Political risk and bank stability in the Middle East and North Africa region

M Al-Shboul, A Maghyereh, A Hassan… - Pacific-Basin Finance …, 2020 - Elsevier
This paper examines the relationship between political risk and bank stability in the Middle
East and North Africa (MENA) region. We find that political risk is adversely associated with …

Banks, Funds, and risks in islamic finance: Literature & future research avenues

J Grira, C Labidi - Finance Research Letters, 2021 - Elsevier
In this paper, we present the current state of research in Islamic finance by focusing on three
spheres of knowledge: Islamic banking, Islamic fund management, and risk management …

Heterogeneity of investor sentiment, geopolitical risk and economic policy uncertainty: do Islamic banks differ during COVID-19 pandemic?

M Albaity, R Saadaoui Mallek… - International Journal of …, 2024 - emerald.com
Purpose This study examined the impact of; COVID-19 investor sentiment, COVID-19 cases,
geopolitical risk (GPR), economic policy uncertainty (EPU), oil returns and Islamic banking …

Islamic finance: a literature review

MK Hassan, A Khan, A Paltrinieri - … framework for Muslim and Non-Muslim …, 2021 - Springer
Abstract The fundamentals of Islamic Finance are deeply rooted in the Islamic civilization
and originated from Islamic jurisprudence and laws. After the global financial crises, it has …

Islamic banks and political risk: International evidence

M Belkhir, J Grira, MK Hassan, I Soumaré - The quarterly review of …, 2019 - Elsevier
We investigate the relation between political risk and the volatility of Islamic and
conventional banks' assets. Using an international sample of 34,452 and 1245 bank-year …

Integration of Islamic bank specific risks and their impact on the portfolios of Islamic Banks

SAA Shah, R Sukmana, BA Fianto - International Journal of Islamic …, 2021 - emerald.com
Integration of Islamic bank specific risks and their impact on the portfolios of Islamic Banks |
Emerald Insight Books and journals Case studies Expert Briefings Open Access Publish with us …

Islamic and conventional portfolios optimization under investor sentiment states: Bayesian vs Markowitz portfolio analysis

Y Trichilli, MB Abbes, A Masmoudi - Research in International Business and …, 2020 - Elsevier
This paper investigates the portfolio optimization under investor's sentiment states of Hidden
Markov model and over a different time horizon during the period 2004–2016. To compare …

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 …

Corruption and Bank Risk‐Taking in Dual Banking Systems

MH Khan, M Bitar, A Tarazi, A Hassan… - … An International Review, 2024 - Wiley Online Library
ABSTRACT Research Question/Issue We investigate whether the risk‐taking of Islamic
banks is affected differently by corruption compared to conventional banks. We also …

Crossroads of volatility spillover: Interactions between Islamic and conventional financial systems

A Addi, M Foglia, GJ Wang, F Miglietta - Research in International Business …, 2024 - Elsevier
This study investigates the volatility spillover in dual financial systems, namely Islamic
financial systems (banking and insurance) and conventional financial systems (banking and …