[PDF][PDF] Indonesian Islamic banks: A review of the financial state before and after the COVID-19 pandemic

D Lantara, J Junaidi, N Rauf, A Pawennari… - Banks and Bank …, 2022 - academia.edu
Banking plays an important role in business and economic growth. However, since a couple
decades ago, there have been issues with efficiency and performance. This paper aims to …

Risk and return of islamic and conventional indices on the Indonesia Stock Exchange

S Suryadi, E Endri, M Yasid - The Journal of Asian Finance …, 2021 - koreascience.kr
The purpose of this study is to compare the level of risk and return of Islamic stocks in the
Jakarta Islamic Index (JII) with conventional stocks on the IDX30 in the period from January …

Fintech in banking: Bibliometric and content analysis

R Jain, N Seth - Contemporary Studies of Risks in Emerging …, 2023 - emerald.com
Purpose: FinTech is exploding all over the world. FinTech companies play a critical role in
growing the banking industry. This chapter reviews existing literature on FinTech in banking …

Value and contrarian investment strategies: Evidence from Indian stock market

SS Jagirdar, PK Gupta - Journal of Risk and Financial Management, 2023 - mdpi.com
Value and contrarian investment strategies are two basic approaches which are widely used
by investors worldwide. Both value and contrarian investment strategies are assumed to pick …

[HTML][HTML] Geopolitical risk and the return volatility of Islamic stocks in Indonesia and Malaysia: A GARCH-MIDAS approach

UB Ndako, AA Salisu… - Asian Economics …, 2021 - ael.scholasticahq.com
In this paper, the predictive value of geopolitical risk (GPR) for the return volatility of Islamic
stocks in Indonesia and Malaysia is examined. GPR data, whether global or country-specific …

Analisa Teknikal MACD, RSI, SO, dan Buy and Hold untuk Mencapai Return Optimal Saham JII30 di Bursa Efek Indonesia

N Rosyidah, RU Hafi - Jurnal Pasar Modal dan Bisnis, 2021 - jurnal.ticmi.co.id
The purpose of this research is to realize the movement of JII 30 shares during the
pandemic. The method used is a descriptive analysis by analyzing this research to find that …

Geopolitical Uncertainties and Malaysian Stock Market Returns: Do Market Conditions Matter?

ME Hoque, MAS Zaidi, MK Hassan - Mathematics, 2021 - mdpi.com
Geopolitical uncertainties have been a concern for global economies and financial markets'
participants. By employing Markov switching regression and quantile regression, we …

Pre-and post-merger efficiency of Islamic state-owned bank: A case study of Bank Syariah Indonesia

F Hakimi, F Maf'ula, RZ Gultom - Journal of Islamic Economics …, 2024 - journal.uii.ac.id
Objectives This study aims to compare the efficiency levels of Bank Syariah Indonesia
before and after the merger and assess its performance relative to other BUMN conventional …

Analysis of Sharia Stock Performance with Conventional Stocks Before and During the Covid-19 Pandemic on the Indonesia Stock Exchange

R Amelia, MF Alfarisi, R Rahim - Enrichment: Journal …, 2022 - enrichment.iocspublisher.org
Penelitian ini bertujuan untuk menganalisis kinerja saham syariah dan saham konvensional
sebelum pandemi Covid-19 dan selama pandemi Covid-19 di Bursa Efek Indonesia …

[PDF][PDF] Stock Market Investment Strategy for Fundamental Investors and Daily Traders: Who Gains More Profit?

NA Ramli, N Rahim, S HR - Global Business & Management …, 2024 - gbmrjournal.com
Abstract/Highlights: Investment strategies and decisions are crucial in determining the
direction of the stock market, which in turn affects the overall economy. It is crucial to …