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 …

[HTML][HTML] Employee turnover and the credit risk of microfinance institutions (MFIs): International evidence

MI Hossain, MA Mia, CW Hooy - Borsa Istanbul Review, 2023 - Elsevier
In today's competitive world, credit risk poses a significant challenge to lending institutions
such as microfinance institutions (MFIs) due to its impact on their long-term institutional and …

Bank-specific factors, market conditions and the riskiness of Islamic and conventional banks: evidence from recent quantile approaches

R Aydemir, HZ Atan, B Guloglu - International Journal of Islamic and …, 2024 - emerald.com
Purpose The purpose of this paper is to investigate how bank-specific factors affect the
riskiness of conventional and Islamic banks in response to shocks in major financial indices …

Banking risks in the asset and liability management system

L Lysiak, I Masiuk, A Chynchyk, O Yudina… - Journal of Risk and …, 2022 - mdpi.com
Banking risk management is considered weak compared to rapid changes in financial
markets. In light of the recent global financial crisis, banking risk management has become a …

Income diversification on stability in banking industry a systematic literature review

H OCTAVIANUS… - International …, 2022 - journalkeberlanjutan …
This study aims to provide a deeper understanding of income diversification carried out by
banks and provide guidelines for future researchers in conducting research related to the …

Competition, stability, and institutional environment: The case of dual banking economies

W Azmi, Z Anwer, M Ali… - International Journal of …, 2024 - Wiley Online Library
We measure the impact of competition and institutional quality on stability for dual banking
economies. Our sample comprises 492 banks (109 Islamic and 383 conventional banks) …

Bank risk-taking and legal origin: what do We know about dual banking economies?

M Ali, N Alam, MA Khattak, W Azmi - Journal of Risk and Financial …, 2022 - mdpi.com
This paper investigates the relationship between legal origin and banks' risk-taking
behavior. We employ GMM to study a sample of both Islamic and conventional banks from …

Does risk disclosure reporting quality reduce credit risk of GCC conventional and Islamic banks?

H Nobanee, NOD Ellili - Journal of Sustainable Finance & …, 2022 - Taylor & Francis
This study measures the degree of corporate risk disclosure and examines its impact on the
credit risk of banks listed on the GCC financial markets during the period 2007–2021. The …

Bank diversification, stability and oil price in MENA region

S Aliyu, AR Mohammad, N Abd. Wahab - Journal of Islamic …, 2023 - emerald.com
Purpose This study aims to empirically investigate the impact of oil prices, political instability
and changes in stability on the bank diversification of the two types of banking systems in the …

[PDF][PDF] Income diversification strategy on bank stability: International banks evidence

H Octavianus, KA Fachrudin - Jurnal Keuangan Dan Perbankan, 2022 - researchgate.net
This study aims to analyze the implementation of the income diversification strategy on bank
stability carried out by international banks. This study uses panel data from 32 international …