Risk Management of Commercial Banks in Kosovo
Author
Abstract
Suggested Citation
Download full text from publisher
References listed on IDEAS
- Hussein A. Hassan Al-Tamimi & Faris Mohammed Al-Mazrooei, 2007. "Banks' risk management: a comparison study of UAE national and foreign banks," Journal of Risk Finance, Emerald Group Publishing, vol. 8(4), pages 394-409, August.
Most related items
These are the items that most often cite the same works as this one and are cited by the same works as this one.- Imène BERGUIGA & Philippe ADAIR, 2019.
"The performance of Islamic banks in the MENA region: Are specific risks a minor attribute?,"
Region et Developpement, Region et Developpement, LEAD, Universite du Sud - Toulon Var, vol. 49, pages 5-23.
- Imène Berguiga & Philippe Adair & Nadia Zrelli & Ali Abdallah, 2017. "The performance of Islamic banks in the MENA region: Are specific risks a minor attribute?," Working Papers hal-01667412, HAL.
- Imène Berguiga & Philippe Adair & Nadia Zrelli & Ali Abdallah, 2019. "The Performance Of Islamic Banks In The Mena Region: Are Specific Risks A Minor Attribute?," Working Papers 1379, Economic Research Forum, revised 20 Dec 2019.
- Imène Berguiga & Philippe Adair, 2019. "The performance of Islamic banks in the MENA region: Are specific risks a minor attribute?," Erudite Working Paper 2019-10, Erudite.
- Waqas Ali & Shujahat Ali & Shahid Mehmood, 2020. "Effect of Risk Management Practices on Banks Performance Moderating Role of Managerial Expertise as a Competitive Edge," IBT Journal of Business Studies (JBS), Ilma University, Faculty of Management Science, vol. 16(1), pages 88-100.
- Ellis Kofi, Akwaa-Sekyi & Portia, Bosompra, 2015. "Determinants of business loan default in Ghana," MPRA Paper 71961, University Library of Munich, Germany.
- Chattha, Jamshaid Anwar & Alhabshi, Syed Musa, 2020. "Benchmark rate risk, duration gap and stress testing in dual banking systems," Pacific-Basin Finance Journal, Elsevier, vol. 62(C).
- Girish Karunakaran Nair & Harsh Purohit & Nidhi Choudhary, 2014. "Influence of Risk Management on Performance: An Empirical Study of International Islamic Bank," International Journal of Economics and Financial Issues, Econjournals, vol. 4(3), pages 549-563.
- Rashidah Abdul Rahman & Siti Balqis Noor & Tariq Ismail, 2013. "Governance and Risk Management: Empirical Evidence from Malaysia and Egypt," International Journal of Finance & Banking Studies, Center for the Strategic Studies in Business and Finance, vol. 2(3), pages 21-33, July.
- Irvine, Helen, 2008. "The global institutionalization of financial reporting: The case of the United Arab Emirates," Accounting forum, Elsevier, vol. 32(2), pages 125-142.
- Waqas Ali & Shujahat Ali & Shahid Mehmood, 2020. "Effect of Risk Management Practices on Banks Performance Moderating Role of Managerial Expertise as a Competitive Edge," IBT Journal of Business Studies (JBS), Ilma University, Faculty of Management Science, vol. 16(1), pages 16-17.
- Saiful Saiful & Dea Puspita Ayu, 2019. "Risks Management and Bank Performance: The Empirical Evidences from Indonesian Conventional and Islamic Banks," International Journal of Economics and Financial Issues, Econjournals, vol. 9(4), pages 90-94.
- Ali Said, 2013. "Risks and Efficiency in the Islamic Banking Systems: The Case of Selected Islamic Banks in MENA Region," International Journal of Economics and Financial Issues, Econjournals, vol. 3(1), pages 66-73.
- Ahmed Arif & Mohammad Afzal, 2012. "Credit Risk and Shareholders’ Value in a Developing Economy: Evidence from Pakistani Banking System," Journal of Economics and Behavioral Studies, AMH International, vol. 4(2), pages 87-95.
- Mosab Tabash, 2018. "An empirical investigation between liquidity and key financial ratios of Islamic banks of United Arab Emirates (UAE)," Business and Economic Horizons (BEH), Prague Development Center, vol. 14(3), pages 713-724, June.
- Isuf Qabrati, 2019. "Risk Management In Banking Sector: Empirical Data From Commercial Banks In Kosovo," Prizren Social Science Journal, SHIKS, vol. 3(1), pages 6-13, April.
- Ziyodilloev Khushnud & Zhou Qingjie, 2020. "Study on Banks’ Risk Assessment of Financing Small Medium Enterprises’ Project: the findings and experience from Uzbekistan Banking Sectors," International Journal of Business and Administrative Studies, Professor Dr. Bahaudin G. Mujtaba, vol. 6(2), pages 86-96.
- Ishaya John Dabari & Siti Zabedah Saidin, 2015. "Determinants Influencing the Implementation of Enterprise Risk Management in the Nigerian Banking Sector," International Journal of Asian Social Science, Asian Economic and Social Society, vol. 5(12), pages 740-754, December.
- Riaz, Samina & Khan, Muhammad Irfan & Iqbal, Athar, 2018. "Risk Management Practices and Islamic Bankers’ Perception about Potential Risk in Islamic Countries," MPRA Paper 103103, University Library of Munich, Germany, revised 20 Dec 2018.
- Nadia Zrelli & Imene Berguiga & Ali Abdallah & Philippe Adair, 2017. "Risques spécifiques et profitabilité des banques islamiques en région MENA," Post-Print hal-01667423, HAL.
- Mehmood, Mian Saqib & Sheraz, Iram & Mehmood, Asif & G. Mujtaba, Bahaudin, 2017. "Empirical Examination for Operational and Credit Risk Perspective – A Case of Commercial Banks of Pakistan," MPRA Paper 80491, University Library of Munich, Germany.
- Naseem Al Rahahleh & M. Ishaq Bhatti & Faridah Najuna Misman, 2019. "Developments in Risk Management in Islamic Finance: A Review," JRFM, MDPI, vol. 12(1), pages 1-22, February.
- Krishn A. Goyal & Vijay Joshi, 2012. "Indian Banking Industry: Challenges and Opportunities," International Journal of Business Research and Management (IJBRM), Computer Science Journals (CSC Journals), vol. 3(1), pages 18-28, February.
More about this item
Keywords
; ; ; ; ;JEL classification:
- C32 - Mathematical and Quantitative Methods - - Multiple or Simultaneous Equation Models; Multiple Variables - - - Time-Series Models; Dynamic Quantile Regressions; Dynamic Treatment Effect Models; Diffusion Processes; State Space Models
- C33 - Mathematical and Quantitative Methods - - Multiple or Simultaneous Equation Models; Multiple Variables - - - Models with Panel Data; Spatio-temporal Models
- G21 - Financial Economics - - Financial Institutions and Services - - - Banks; Other Depository Institutions; Micro Finance Institutions; Mortgages
- H2 - Public Economics - - Taxation, Subsidies, and Revenue
Statistics
Access and download statisticsCorrections
All material on this site has been provided by the respective publishers and authors. You can help correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:ers:ijebaa:v:vii:y:2019:i:4:p:197-212. See general information about how to correct material in RePEc.
If you have authored this item and are not yet registered with RePEc, we encourage you to do it here. This allows to link your profile to this item. It also allows you to accept potential citations to this item that we are uncertain about.
If CitEc recognized a bibliographic reference but did not link an item in RePEc to it, you can help with this form .
If you know of missing items citing this one, you can help us creating those links by adding the relevant references in the same way as above, for each refering item. If you are a registered author of this item, you may also want to check the "citations" tab in your RePEc Author Service profile, as there may be some citations waiting for confirmation.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Marios Agiomavritis (email available below). General contact details of provider: https://ijeba.com/ .
Please note that corrections may take a couple of weeks to filter through the various RePEc services.