Policy recommendations for controlling credit risks in commercial banks after the covid-19 pandemic in Vietnam

N Phan Thi Hang - Cogent Economics & Finance, 2023 - Taylor & Francis
Credit activities are an essential commercial bank activity. Therefore, preventing and limiting
credit risks is vital for their credit activities. The Covid-19 epidemic is still ongoing. In 2021 …

Theory of Gharar and its interpretation of Risk and Uncertainty from the perspectives of Authentic Hadith and the Holy Quran: A Qualitative Analysis

W Waemustafa, S Sukri - 2015 - mpra.ub.uni-muenchen.de
The inconclusive definition of Gharar as risk and uncertainty can be commonly found in the
contemporary literatures. The difference in the meaning of Gharar is generally thought to be …

Risk and risk management practices: A comparative study between Islamic and conventional banks in Qatar

A Elgharbawy - Journal of Islamic Accounting and Business Research, 2020 - emerald.com
Purpose This study aims to compare types and levels of risk and risk management practices
(RMPs) including the recognition, identification, assessment, analysis, monitoring and …

Adoption of Basel norms: a review of empirical evidences

M Kaur, S Kapoor - Journal of Financial Regulation and Compliance, 2015 - emerald.com
Purpose–The purpose of this paper is to examine diverse literature available worldwide on
the Basel norms readiness and risk management by thoroughly analyzing the empirical …

Social Performance of Islamic Banks

A Meskovic, E Kozarevic, A Avdukic - European Journal of Islamic …, 2021 - ojs.unito.it
This study analyzes the social performance of 40 Islamic banks from 13 countries over the
period 2012-2018, aiming to investigate to what extent Islamic banks around the world meet …

[PDF][PDF] A multi-group analysis of risk management practices of public and private commercial banks

K Rehman, HH Khan, B Sarwar… - The Journal of Asian …, 2020 - researchgate.net
The study examines the relationship between credit risk and operational risk (understanding
of risk management, risk identification, risk assessment and control, and risk monitoring) on …

[PDF][PDF] Corporate board size, risk management and financial performance of listed deposit money banks in Nigeria

LI Olalekan, LO Mustapha, IM Irom… - European Journal of …, 2018 - researchgate.net
This study examined the effect of corporate board size, risk management on financial
performance of listed deposit money banks in Nigeria for the period of 2011-2016. The …

Transformation of agriculture risk management: The new horizon of regulatory compliance in farm credits

AR Bilal, MMA Baig - Agricultural Finance Review, 2019 - emerald.com
Purpose The purpose of this paper is to investigate the balanced role of internal and
external compliance in risk evaluation process of specialized agriculture financing. The …

A BIBLIOMETRIC ANALYSIS AND MAPPING STUDY OF RISK MANAGEMENT IN ISLAMIC FINANCIAL INSTITUTIONS

AK Alghamati, SMF Azam, A Khatibi - Journal of Islamic Monetary …, 2024 - jimf-bi.org
This paper performs a bibliometric analysis on risk management in Islamic financial
institutions (IFIs), identifying significant research themes, influential authors, as well as …

[PDF][PDF] Risk management practices and performance of microfinancing banks in Malaysia

RA Ghani, R Mahmood - Academia Journal UiTMT, 2015 - e-ajuitmct.uitm.edu.my
The purpose of this study is to investigate the state of risk management practices (RMPs)
implemented among the microfinance providers in Malaysia and its relationship with the …