A cross-country analysis on diversification, Sukuk investment, and the performance of Islamic banking systems under the COVID-19 pandemic

TDQ Le, TH Ho, DT Nguyen, T Ngo - Heliyon, 2022 - cell.com
This study investigates the relationship between diversification and Islamic banking systems'
performance under the impact of the COVID-19 turmoil using a sample of 24 countries from …

Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks

H Smaoui, K Mimouni, H Miniaoui, A Temimi - Pacific-Basin Finance …, 2020 - Elsevier
The purpose of this paper is to investigate the impact of funding liquidity risk on the risk-
taking behaviour of Islamic and conventional banks. Using bank-level and country-level data …

An empirical study of the effects of green Sukuk spur on economic growth, social development, and financial performance in Indonesia

Q Ali, S Rusgianto, S Parveen, H Yaacob… - Environment …, 2024 - Springer
Although green Sukuk (GS) as a sustainability enabler has started to emerge globally, a
limited amount of research has focused on understanding its perspectives and potential …

Sukuk Trend Analysis: Bibliometric and Systematic Literature Review from 2011-2021.

RR Maulayati, S Iswati - Jurnal Ekonomi Syariah Teori Dan …, 2023 - search.ebscohost.com
ABSTRAK Stabilnya Keuangan Islami menjadikan banyak peneliti yang tertarik membahas
Keuangan Islami. Sukuk termasuk dalam salah satu sektor Keuangan Islami yang banyak …

[HTML][HTML] The effect of capitalization on the competition-stability Nexus: Evidence from dual banking systems

I Ernaningsih, H Smaoui, A Temimi - Pacific-Basin Finance Journal, 2023 - Elsevier
The purpose of this paper is investigate how bank capitalization affects the relationship
between competition and bank stability in dual banking systems. Using bank-level and …

A systematic literature review of risks in Islamic banking system: research agenda and future research directions

MK Hassan, MNI Sohel, T Choudhury, M Rashid - Risk Management, 2024 - Springer
This study employs a systematic review approach to examine the existing body of literature
on risk management in Islamic banking. The focus of this work is to analyze published …

Country risk and bank returns: Evidence from MENA countries

M Albaity, SF Shah, HAH Al-Tamimi, M Rahman… - The Journal of Economic …, 2023 - Elsevier
In this study, country risk factors are examined in relation to bank stock returns in the MENA
region. Additionally, it analyzes whether the impact of risk factors on returns differs between …

The impact of Tier 1 sukuk (Islamic bonds) on the profitability of UAE Islamic banks

A Salhani, S Mouselli - Journal of Financial Reporting and Accounting, 2024 - emerald.com
Purpose The choice between different financing sources is governed by a number of finance
theories, particularly, trade-off theory and pecking order theory. However, the special …

Do sukuk spur infrastructure development?

H Smaoui, K Mimouni, I Ben Salah - International Journal of Islamic …, 2021 - emerald.com
Purpose This paper aims to examine the effect do Sukuk Spur Infrastructure Development of
Sukuk market expansion on infrastructure development for a sample of 15 emerging …

Credit risk differential between Islamic and conventional banks in Malaysia

EHY Koh, H Banna, L Youmkyung - Journal of Southeast Asian Economies, 2022 - JSTOR
Despite the renewed interest post-2008, experts remain divided on whether Islamic banks
(IBs) are riskier than conventional banks (CBs). Hence, we aim to study their credit risk …