A Kalia, S Gill - Journal of advances in management research, 2023 - emerald.com
Purpose The world economy has experienced several economic downturns, and each phase emphasised that no industry is immune to inappropriate risk-management practices …
A Ur Rehman, S Farid, MA Naeem - International Journal of Emerging …, 2023 - emerald.com
Purpose Motivated by lack of empirical research on sukuk (Islamic bonds) defaults and factors influencing the credit risk in sukuk industry, the study investigates the impact of …
Using a sample of listed banks in Indonesia during the 2008-2017 period with a limited guarantee system, this paper aims to highlight the interplay of bank governance and market …
NNT Vo, TVH Nguyen, DHT Phan - Research in International Business and …, 2022 - Elsevier
The issue of bank risk-taking behavior has regained attention in Asia-Pacific banking sector as banks in this region are facing rising risk and capital costs. This study investigates the …
NR Namazi, H Esmaeilpour - Financial Research Journal, 2021 - jfr.ut.ac.ir
Objective: The purpose of this study is to investigate the effect of audit indicators on the risk dimensions of banks listed on the Tehran Stock Exchange and OTC with emphasis on the …
H Jiang, Q Jiang - Finance Research Letters, 2024 - Elsevier
This study uses a econometric model to assess how online interactions between investors and listed companies influence auditor selection. It observes auditor choice as a metric to …
SI Mohd, A Abdul-Rahman… - … of Engineering and …, 2024 - pen.ius.edu.ba
The goal of the study was to determine how corporate governance and Sharia governance affected the risk of insolvency in banks located in Iraq and the Gulf Cooperation Countries …
JA Addae, EN Gyamfi - Handbook of Research on New Challenges …, 2022 - igi-global.com
Global discourse is geared towards greater accountability and regulatory oversight of banks to promote sound financial systems and charter value. The authors applied dynamic pool …