Risk management and financial performance of insurance firms in Kenya
This study examined the relationship between risk management and the financial
performance of insurance firms in Kenya over the period 2013–2020. The data was …
performance of insurance firms in Kenya over the period 2013–2020. The data was …
The consequence of the credit risk on the financial performance in light of COVID-19: Evidence from Islamic versus conventional banks across MEA region
Purpose The increased number of nonperforming loans (NPLs) during COVID-19 pandemic
has interrogated the robustness of banks and stability of the whole banking segment. We …
has interrogated the robustness of banks and stability of the whole banking segment. We …
The impact of liquidity risk and credit risk on bank profitability during COVID-19
M Haris, HX Yao, H Fatima - Plos one, 2024 - journals.plos.org
The COVID-19 outbreak caused a massive setback to the stability of financial system due to
emergence of several other risks with COVID, which significantly influenced the continuity of …
emergence of several other risks with COVID, which significantly influenced the continuity of …
Impact of bank specific factors on credit risk: evidence from Islamic and conventional banks of Pakistan
The impact of credit risk (CR) on bank-specific factors (BSF's) and banks in the event of
conventional and Islamic banks of Pakistan is an essential motivation behind this learning …
conventional and Islamic banks of Pakistan is an essential motivation behind this learning …
[HTML][HTML] How does non-interest income affect bank credit risk? Evidence before and during the COVID-19 pandemic
This paper considers the COVID-19 pandemic's role and investigates the impact of non-
interest income on bank credit risk. Specifically, it performs a comparative analysis between …
interest income on bank credit risk. Specifically, it performs a comparative analysis between …
Performance evaluation of the efficiency of logistics companies with data envelopment analysis model
Malaysia has great geo-economic advantages, especially in becoming a major logistics and
investment hub. However, as operational risk events create uncertainties, logistics …
investment hub. However, as operational risk events create uncertainties, logistics …
[HTML][HTML] Liquidity risk mediation in the dynamics of capital structure and financial performance: Evidence from Jordanian banks
Maximising financial performance while maintaining adequate liquidity is a crucial and
ongoing challenge for bank management, particularly in emerging markets. This study …
ongoing challenge for bank management, particularly in emerging markets. This study …
Do macroeconomic conditions affect corporate cash holdings and cash adjustment dynamics? Evidence from GCC countries
Purpose This study aims to investigate the influence of macroeconomic conditions on
corporate cash holdings in terms of their influence on the level of cash and the speed of …
corporate cash holdings in terms of their influence on the level of cash and the speed of …
The impact of capital structure on bank profitability: evidence from Vietnam
The purpose of this research is to determine the effect of capital structure on the profitability
of Vietnamese commercial banks. Specifically, it investigates the relationship between …
of Vietnamese commercial banks. Specifically, it investigates the relationship between …
The role of corporate social responsibility, ownership structure, and gender diversity in firm performance
S Alawi - International Journal of Economics and Financial …, 2024 - econjournals.com.tr
Corporate social responsibility (CSR) is now at the heart of corporate sustainability, and as
such should have a significant impact on firm performance. However, the ownership …
such should have a significant impact on firm performance. However, the ownership …