Quantitative analysis and comparative review of dividend policy dynamics within the banking sector: Insights from global and US financial data and existing literature

OO Olaniyi, NH Shah - Available at SSRN 4663659, 2023 - papers.ssrn.com
This paper presents a comparative review of academic research on dividend policies and
payments within the banking sector. Dividends represent a critical area of focus due to their …

Disclosure quality vis-à-vis disclosure quantity: does audit committee matter in Omani financial institutions?

H Al Lawati, K Hussainey, R Sagitova - Review of Quantitative Finance …, 2021 - Springer
We examine the impact of audit committee (AC) characteristics (eg AC foreign members, AC
female members, AC members with multiple directorships, AC members with share …

[HTML][HTML] Social capital, trust, and bank tail risk: The value of ESG rating and the effects of crisis shocks

VQ Trinh, ND Cao, T Li, M Elnahass - Journal of International Financial …, 2023 - Elsevier
Using a global sample of 244 banks in 52 stock markets, we investigate the effect of
corporate social responsibility (CSR) on bank tail risk in normal and turbulent times. Our …

Drivers of global banking stability in times of crisis: the role of corporate social responsibility

T Li, VQ Trinh, M Elnahass - British Journal of Management, 2023 - Wiley Online Library
This study examines the effect of environmental and social (ES) activities on global banking
stability in the shadow of the COVID‐19 pandemic. Using a sample of 244 commercial …

Corporate governance and Islamic bank accountability based on disclosure—a study on Islamic banks in Indonesia

H Mukhibad, P Yudo Jayanto, T Suryarini… - Cogent Business & …, 2022 - Taylor & Francis
Shariah principles used as the primary basis for bank operations emphasize information
disclosure as manager accountability to stakeholders. This form of accountability can be …

Terrorist attacks and bank financial stability: Evidence from MENA economies

M Elnahass, M Marie, M Elgammal - Review of quantitative finance and …, 2022 - Springer
This study examines the impact of terrorism on bank stability, represented by bank risk and
financial performance. We consider banks from 14 countries located in the Middle East and …

Top-management compensation and survival likelihood: the case of tourism and leisure firms in the US

VQ Trinh, N Seetaram - Annals of Tourism Research, 2022 - Elsevier
This study examines the impact of top-management compensation on the survival likelihood
of publicly listed firms in the tourism and leisure sector, and the mediating effect of profit …

Dividend payout strategies and bank survival likelihood: A cross-country analysis

VQ Trinh, A Kara, M Elnahass - International Review of Financial Analysis, 2022 - Elsevier
In this cross-country study, we examine whether dividend payout decisions affect the
survival likelihood of banks. Using unique international banking data from 11 countries from …

Can trade credit rejuvenate Islamic banking?

W Jatmiko, MS Ebrahim, A Iqbal… - Review of quantitative …, 2023 - Springer
This study proposes a renewal of the contemporary Islamic banking Murabaha financing
model as it aggravates financial fragility with waning economic efficiency. We adapt the …

Do CEO duality and ownership concentration impact dividend policy in emerging markets? The moderating effect of crises period

A El Ammari - International Journal of Financial Studies, 2021 - mdpi.com
Despite developments of recent theoretical and numerous empirical studies on the policies
effectively adopted by companies, the dividend distribution policy (DDP) remains largely …