Given the historic decoupling nature of Islamic and green financial instruments with conventional financial markets this study investigated the interconnectedness of the …
Purpose The purpose of this study is to empirically investigate the asymmetric effects of financial risk on Sukuk market development for a sample of Malaysian countries over the …
AF Qulub, MA Nur, B Sukardi - Jurnal Ekonomika dan Bisnis …, 2023 - journal.unesa.ac.id
The Covid-19 pandemic has had an impact on various sectors including the economy. In the Islamic capital market with corporate sukuk instruments, it shows an increase in the total …
WA Elgharib - Review of Accounting and Finance, 2024 - emerald.com
Financial inclusion, financial development and financial stability in MENA | Emerald Insight Books and journals Case studies Expert Briefings Open Access Publish with us Advanced …
Penelitian ini bertujuan untuk mengetahui pengaruh inflasi, BI rate, dan jumlah uang beredar terhadap pertumbuhan sukuk korporasi di Indonesia. Metode penelitian yang …
M Aji, F Hasyim, NK Hameida - Jurnal Ilmu Perbankan dan …, 2023 - jurnaljipsya.org
Financial performance is a vital instrument in profit-making in the banking sector, therefore maintaining optimal is a must for banks to get maximum profit. This study aims to analyze the …
A Taqwiem, KR Rachmadi - Jurnal Ilmiah Ekonomi Islam, 2023 - jurnal.stie-aas.ac.id
The agricultural sector has a fairly large share in the country's development goals, but one of the main problems that always becomes an obstacle for farmers is capital support. The …
The objective of this study is to identify studies that have addressed the impact of risk governance on the financial stability of Islamic banks. This study applied the preferred …