Navigating financial stability through the dual challenges of climate change and pandemics

P D'Orazio - Current Opinion in Environmental Sustainability, 2023 - Elsevier
Highlights•Before COVID-19, financial institutions started acknowledging climate
risks.•Central banks acted boldly to ensure financial stability in the wake of the …

Has the COVID-19 pandemic affected the corporate financial performance? A case study of Slovak enterprises

K Valaskova, D Gajdosikova, G Lazaroiu - Equilibrium. Quarterly Journal …, 2023 - ceeol.com
esearch background: The corporate debt situation can be considered a crucial factor influ-
encing the future development of the financial performance of the firm. It is essential for …

Financial fusion: bridging Islamic and green investments in the European stock market

A Husain, S Karim, A Sensoy - International Review of Financial Analysis, 2024 - Elsevier
Given the historic decoupling nature of Islamic and green financial instruments with
conventional financial markets this study investigated the interconnectedness of the …

[HTML][HTML] Inter-and intra-connectedness between energy, gold, Bitcoin, and Gulf cooperation council stock markets: New evidence from various financial crises

I Younis, MA Naeem, WU Shah, X Tang - Research in International …, 2025 - Elsevier
This study analyzes the inter-dependence of the oil, gold, Bitcoin (BTC), and Gulf
Cooperation Council stock markets during the recent Russia–Ukraine and Israel–Palestine …

Does Islamic investing modify portfolio performance? Time-varying optimization strategies for conventional and Shariah energy-ESG-utilities portfolio

MG Asl, MM Rashidi, HR Tavakkoli, H Rezgui - The Quarterly Review of …, 2024 - Elsevier
This paper aims to assess the performance of Islamic portfolios vis-à-vis their conventional
counterparts across two distinct periods: the pre-COVID-19 era and the COVID-19 era …

Oil structural shocks, bank-level characteristics, and systemic risk: Evidence from dual banking systems

A Maghyereh, H Abdoh, M Al-Shboul - Economic Systems, 2022 - Elsevier
abstract By performing a structural VAR analysis on oil price shocks, we provide an
evidence on how the origins of oil price shocks impact the risk level of banks in oil-exporting …

The Performance of Indonesian Islamic Rural Banks During Covid-19 Outbreak: The Role of Diversification

T Risfandy, DI Pratiwi - Journal of Islamic Monetary Economics and …, 2022 - jimf-bi.org
This research investigates how Islamic rural banks performed during the Covid-19 outbreak
and how diversification is associated with the performance of the banks. Islamic rural banks …

Risk spillover effect of global financial markets in the context of novel coronavirus epidemic

L Hu, Q Zheng, T Chang - Applied Economics, 2024 - Taylor & Francis
Since the outbreak of COVID-19 pandemic, the financial markets of many countries have
been impacted severely. In this context, based on the event study method and orthogonal …

Are Latin American stock markets connected? Exploring spillovers and the impact of risk factors

A Assaf, M Al-Shboul, K Mokni, E Demir - Emerging Markets Review, 2025 - Elsevier
This paper studies the connectedness among equity markets in Latin America (Argentina,
Brazil, Chile, Colombia, Mexico, and Peru) and the effects of fundamental risk factors on the …

Does the performance of financial technology (fintech) firms matter: evidence from North American and European fintech firms

U Kayani, S Dsouza, Z Husain, F Nawaz… - Cogent Economics & …, 2025 - Taylor & Francis
This study aims to empirically investigate the factors that affect profitability so that fintech
businesses can take precautionary actions against notified threats and attempt to boost such …