Content
March 2024, Volume 16, Issue 5
- 880-914 Foundations and trends in option pricing models: a 45 years global examination based on bibliometric analysis
by Nisha & Neha Puri & Namita Rajput & Harjit Singh - 993-1035 A bibliometric review of Islamic economics and finance bibliometric papers: an overview of the future of Islamic economics and finance
by Denizar Abdurrahman Mi'raj & Salih Ulev
January 2024, Volume 16, Issue 5
- 860-879 Investors in the Bangladeshi stock market: issues, behavioural biases and circumvention strategies
by Nazreen Tabassum Chowdhury & Nurul Shahnaz Mahdzan & Mahfuzur Rahman
February 2024, Volume 16, Issue 5
- 937-961 Waqf for accelerating socioeconomic development: a proposed model with focus on Pakistan
by Muhammad Ayub & Khurram Khan & Mansoor Khan & Muhammad Ismail - 962-992 Is the financial industry ready for circular economy and sustainable development goals? A case of a developing country
by Muhammad Zahid & Mutahar Hayat & Haseeb Ur Rahman & Wajahat Ali
February 2024, Volume 16, Issue 4
December 2023, Volume 16, Issue 5
- 915-936 A bibliometric and systematic review analysis of adopting decision intelligence analytics for rational decision-making
by Annu & Ravindra Tripathi
October 2023, Volume 16, Issue 4
- 589-617 Regulatory issues inhibiting the financial inclusion: a case study among Islamic banks and MSMEs in Indonesia
by Adi Saifurrahman & Salina Hj Kassim
November 2023, Volume 16, Issue 4
- 618-635 Transforming the nature of trust between banks and young clients: from traditional to digital banking
by Valeriia Melnyk - 636-659 Measuring behavioral biases in individual investors decision-making and sociodemographic correlations: a systematic review
by Nicolas de Oliveira Cardoso & Eduarda Zorgi Salvador & Gustavo Broch & Frederike Monika Budiner Mette & Claudia Emiko Yoshinaga & Wagner de Lara Machado - 660-679 Dimensions of financial inclusion in India: a qualitative analysis of bankers perspective
by Vinay Kandpal - 680-708 Regulatory constraints, responsibilities and consultation (CRC) for legal institutionalization of cryptocurrencies in Pakistan
by Rahman Ullah Khan & Karim Ullah & Muhammad Atiq
December 2023, Volume 16, Issue 4
- 709-740 Dividend announcements and stock returns: a retrospective analysis
by Vineeta Kumari & Satish Kumar & Dharen Kumar Pandey & Prashant Gupta - 741-765 Agency motives and the corporate diversification decision: perspectives of corporate executives in Nigeria
by Ibeawuchi Ibekwe - 766-802 Unravelling the board committee puzzle: a comprehensive review and future research agenda
by Satya Prakash Mani & Shashank Bansal & Ratikant Bhaskar & Satish Kumar
August 2023, Volume 16, Issue 3
- 448-476 A systematic review on behavioral biases affecting individual investment decisions
by Sneha Badola & Aditya Kumar Sahu & Amit Adlakha - 503-526 A bibliometric visualization of behavioral biases in investment decision-making
by Barkha Dhingra & Mahender Yadav & Mohit Saini & Ruhee Mittal
September 2023, Volume 16, Issue 3
- 477-502 Studies on Indian IPO: systematic review and future research agenda
by Manali Chatterjee & Titas Bhattacharjee & Bijitaswa Chakraborty - 527-547 The metamorphosis of the Islamic political economy publications (1980-2021) – a bibliometric analysis
by Mohamad Handi Khalifah & Fatih Savaşan & Naimat U. Khan & Shabeer Khan - 548-564 The applicability of Islamic crowdfunding as an alternative funding for micro-entrepreneurs in Malaysia
by Muhammad Shahrul Ifwat Ishak & Nur Syahirah Mohammad Nasir
October 2023, Volume 16, Issue 3
July 2023, Volume 16, Issue 3
- 423-447 Should I invest or not? Investigating the role of biases and status quo
by Vasanthi Mamidala & Pooja Kumari & Dakshita Singh
May 2023, Volume 16, Issue 2
- 213-238 The tactician role of FinTech in the accounting and auditing field: a bibliometric analysis
by Mohammed Muneerali Thottoli - 239-265 Resolution and depositors’ trust empirical analysis of three resolution cases in Poland
by Małgorzata Iwanicz-Drozdowska & Łukasz Kurowski & Bartosz Witkowski - 266-290 Mapping the research on sustainable stock indices: a bibliometric review from 2001 to 2022
by Neha Seth & Deepti Singh
September 2023, Volume 16, Issue 2
- 380-400 Is investing inherently emotionally arousing process? Fund manager perspective
by Shubhangi Verma & Purnima Rao & Satish Kumar
June 2023, Volume 16, Issue 2
- 291-309 Heuristic-driven biases as mental shortcuts in investment management activities: a qualitative study
by Maqsood Ahmad & Qiang Wu - 310-330 Towards a framework for the protection of citizen rights of capital market shareholders: evidence from Iran
by Mohammad Mehdi Mohammadi & Mehdi Safari Gerayli & Maryam Shahri & Hasan Valiyan & Farhad Dehdar
July 2023, Volume 16, Issue 2
- 331-354 Organizational learning and adaptation in participatory Islamic finance
by Muhammad Nouman & Karim Ullah & Shafiullah Jan & Farman Ullah Khan - 355-379 Shed old baggage and invest wisely. A bibliometric and thematic analysis of disposition effect and investment
by Hardeep Singh Mundi & Shailja Vashisht
February 2023, Volume 16, Issue 1
- 9-31 Complexity of gender to understand financial behavior. Financial behavior of transgender and cisgender individuals: evidence from India: a qualitative inquiry
by Hardeep Singh Mundi - 32-59 Demystifying disposition effect: past, present and future
by Mayank Joshipura & Nehal Joshipura & Aditya Sharma
August 2023, Volume 16, Issue 1
- 159-182 Review of research on option pricing: a bibliometric analysis
by Prashant Sharma & Dinesh Kumar Sharma & Prashant Gupta
April 2023, Volume 16, Issue 1
- 60-86 Management of cashwaqffund generation through the implementation ofistibdalin Kedah
by Fathullah Asni & Afiffudin Mohammed Noor & Muhamad Husni Hasbulah - 87-107 The effect of Covid-19 on digital banking explored under business model approach
by Ahmet Coşkun Yıldırım & Erkan Erdil - 108-134 Evaluating the current interest-free monetary policy tools and suggesting a new one: case of Turkey via examples of Malaysia, Pakistan, and Bahrain
by Zeyneb Hafsa Orhan & Sajjad Zaheer & Fatih Kazancı - 135-158 The prospects ofistijrarfinancing in Islamic banking: an exploratory study in Bangladesh
by Md. Habibur Rahman & N.M. Shafiul Islam Chowdhury
May 2023, Volume 16, Issue 1
- 183-211 “Honey, you’ve got to do what’s right”: common ethical decision-making challenges and strategies of licensed financial advisers
by Martha Wilcoxson & Jana Craft
February 2023, Volume 15, Issue 5
- 757-794 Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland
by Rafał Wolski & Monika Bolek & Jerzy Gajdka & Janusz Brzeszczyński & Ali M. Kutan - 795-819 Tunisian corporate bond market liquidity: a qualitative approach
by Olfa Berrich & Halim Dabbou - 820-840 Discourse and the creation of French green bond legitimacy
by Umair Riaz & Muhammad Al Mahameed & Lisa Gentemann & Theresa Dunne - 841-887 Household finance: a systematic literature review and directions for future research
by Nahid Zehra & Udai Bhan Singh - 888-906 Application oftawarruqin Islamic banking institutions in Somalia
by Razali Haron & Galad Mohamed Barre
January 2023, Volume 15, Issue 5
- 732-756 Banking service quality literature: a bibliometric review and future research agenda
by Ritesh J. Patel & Aaliyah Siddiqui
January 2023, Volume 15, Issue 4
January 2023, Volume 15, Issue 3
- 471-494 An interactive qualitative analysis of academics’ views of a competency-based undergraduate qualification in risk management
by Johan Marx & Cecilia Jacoba de Swardt - 514-533 Exploring the development of Islamic fintech ecosystem in Indonesia: a text analytics
by Fahmi Ali Hudaefi & M. Kabir Hassan & Muhamad Abduh
March 2023, Volume 15, Issue 3
- 423-444 Analysis of issues and solutions on the implementation ofistibdalwaqf property in states of Peninsular Malaysia
by Afiffudin Mohammed Noor & Fathullah Asni & Mohd Afandi Mat Rani & Muhamad Rozaimi Ramle
January 2023, Volume 15, Issue 2
- 385-411 Initial public offering: a critical review of literature
by Amith Vikram Megaravalli
November 2022, Volume 16, Issue 5
- 833-859 Heuristics in the wild: exploring fund manager decisions through the COVID pandemic
by Daniel Gilcher
December 2022, Volume 15, Issue 5
- 712-731 Lived experiences of successful women entrepreneurs (SMEs) in Iran: a feminist phenomenological study
by Fatemeh Sadrnabavi & Hanieh Daneshvar
June 2022, Volume 15, Issue 4
- 589-607 Impacts of big data analytics adoption on firm sustainability performance
by Sheshadri Chatterjee & Ranjan Chaudhuri & Demetris Vrontis & Alkis Thrassou
May 2022, Volume 15, Issue 4
- 557-571 Governing Fintech for sustainable development: evidence from Italian banking system
by Francesco Campanella & Luana Serino & Anna Crisci - 572-588 Do international investors care about ESG news?
by Paola de Vincentiis
December 2022, Volume 15, Issue 4
- 647-671 The role of uncertainties on sustainable stocks and green bonds
by Efe Caglar Cagli & Dilvin Taşkin & Pınar Evrim Mandaci
October 2022, Volume 15, Issue 4
- 608-629 Current state and future directions of green and sustainable finance: a bibliometric analysis
by Muhammad Abubakr Naeem & Sitara Karim & Mustafa Raza Rabbani & Abu Bashar & Satish Kumar - 630-646 Transparency in the digitalization choices and the cost of equity capital
by Antonio Salvi & Felice Petruzzella & Nicola Raimo & Filippo Vitolla
December 2022, Volume 15, Issue 3
- 445-452 Financial inclusion: philosophical and methodological underpinnings
by Nikhil Sapre - 453-470 Mitigating asymmetric information to enhance MSME Islamic financial inclusion by Islamic banks in Indonesia
by Adi Saifurrahman & Salina H.J. Kassim - 495-513 The challenges foreign banks face in developing markets: an exploratory study
by Najla Alomar & Milind Sathey & Peter Graham - 534-550 Tax amnesty schemes, anti-money laundering regulations and customer due diligence by financial institutes: an evaluation of the implementation issues in Pakistan
by Nasir Sultan & Norazida Mohamed & Dildar Hussain
September 2022, Volume 15, Issue 2
- 224-253 What we know and what we should know about speed of capital structure adjustment: a retrospective using bibliometric and system thinking approach
by Apoorva Arunachal Hegde & Venkateshwarlu Masuna & Ajaya Kumar Panda & Satish Kumar - 254-277 Decoding momentum returns: an integrated bibliometric and content analysis approach
by Mayank Joshipura & Sangeeta Wats - 278-295 Stewardship theory of corporate governance and succession planning in family businesses of UAE: views of the owners
by Mohamed Jasir & Naimat U. Khan & Yasser Barghathi
October 2022, Volume 15, Issue 2
- 296-318 A new proposal for the profit dıstribution system of the participation banking
by Mehmet Bulut & Aydın Gündoğdu - 319-335 Corporate governance in a weak legal environment: a systematic review focusing on Zimbabwe
by Kingstone Nyakurukwa & Yudhvir Seetharam
November 2022, Volume 15, Issue 2
- 336-360 Foreign divestments: a review and research agenda
by H. Kent Baker & Deepak Kumar & Neelam Rani - 361-384 Will adoption of blockchain technology be challenging: evidence from Indian banking industry
by Preeti Khanna & Arunima Haldar
April 2022, Volume 15, Issue 1
- 1-28 Introducing an Islamic equity-based microfinance models for MSMEs in the State of Libya
by Zainab Belal Lawhaishy & Anwar Hasan Abdullah Othman
August 2022, Volume 15, Issue 1
- 142-159 Agency problems in the private pension system of Turkey: pension sector employee perspectives
by Remziye Gül Aslan - 160-189 Does Tawarruq still remain the top option for Islamic home financing (IHF) products in Malaysia?
by Norhazlina Ibrahim & Safeza Mohd Sapian
May 2022, Volume 15, Issue 1
- 29-57 DARQ technologies in the financial sector: artificial intelligence applications in personalized banking
by Gimede Gigante & Anna Zago - 58-76 Qard Hasan as a feasible Islamic financial instrument for crowdfunding: its potential and possible application for financing micro-enterprises in Malaysia
by Abdulmajeed Muhammad Raji Aderemi & Muhammad Shahrul Ifwat Ishak - 77-97 Facilitator or enforcer, ally or enemy? Claimant’s perceptions of insurers’ roles in occupational rehabilitation
by Jarna Pasanen - 98-118 Identifying salient beliefs underlying intention to save regularly: an elicitation study of Malaysian Gen Y
by Ida Lopez & Nurul Shahnaz Mahdzan & Mahfuzur Rahman - 119-141 The potential of alternative investments as an asset class: a thematic and bibliometric review
by Hardeep Singh Mundi & Deepak Kumar
September 2022, Volume 15, Issue 1
- 190-215 A systematic literature review and bibliometric analysis of noise trading
by Sanjay Gupta & Nidhi Walia & Simarjeet Singh & Swati Gupta
July 2022, Volume 14, Issue 5
- 697-767 An interwoven financialization narrative as a driver of the 2008 Crash
by Jonathan Myers
March 2022, Volume 14, Issue 5
- 621-636 Socio-economic development through self-help groups in rural India – a qualitative study
by Vinay Kandpal - 637-656 Inside the black box of institutional investors in an emerging market: the role of sell side analyst outputs
by Arit Chaudhury & Seshadev Sahoo & Varun Dawar - 657-678 Money creation and commercial banks’ money lending activity through the accounting treatment: stakeholders’ perceptions in Malaysia
by Md Shamim Hossain & Ahmed Razman Abdul Latiff & Mohammad Noor Hisham Bin Osman - 679-696 Risk management practices of Islamic microfinance institutions to improve their financial performance and sustainability: a study on Baitut Tamwil Muhammadiyah, Indonesia
by Mutamimah Mutamimah & Zaenudin Zaenudin & Widiyanto Bin Mislan Cokrohadisumarto
April 2022, Volume 14, Issue 5
- 768-785 Mobile financial services (MFS) and digital inclusion – a study on customers’ retention and perceptions
by Dilruba Afroze & Faria Islam Rista
January 2022, Volume 14, Issue 4
- 509-525 Rules and regulations review on micro-takafulscheme development in Malaysia
by Sofi Mohd Fikri & Asmadi Mohamed Naim & Selamah Maamor & Mohamad Yazid Isa & Shahrul Nizam Ahmad & Wahidah Shari & Nurul Aini Muhamed
February 2022, Volume 14, Issue 4
- 526-549 Valuations, marketing and uncertainty: a field study of financial analysts and salespeople
by Emre Tarim - 550-569 Is recapitalisation regulation a disrupter? Survival and sustainability of indigenous Ghanaian banks
by Lydia Nyankom Takyi & Vannie Naidoo - 584-601 Caught in a trap? Financial Fair Play Regulations and the case of Scottish football
by Finlay Maclean & Renzo Cordina & Martin J. Gannon
March 2022, Volume 14, Issue 4
- 570-583 Long-lasting heuristics principles for efficient investment decisions
by Gregory Gadzinski & Markus Schuller & Shabnam Mousavi - 602-620 A qualitative examination of changing investment preferences, sentiments and behavioural tendencies in COVID-19: a special case of Indian individual investors
by Rupali Misra & Jaya Mamta Prosad & Shruti Ashok & Puneeta Goel
October 2021, Volume 16, Issue 3
October 2021, Volume 15, Issue 5
- 693-711 A review of literature directions regarding the impact of fintech firms on the banking industry
by Haitham Mohamed Elsaid
November 2021, Volume 14, Issue 3
- 461-482 The experience and the prospects of Islamic finance in Kazakhstan
by Nasim S. Shirazi & Laura A. Kuanova & Adilbek Ryskulov & Aziya G. Mukusheva
September 2021, Volume 14, Issue 3
- 357-379 A qualitative inquiry into the capital structure decisions of overconfident finance managers of family-owned businesses in India
by Hardeep Singh Mundi & Parmjit Kaur & R.L.N. Murty - 380-394 Capital structure puzzle and banks: need for a unique approach?
by Ashish Pandey - 395-412 Analysis ofTawarruqcontract in the Islamic profit rate swap (IPRS) implementation in Malaysia
by Azlin Alisa Ahmad & Mohd Hafiz Mohd Dasar & Nik Abdul Rahim Nik Abdul Ghani - 413-432 Is knowledge alone enough for socially responsible investing? A moderation of religiosity and serial mediation analysis
by Pooja Mehta & Manjit Singh & Manju Mittal & Himanshu Singla
October 2021, Volume 14, Issue 3
- 433-460 Bibliometric study on asset pricing
by Asgar Ali & Hajam Abid Bashir
December 2021, Volume 14, Issue 3
- 483-504 Capital budgeting practices and political risk: evidence from Lebanon
by Ahmed Bakri & Suzanne G.M. Fifield & David M. Power
August 2021, Volume 14, Issue 2
- 306-323 Performance measurement in Islamic microfinance institutions: does it change social norms and values?
by Siti Nazariah Abdul Zalim - 324-353 Analyzing governance challenges using Process Net-Map: a case study of a government microcredit scheme in Bangladesh
by Mst Tania Parvin & Regina Birner
July 2021, Volume 14, Issue 1
- 76-94 Green sukuk – Malaysia surviving the bumpy road: performance, challenges and reconciled issuance framework
by J.S. Keshminder & Mohammad Syafiq Abdullah & Marina Mardi - 119-148 Financial internationalization of emerging country multinationals: evidence from India
by Mariam Jamaleh & Abha Shukla
October 2021, Volume 14, Issue 1
- 1-52 Icarus of the 21st century: bond/monoline insurance
by Dulani Jayasuriya Daluwathumullagamage
August 2021, Volume 14, Issue 1
- 95-118 The difference of Shariah risk potential and Shariah risk in personal financing products based on tawarruq munazzam contracts practised in Malaysia
by Fathullah Asni - 149-168 Unlocking the black box of private impact investors
by Sarah Louise Carroux & Timo Busch & Falko Paetzold - 189-211 A qualitative phenomenological exploration of social mood and investors’ risk tolerance in an emerging economy
by Humaira Asad & Iqra Toqeer & Khalid Mahmood
September 2021, Volume 14, Issue 1
- 53-75 Accounting for investor sentiment in news and disclosures
by Prajwal Eachempati & Praveen Ranjan Srivastava - 169-188 Interpreting banks’ sustainability initiatives as reputational risk management and mechanisms for coping, re-embedding and rebuilding societal trust
by Mohamed Saeudy & Jill Atkins & Elisabetta A.V. Barone
October 2021, Volume 13, Issue 5
- 608-631 Examining drivers and deterrents of individuals’ investment intentions: a qualitative multistage analysis
by Rupali Misra & Puneeta Goel & Sumita Srivastava
June 2021, Volume 13, Issue 5
- 672-691 Disclosure effectiveness in the financial planning industry
by Daniel W. Richards & Maryam Safari
July 2021, Volume 13, Issue 5
- 655-671 Are small finance banks acting as catalysts for financial inclusion in India? A phenomenological study
by Girish Joshi & Bindya Kohli & Sandeep Nalawade - 692-709 Basel III in India: a double-edged sword
by Noor Ulain Rizvi & Smita Kashiramka & Shveta Singh
August 2021, Volume 13, Issue 5
- 549-579 Exploring financial risks disclosure: evidence from Indian listed companies
by Chandani Khandelwal & Satish Kumar & Deepak Verma
September 2021, Volume 13, Issue 5
- 580-607 The impact and implications of SWFs: a systematic review of literature
by Roshni Garg & Abha Shukla - 632-654 Artificial intelligence in financial services: a qualitative research to discover robo-advisory services
by Ankita Bhatia & Arti Chandani & Rizwana Atiq & Mita Mehta & Rajiv Divekar
June 2021, Volume 13, Issue 4
- 425-439 Behavioral factors affecting investment decision-making in bank stocks on the Ghana stock exchange
by Alexander Quaicoe & Paul Quaisie Eleke-Aboagye - 440-481 How do bank-affiliated venture capitalists do deals? Towards a model of multiple investment logics
by Christian Granz - 482-502 Fifty years of research on takeover target prediction: a historical perspective
by Abongeh Tunyi - 503-528 Financial distress and COVID-19: evidence from working individuals in India
by Kirti Goyal & Satish Kumar & Purnima Rao & Sisira Colombage & Ankit Sharma - 529-547 Economic downturns and working capital management practices: a qualitative enquiry
by Sunday Simon & Norfaiezah Sawandi & Satish Kumar & Magdi El-Bannany
February 2021, Volume 13, Issue 3
- 277-294 The global cashwaqf: a tool against poverty in Muslim countries
by Buerhan Saiti & Adama Dembele & Mehmet Bulut - 295-327 Infrastructure project finance: a systematic literature review and directions for future research
by Ashish Kumar & Vikas Srivastava & Mosab I. Tabash
April 2021, Volume 13, Issue 3
- 328-341 Enhancing trust through digital Islamic finance and blockchain technology
by Felicia Hui Ling Chong - 342-358 Towards an implementation framework for governance in the Ghanaian securities trading industry
by Johan Marx & Ronald Henry Mynhardt
May 2021, Volume 13, Issue 3
- 383-422 Accounting for unadjusted news sentiment for asset pricing
by Prajwal Eachempati & Praveen Ranjan Srivastava
June 2021, Volume 13, Issue 3
- 359-382 Exploring the potentials of clawbacks to check earnings management practices and enhance financial reporting quality: perceptions from the UAE
by Kahkashan Mahmood & Yasser Barghathi & Alhashmi Aboubaker Lasyoud
February 2021, Volume 13, Issue 2
- 141-160 Financial battle against climate change – assessing effectiveness using a scorecard
by Candauda Arachchige Saliya & Suesh Kumar Pandey - 161-182 Critical analysis of beneficial ownership inmushārakahbased home financing in Malaysia
by Nik Abdul Rahim Nik Abdul Ghani & Ahmad Dahlan Salleh & Amir Fazlim Jusoh @ Yusoff & Mat Noor Mat Zain & Salmy Edawati Yaacob & Azlin Alisa Ahmad & Muhammad Yusuf Saleem - 183-198 Equity-based Islamic crowdfunding in Malaysia: a potential application formudharabah
by Muhammad Shahrul Ifwat Ishak & Md. Habibur Rahman - 215-225 The rising trend of fraud and forgery in Pakistan’s banking industry and precautions taken against
by Mehak Younus - 252-274 The impact of heuristic biases on investors’ investment decision in Pakistan stock market: moderating role of long term orientation
by Imran Khan & Mustafa Afeef & Shahid Jan & Anjum Ihsan
March 2021, Volume 13, Issue 2
- 199-214 Schumpeter’s creative destruction and the credit crunch of 2007–2008: an Islamic banking perspective
by Simon D. Norton & Vahid Molla Imeny
May 2021, Volume 13, Issue 2
- 226-251 Nexus between higher ethical objectives (Maqasid Al Shari’ah) and participatory finance
by Muhammad Nouman & Muhammad Fahad Siddiqi & Karim Ullah & Shafiullah Jan
February 2021, Volume 13, Issue 1
- 82-98 Real estate investors’ behaviour
by Mohamad Hussein Ismail Abdallah & Hussein A. Hassan Al-Tamimi & Andi Duqi
March 2021, Volume 13, Issue 1
- 50-58 The global financial crisis and its aftermath: a perspective from fiction
by Linda Arch
August 2020, Volume 13, Issue 1
- 59-81 Is business performance linked to organizational culture? A study from Tunisian SMEs through subjective measures
by Salim Morched & Anis Jarboui
October 2020, Volume 13, Issue 1
- 99-117 Influence of the biological age of the investor on decision-making in the secondary equity market
by Renu Isidore R. & P. Christie & C. Joe Arun - 118-139 Management offatwastandardisation on the practice ofbay’ ‘inahcontract in Malaysia: an analysis according tousul al-Fiqhandmura’aht al-Khilafmethod
by Fathullah Asni
March 2020, Volume 12, Issue 4
- 353-366 How does Islamic fintech promote the SDGs? Qualitative evidence from Indonesia
by Fahmi Ali Hudaefi
July 2020, Volume 12, Issue 4
- 561-577 Alipay entered Malaysia: a closer look at the new market entry strategy driven by Chinese tourists
by Boon Cheong Chew & Xiaobai Shen & Jake Ansell
August 2020, Volume 12, Issue 4
- 599-619 Socially responsible investment sukuk (Islamic bond) development in Malaysia
by Mahfuzur Rahman & Che Ruhana Isa & Ginanjar Dewandaru & Mohamed Hisham Hanifa & Nazreen T. Chowdhury & Moniruzzaman Sarker
June 2020, Volume 12, Issue 4
- 367-390 Research on trade credit – a systematic review and bibliometric analysis
by Debidutta Pattnaik & Satish Kumar & Ashutosh Vashishtha - 391-411 An analysis of the SME–bank match made in heaven: the case of New Zealand main banks and their relationship-managed SMEs
by Zakaria Boulanouar & Stuart Locke & Mark Holmes - 413-435 What’s in the brain for us: a systematic literature review of neuroeconomics and neurofinance
by Mrinalini Srivastava & Gagan Deep Sharma & Achal Kumar Srivastava & S. Senthil Kumaran - 437-464 Sell-side analysts and corporate acquisitions: case study findings
by Patric Andersson & Johan Graaf & Niclas Hellman - 465-484 Personality traits as predictor of cognitive biases: moderating role of risk-attitude
by Fawad Ahmad - 485-504 Investment behaviour of women entrepreneurs
by Jyoti M. Kappal & Shailesh Rastogi - 505-541 Limit order books: a systematic review of literature
by Abhinava Tripathi & Vipul & Alok Dixit - 543-560 Corporate governance and dividend policy in Sri Lankan firms: a data triangulation approach
by H. Kent Baker & Narayanage Jayantha Dewasiri & Sandaram P. Premaratne & Weerakoon Yatiwelle Koralalage
September 2020, Volume 12, Issue 4
- 579-597 Entrepreneurial microcredit support: the silver bullet for microenterprises success. The case of funds Mauricie in Quebec
by Ayi Gavriel Ayayi & Chantale Sidohon Dali
March 2020, Volume 12, Issue 3
- 301-314 An exploratory study onMusharakahSRI Sukuk for the development ofWaqfproperties/assets in Malaysia
by Nor Syahirah Zain & Zulkarnain Muhamad Sori
February 2020, Volume 12, Issue 3
- 333-352 Investor personality and investment performance: from the perspective of psychological traits
by Fatima Akhtar & Niladri Das
June 2019, Volume 14, Issue 2
- 213-228 Behavior biases and investment decision: theoretical and research framework
by Satish K. Mittal
May 2019, Volume 14, Issue 2
- 229-246 Challenging investment decision-making in pension funds
by Carl-Christian Trönnberg & Sven Hemlin - 247-269 Why non-Muslims subscribe to Islamic banking?
by Buerhan Saiti & Abubakar Aliyu Ardo & Ibrahim Guran Yumusak - 270-288 Defining and measuring market sentiments: a review of the literature
by Divya Aggarwal - 289-305 The early bird catches the retirement savings
by Lucía Rey-Ares & Sara Fernández-López & María Milagros Vivel-Búa & Rubén Lado-Sestayo
July 2019, Volume 13, Issue 1
- 37-49 The integration ofShariahcompliance in information system of Islamic financial institutions
by Abdullah Mohammed Ayedh & Wan A’tirah Mahyudin & Mohamad Subini Abdul Samat & Harith Hamidi Muhamad Isa
November 2019, Volume 13, Issue 1
- 16-36 Greenwashing and responsible investment practices: empirical evidence from Zimbabwe
by Posi Olatubosun & Sethi Nyazenga
January 2019, Volume 12, Issue 3
- 265-282 Symbolic representations of financial events in the Korean media
by Amee Kim
October 2019, Volume 12, Issue 3
- 283-300 Is religion (interest) an impediment to Nigeria’s financial inclusion targets by the year 2020?
by Umar Habibu Umar & Muhammad Bilyaminu Ado & Habibu Ayuba
November 2019, Volume 12, Issue 3
- 315-331 Will MiFID II tame the investment services industry of the Baltic Tigers?
by Maik Huettinger & Agnė Krašauskaitė
May 2019, Volume 12, Issue 2
- 137-157 A review paper on behavioral finance: study of emerging trends
by Aditya Sharma & Arya Kumar
August 2019, Volume 12, Issue 2
- 197-224 Designing a qualitative system dynamics model of crowdfunding by document model building
by Ali Haji Gholam Saryazdi & Ali Rajabzadeh Ghatari & Alinaghi Mashayekhi & Alireza Hassanzadeh - 225-242 Finance and the social mission: a quest for sustainability and inclusion
by Munacinga Simatele & Phindile Dlamini
July 2019, Volume 12, Issue 2
- 159-176 Research in market-calibrated option pricing analysis
by Sanjeet Singh & Nav Bhardwaj & Gagan Deep Sharma & Tuğberk Kaya & Mandeep Mahendru & Burak Erkut - 177-195 Intuitive forecasting and analytical reasoning: does investor personality matter?
by Rupali Misra & Sumita Srivastava & Devinder Kumar Banwet - 243-262 A critical assessment of retail sovereignsukukin Indonesia
by Raditya Sukmana
November 2019, Volume 12, Issue 1
- 1-23 Stock hunting or blue chip investments?
by Atul Shiva & Manjit Singh - 24-42 Financial inclusion and FinTech
by Hasnan Baber - 72-95 Bibliometric study on dividend policy
by Geetanjali Pinto & Shailesh Rastogi & Sanjeev Kadam & Arpita Sharma - 96-117 Towards a competency-based undergraduate qualification in risk management
by Johan Marx & Cecilia Jacoba de Swardt
July 2019, Volume 12, Issue 1
- 118-136 Collective action and UK wine investment fraud
by Karina Mari Olsen Einarsen & Lisa Jack
December 2019, Volume 12, Issue 1
- 43-71 Causes of failure among Malaysian female entrepreneurs
by Samer Al-Shami & Abdullah Al Mamun & Safiah Sidek & Nurulizwa Rashid
May 2019, Volume 11, Issue 4
- 456-478 Green accounting practices: lesson from an emerging economy
by Haruna Maama & Kingsley Opoku Appiah
June 2019, Volume 11, Issue 4
- 369-386 Omani SME perceptions towards Islamic financing systems
by Yasmeen Al Balushi & Stuart Locke & Zakaria Boulanouar - 387-410 Anti-money laundering developments in Iran
by Mahdi Salehi & Vahid Molla Imeny - 411-428 Stated preferences of Taiwanese investors for financial products
by Chun-Wen Liu & Chao Deng - 429-455 Groups, social processes and decision making in finance
by Alexandru Preda & Gulnur Muradoglu
June 2019, Volume 11, Issue 3
- 282-304 Measuring conduct risk in South African banks
by Antje Hargarter & Gary Van Vuuren - 305-327 Exploring the influence of revenue diversification on financial performance in the banking industry
by Rabia Asif & Waheed Akhter - 328-341 Islamic hedging for pilgrimage funds: case of Indonesia
by Rifki Ismal & Nurul Izzati Septiana
July 2019, Volume 11, Issue 3
- 342-351 Alliance cooperation joint ATM network: exploring the banking sector in Indonesia
by Krisna Damayanti & Lydia Setyawardani - 352-366 A systematic literature review on working capital management – an identification of new avenues
by Umar Nawaz Kayani & Tracy-Anne De Silva & Christopher Gan
June 2019, Volume 11, Issue 2
- 197-210 Modeling the effect of electronic banking expansion on profitability using neural networks and system dynamics approach
by Vahid Shahabi & Farshad Faezy Razi - 211-226 Potential application ofIstisna’financing in Malaysia
by Anisza Hasmawati & Azhar Mohamad - 260-279 P2P lending adoption by SMEs in Indonesia
by Monica Rosavina & Raden Aswin Rahadi & Mandra Lazuardi Kitri & Shimaditya Nuraeni & Lidia Mayangsari
May 2019, Volume 11, Issue 2
- 138-196 Financialisation and development: a case study of Ethiopia
by Anne Löscher - 227-243 Customer satisfaction with Ijarah financing
by Iman Adeinat & Naseem Al Rahahleh & M. Ishaq Bhatti - 244-259 Claimants’ views on total and permanent disability insurance claims
by Margaret Elizabeth Black & Lynda Roslyn Matthews & Michael J. Millington
May 2019, Volume 11, Issue 1
- 2-21 A study of prominence for disposition effect: a systematic review
by Syed Aliya Zahera & Rohit Bansal - 22-30 Malaysian banking: is the current practice ofibrā’(rebate) reflecting its true meaning?
by Muhammad Shahrul Ifwat Ishak - 31-59 Bank top management teams, disclosure,learning, survival and failure – 1990-2017
by John Holland - 60-72 Factors affecting investors’ decision regarding investment in Islamic Sukuk
by Andi Duqi & Hussein Al-Tamimi - 73-80 Securities markets and protection of small investors in public shareholding companies of United Arab Emirates
by Nashat Jaradt - 81-134 Environmental impact of economic growth, emission and FDI: systematic review of reviews
by Neha Saini & Monica Sighania
October 2018, Volume 10, Issue 4
- 346-362 Trade credit, SMEs and short-run survivorship: what we know and what we would like to know
by Belinda Laura Del Gaudio & Claudio Porzio & Vincenzo Verdoliva - 363-380 Handling default risks in microfinance: the case of Bangladesh
by Salina H.J. Kassim & Mahfuzur Rahman - 381-394 Determinants of overconfidence bias in Indian stock market
by Priya Kansal & Seema Singh