There is a critical gap in the literature in studying the portfolio diversification opportunities available to sukuk investors and evaluating these in light of held-to-maturity strategies …
AA Shinkafi, NA Ali - Online Journal of Research in Islamic …, 2018 - mojes.um.edu.my
Financing products are the most suggestive and thus important determinants and contribute a lot toward the survival or otherwise of Islamic financing institution. Of note, the …
The global Islamic finance industry is estimated to be worth approximately US $1.4 trillion, and has grown much faster than conventional finance over the past four decades. Although …
Purpose The effects of capital-raising announcements have long been used as an indicator of increased shareholder wealth (Brown and Warner, 1985). Studies on bond …
Penelitian ini bertujuan untuk mengetahui reaksi pasar terhadap pengumuman penerbitan sukuk mudharabah dan obligasi konvensional yang diukur dengan abnormal return dan …
A Salehabadi, ME Fadaienejad, E Joshan - Financial Research Journal, 2018 - jfr.ut.ac.ir
Objective: The company's decisions about its capital structure and financial are the influential factors that can shape or change investors' ideas about a company trades and …
DA Firtanasari, MNH Ryandono - Jurnal Ekonomi Syariah Teori dan … - scholar.archive.org
This study aims to determine the market reaction to the announcement of Sukuk issuance as measured by abnormal returns and trading volume activities. This research used a …
R Bangash, N Sherrin - Abasyn University Journal of Social …, 2016 - ajss.abasyn.edu.pk
This study investigates the portfolio risk management of Sukuk and Euro bonds. The study is conducted in five countries including Malaysia, Bahrain, Pakistan, Bermuda and UAE. For …
N Sherin - “All papers published in the, 2015 - researchgate.net
This study investigates the financial performance evaluation of Sukuk and Euro bonds. The study is conducted in five countries including Malaysia, Bahrain, Pakistan, Bermuda and …