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Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia

Kassim, Salina H. (2012) Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia. Research Report. s.n, Kuala Lumpur. (Unpublished)

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Abstract

This study attempts to provide empirical evidences on the impact of financial shocks on the Islamic banks vis-a-vis the conventional banks. Based on the Malaysia experience over two major financial crises, namely the 1997 Asian financial crisis and the 2007 US sub-prime crisis, the study aims to test the validity of the proposition that the Islamic banks are more resilient to the financial shocks compared to the conventional banks

Item Type: Monograph (Research Report)
Additional Information: 4600/33195
Uncontrolled Keywords: Financial crisis, Islamic banks, Malaysia, VAR
Subjects: H Social Sciences > HG Finance > HG1501 Banking
H Social Sciences > HG Finance > HG4001 Financial management. Business finance. Corporation finance.
Kulliyyahs/Centres/Divisions/Institutes (Can select more than one option. Press CONTROL button): Kulliyyah of Economics and Management Sciences > Department of Economics
Depositing User: Sr. Norsyaziela Zulkefli
Date Deposited: 18 May 2015 10:00
Last Modified: 18 May 2015 10:00
URI: http://irep.iium.edu.my/id/eprint/33195

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