Role of fintech in credit risk management: an analysis of Islamic banks in Indonesia, Malaysia, UAE and Pakistan

SAA Shah, BA Fianto, AE Sheikh… - Journal of Science and …, 2023 - emerald.com
Role of fintech in credit risk management: an analysis of Islamic banks in Indonesia, Malaysia,
UAE and Pakistan | Emerald Insight Books and journals Case studies Expert Briefings Open …

The role of trust, investor sentiment, and uncertainty on bank stock return performance: Evidence from the MENA region

SF Shah, M Albaity - The Journal of Economic Asymmetries, 2022 - Elsevier
This paper aimed to understand the effect of investor sentiment, trust, and uncertainty on
bank stock returns. Also, the research highlighted the effects of the interaction between …

Linkages between capital, bank financing and economic growth: the case of Islamic and conventional banks from a panel of Muslim countries

M Ghroubi - Journal of Islamic Accounting and Business Research, 2023 - emerald.com
Purpose This study aims to examine the triple relationship between capital regulation,
banking lending and economic growth in a dual markets. Specifically, the author seeks to …

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 …

[HTML][HTML] Heterogeneity of the MENA region's bank stock returns: Does country risk matter?

M Albaity, RS Mallek, A Bakather… - Journal of Open …, 2023 - Elsevier
This study examined the impact of country-risk factors on bank stock returns in the Middle
East and North Africa (MENA) region countries. It also investigated whether Islamic banks …

Country risk and bank returns: Evidence from MENA countries

M Albaity, SF Shah, HAH Al-Tamimi, M Rahman… - The Journal of Economic …, 2023 - Elsevier
In this study, country risk factors are examined in relation to bank stock returns in the MENA
region. Additionally, it analyzes whether the impact of risk factors on returns differs between …

Loan portfolio structure: The impact of foreign and Islamic banks

G Tayem - EuroMed Journal of Business, 2024 - emerald.com
Purpose This study aims to investigate the role of bank ownership (foreign versus domestic)
and the type of service (Islamic versus conventional) on bank lending to large enterprises …

The role of diversification in stabilizing bank credit over the business cycle

M Šeho, MM Haque… - International Review of …, 2024 - Wiley Online Library
We investigate whether diversification stabilizes bank lending cyclicality on a sample of 25
conventional and 18 Islamic banks from Malaysia spanning 2008 to 2021. Our findings …

The Role of Human Capital on the Performance of Islamic Banks in Indonesia, Malaysia, and Thailand

EL Widarni, S Bawono - Brawijaya International Conference on …, 2022 - atlantis-press.com
This study investigates the relationship between human capital and the performance of
Islamic banks in Indonesia, Malaysia, and Thailand. Our investigations collect data that we …

Do trust and country governance affect credit growth in GCC countries?

M Albaity, R Saadaoui Mallek… - International Journal of …, 2023 - emerald.com
Purpose This study aims to investigate whether quality of governance (QoG), trustworthiness
and confidence impacted bank credit growth in Gulf Cooperation Council (GCC). In addition …