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

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Number of items at this level: 12.

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

Abdul Razak, Dzuljastri and Mohamed Sofian, Nurul Hashimah and Mazlan, Nurul Huda (2017) Factors that determine parents’ awareness on the use of cash waqf for educational assistance in Malaysia. In: 4th International Islamic Economics and Finance Congress 2017 (IEFC), 15th-16th July 2017, Istanbul, Turkey. (Unpublished)

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 (Unpublished)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 (Unpublished)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 s.n. (Unpublished)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 Mon Dec 11 07:09:45 2017 +08.