options presented by cryptocurrencies, ... -
The digital payment-financial inclusion nexus and payment system innovation within the global open economy during the COVID-19 pandemic
(Elsevier B.V., 2023-12)This paper retrospectively examines how the digital payment-financial inclusion nexus fostered demand-driven payment system innovation and diffusion within the global open economy during the COVID-19 crisis. To that end, ... -
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 ... -
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, ... -
Do Islamic banks contribute to growth of the economy? Evidence from United Arab Emirates (UAE)
(LLC CPC Business Perspectives, 2017)Islamic finance has grown rapidly in the recent years particularly in the Middle East and the world. It receives a great attention of bankers and financial scholars due to its stability during financial shocks and crises. ... -
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 ... -
Does corporate governance moderate the relationship between liquidity ratios and financial performance? Evidence from Indian pharmaceutical companies
(Richtmann Publishing, 2019)The current study is going to examine the impact of liquidity ratios on the financial performance of Indian pharmaceutical companies. Furthermore, it attempts to find out whether corporate governance moderates the relationship ... -
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 ... -
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 ... -
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 ... -
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 ... -
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 ... -
The effects of banking regulations on banking performance in selected emerging countries
(Online Academic Press, 2023-08)In terms of both developed and developing countries, banking regulations have a very important place for regulatory authorities and investors. The study aims to examine the effects of regulations on banking performance and ... -
An empirical analysis of financial leverage and financial performance: Empirical evidence from Indian listed firms
(LLC CPC Business Perspectives, 2021)The purpose of this paper is to examine the determinants of financial performance, firm liquidity and financial leverage of Indian listed firms. This study uses both static models (pooled, fixed, and random effects) and ... -
Empirical Analysis of the Global Supply and Demand of Entrepreneurial Finance: A Random Utility Theory Perspective
(MDPI, 2022)Considering the globalized nature of international financial markets and the important role of innovative entrepreneurial endeavors for employment and economic development, this paper analyzes the global supply and demand ... -
An empirical investigation on the relation between disclosure and financial performance of islamic banks in the United Arab Emirates
(Korea Distribution Science Association (KODISA), 2019)The paper examines The level of disclosure on Islamic banks* performance in the United Arab Emirates (UAE). The data was collected through content analysis of annual reports and financial statements of all fully-fledged ... -
An examination of consumers’ adoption of internet of things (IoT) in Indian banks
(Cogent OA, 2020)The purpose of this study is to find out the impact of awareness, privacy & safety, cost, convenience, social influence, and habits on the adoption of IoT in Indian banks. The sample size of 467 Indian customers has been ... -
Examining anomalies in Islamic equity market of the emerging economies
(Institute of Society Transformation, 2018)The purpose of this study is to evaluate the performance of Islamic stock indices in the presence of Islamic calendar anomaly in the context of emerging economies. The current study has considered daily data from 1 January ...