Browsing Finance & Banking by Title
Now showing items 41-60 of 76
-
Global Financial Crisis in Effecting Asymmetrical Co-integration between Exchange Rate and Stock Indexes of South Asian Region: Application of Panel Data NARDL and ARDL Modelling Approach with Asymmetrical Granger Causility
(Cogent OA, 2020)This research examines the impact of positive and negative shocks of exchange rate on South Asian Stock indexes by employing a Non-linear Panel autoregressive distributive lag model along with a Panel Asymmetric granger ... -
Gold-oil-exchange rate volatility, Bombay stock exchange and global financial contagion 2008: Application of NARDL model with dynamic multipliers for evidences beyond symmetry
(Cogent OA, 2020)The primary objective of this research article is to investigate the asymmetrical linkages between gold-oil-exchange rates and Bombay stock indexes by utilizing a nonlinear ARDL approach covering the period from April 2003 ... -
The impact of BRICS formation on portfolio diversification: Empirical evidence from pre- and post-formation eras
(Cogent OA, 2020)This paper aims at contributing to the international portfolio investment decisions among the emerging BRICS countries where individual and institutional investors seek diversification benefits and to help in advocating ... -
The impact of demonetization on indian firms’ performance: Does company’s age make a difference?
(LLC CPC Business Perspectives, 2018)The main aim of this paper is to evaluate the impact of demonetization on Indian firm’s quarterly financial performance before and after demonetization period (March-December, 2017), and to find out if companies’ age helps ... -
The impact of financial inclusion on digital payment solution uptake within the Gulf Cooperation Council Economies
(KeAi Publishing Communications Ltd., 2022)Recognizing the role of society in the sustainability of payment system innovation through the quadruple helix framework, this study analyzes the causal influence of demand-side financial inclusion indicators on society's ... -
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 ... -
The impact of firm characteristics on dividends in Jordan: Institutional ownership as moderating variable
(Growing Science, 2024)The objective of this research was to look at how firm attributes like age, size, as well as profitability affected the number of dividends paid. It also looked at how institutional ownership affected the connection between ... -
The impact of political instability, macroeconomic and bank-specific factors on the profitability of Islamic banks: An empirical evidence
(LLC CPC Business Perspectives, 2017)This study investigates the impact of political instability, macroeconomic and bank-specific factors on the profitability of Islamic banks in the context of Yemen. The study used two common measures of profitability, namely, ... -
Impact of profitability on investment opportunities and its effect on profit sustainability
(Growing Science, 2024)This study aimed to clarify the relationship between profitability, investment opportunities, and sustainable profits for industrial companies listed on the Amman Stock Exchange. The population consisted of all 53 industrial ... -
“The Impact of Ramadan month on market stock returns anomalies: An empirical investigation of Palestine Exchange (PEX)”
(Business Perspectives, 2020)The main purpose of the current study is to examine the impact of Ramadan month on stock returns at the Palestine Exchange (PEX). The study sample consists of all Palestinian public shareholding companies ... -
The Impact of Sustainability Accounting on Financial Reporting Quality: Evidence from the Pharmaceutical and Chemical Sectors on the ASE
(Success Culture Press, 2023)This study examines the influence of sustainability accounting, specifically its environmental, economic, and social dimensions, on the quality of financial reports in the pharmaceutical and chemical firms listed on the ... -
The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC Markets
(MDPI, 2022)The conflict between Russia and Ukraine has been causing knock-on effects worldwide. The supply and price of major commodity markets (oil, gas, platinum, gold, and silver) have been greatly impacted. Due to the ongoing ... -
The interplay of skills, digital financial literacy, capability, and autonomy in financial decision making and well-being
(Borsa Istanbul Anonim Sirketi, 2022)Covid-19 and the unprecedented surge in financial technology contributed to unexpected financial challenges, affecting the relevance of financial decision making and perceived financial well-being. This paper examines the ... -
Investor sentiment and stock price crash risk: The mediating role of analyst herding
(Elsevier B.V., 2024-03)This study analyzes the impact of investor sentiment on firm's stock price crash risk by using Chinese A-Share firms data this study assesses the potency and existence of a relationship between crash risk and investor ... -
The liquidity of indian firms: Empirical evidence of 2154 firms
(Korea Distribution Science Association (KODISA), 2020)This paper aims to empirically study the determinants of liquidity of Indian listed firms. To account for profit persistence, we apply a (pooled, fixed and random) effect models to a panel of Indian listed firms that covers ... -
Management of cash flows between a debtor and a creditor in the enterprise bankruptcy process
(Czestochowa University of Technology, 2020)The purpose of this study is to determine the direction and alternatives for effective flow management between the debtor and the creditor in the enterprise bankruptcy process. The study is based on data received from ... -
Market miracles: Resilience of Karachi stock exchange index against terrorism in Pakistan
(Cogent OA, 2020)Terrorism plays a pivotal role in influencing the stock indexes of many countries. This research article claims to be first in accessing the asymmetrical effect of multiple categories of terroristic activities on stock ... -
Modeling asymmetric volatility of financial assets using univariate GARCH models: An Indian perspective
(LLC CPC Business Perspectives, 2022)In recent years, numerous models with various amounts of variance have been developed to estimate and forecast important characteristics of time series data. While there are many studies on asymmetric volatility and accuracy ... -
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), ... -
Opportunities and Challenges of Artificial Intelligence in Banking: Systematic Literature Review
(UIKTEN - Association for Information Communication Technology Education and Science, 2021)The primary aim of this systematic literature review (SLR) was to identify, assess and synthesize the extant evidence about the opportunities and challenges concerning the use of Artificial Intelligence (AI) in the banking ...