IIUM Repository (IREP)

Items where Subject is "H Social Sciences > HG Finance > HG178 Liquidity"

Up a level
Export as [feed] Atom [feed] RSS 1.0 [feed] RSS 2.0
Group by: Creator/Author | Item Type
Jump to: A | B | H | K | M | O
Number of items at this level: 11.

A

Abdul Rahman, Maya Puspa and Kassim, Salina (2014) Understanding investors' behavior from the variation of sukuk spreads. Islamic Finance News, 14 (2). pp. 19-20. ISSN 0891-060X

Asbeig, Hussam and Kassim, Salina (2014) Monetary policy transmission through the bank financing channel: an analysis of bank heterogeneity in the context of dual banking system in Malaysia. Journal of Economic Cooperation and Development, 35 (2). pp. 121-136. ISSN 1308-7800

Asbeig, Hussam and Kassim, Salina (2015) Monetary transmission during low interest rate environment in a dual banking system: evidence from Malaysia. Macroeconomics and Finance in Emerging Market Economies. pp. 1-11. ISSN 1752-0851 (O), 1752-0843 (P)

B

Bayram, Kamola and Abdullah, Adam (2015) The suitability of gold as a high quality liquid asset. Journal of Global Business and Social Entrepreneurship, 1 (1). pp. 94-103. ISSN 2462-1714

H

Harkati, Rafik and Mohamad, Azhar (2016) Gibrat’s law and liquidity constraints: evidence from Malaysia industrial sector companies. International Journal of Economics, Management and Accounting, 24 (2). pp. 135-161.

K

Kasim, Nawal and Htay, Sheila Nu Nu and Syed, Ahmed Salman (2013) International comparison of Shari’ah governance guidelines: AAOIFI, IFSB and BNM. In: International Conference on Islamic Finance Muamalat and Financial Criminology (IFMFC), 23-24 Oct 2013, Grand Caprice FRestaurant, Lim Ket Kai Centre, Cagayan de Oro City, Philippines. (Unpublished)

Kassim, Salina and Abubakar , Abdulsalam (2015) Institutional and macroeconomic determinants of financial development in the OIC countries: a system-GMM approach. In: 3rd International Conference on Entrepreneurial Finance (CIFEMA' 2015), 11th-12th Dec. 2015, Agadir, Morocco. (Unpublished)

M

Mohamad, Azhar (2015) Contagion effects of financial crisis: a meta-analysis. Research Report. s.n. (Unpublished)

Mohd Ariffin, Noraini (2012) Liquidity risk management and financial performance in Malaysia: empirical evidence from Islamic banks. Aceh International Journal of Social Sciences, 1 (2). pp. 68-75. ISSN 2088-9976

O

Odeduntan, Akeem Kolawole and Adewale, Abideen Adeyemi (2015) Financial stability of Islamic banks: a review of the literature. European Journal Islamic Finance (EJIF) (2). pp. 1-8. ISSN 2421-2172

Oseni, Umar Aimhanosi (2014) Dispute management in Islamic financial institutions: a case study of near sukuk defaults. Journal of International Trade Law and Policy, 13 (3). pp. 198-214. ISSN 1477-0024

This list was generated on Sat Mar 25 04:01:08 2017 MYT.