All Stories

  1. Managerial ability and firm value: A new perspective
  2. The Impact of Social Inclusion and Financial Development on CO2 Emissions: Panel Analysis from Developing Countries
  3. Energy Usage, Health Issues, and Pro-Environmental Behaviour: Exploring the Link and Promoting Energy Change in Kyrgyzstan
  4. Interconnectedness of Cryptocurrency Uncertainty Indices with Returns and Volatility in Financial Assets during COVID-19
  5. Investigation of half-normal model using informative priors under Bayesian structure
  6. Introduction
  7. Closing Remarks
  8. Islamic Financial Contracts
  9. Islamic Consumer Behavior
  10. Elements of Contract Theory
  11. Decision-Making by Islamic Economic Agents
  12. Applications of Our Approach to IFSs
  13. Islamic Microeconomics
  14. Issues in IFS Financial Engineering and Markets
  15. EMAS III-based analysis of European eco-management for energy efficiency investments
  16. Sustainable Solution to Finance Education in Developing World: Education Development Bank
  17. Integrating business and market intelligence to expedite service responsiveness: evidence from Malaysia
  18. Corporate vulnerability in the US and China during COVID-19: A machine learning approach
  19. Enterprise's Strategies to Improve Financial Capital under Climate Change Scenario – Evidence of the Leading Country
  20. The Impact of Financial Inclusion on CO2 Emissions
  21. Are Islamic and conventional banks decoupled? Empirical evidence from Turkey
  22. Institutional perspective of financial sector development: A multidimensional assessment
  23. Performance of islamic vs conventional banks in OIC countries: Resilience and recovery during Covid-19
  24. Green Energy Consumption and Inclusive Growth: A Comprehensive Analysis of Multi-Country Study
  25. Ratio of Two Independent Lindley Random Variables
  26. Graph theoretic approach to expose the energy-induced crisis in Pakistan
  27. The Impact of the Environment, Digital–Social Inclusion, and Institutions on Inclusive Growth: A Conceptual and Empirical Analysis
  28. Improved Approximation Scales for Unreplicated Factorial Experiments
  29. Environmentally Friendly Degradations Technology Breakthrough
  30. INCENTIVES, SOCIAL NORMS, AND BUSINESS CYCLE: AN EXAMPLE OF BUSINESS LOANS PROVISION BY ISLAMIC BANKS
  31. Raising capital amid economic policy uncertainty: an empirical investigation
  32. Toward Understanding Renewable Energy and Sustainable Development in Developing and Developed Economies: A Review
  33. Causality Analysis: The study of Size and Power based on riz-PC Algorithm of Graph Theoretic Approach
  34. Waste Bank-Socio-Economic Empowerment Nexus in Indonesia: The Stance of Maqasid al-Shariʻah
  35. Toward Understanding Renewable Energy and Sustainable Development in Developing and Emerging Economies: A Review
  36. Exchange Rates and Traded Goods Prices: Balassa–Samuelson Hypothesis
  37. Impact of COVID-19, Political, and Financial Events on the Performance of Commercial Banking Sector
  38. Bank stock valuation theories: do they explain prices based on theories?
  39. Empirical comparison of Shariah-compliant vs conventional mutual fund performance
  40. A Unified Model of Shariah Indices for Human Development and Prosperity
  41. A study on exponentiated Gompertz distribution under Bayesian discipline using informative priors
  42. ARDL as an Elixir Approach to Cure for Spurious Regression in Nonstationary Time Series
  43. Role of Islamic Banking during COVID-19 on Political and Financial Events: Application of Impulse Indicator Saturation
  44. Assessing Institutional Dynamics of Governance Compliance in Emerging Markets: The GCC Real Estate Sector
  45. Economic Policy Uncertainty, National Culture, and Corporate Debt Financing
  46. Do Deposit Insurance Systems Promote Banking Stability?
  47. A Cross-Sectoral Investigation of the Energy–Environment–Economy Causal Nexus in Pakistan: Policy Suggestions for Improved Energy Management
  48. Monitoring exchange rate instability in 12 selected Islamic economies
  49. Cash Holding and Firm Value in the Presence of Managerial Optimism
  50. Asymmetry and Leverage with News Impact Curve Perspective in Australian Stock Returns’ Volatility during COVID-19
  51. Contemporary Issues in Islamic Social Finance
  52. Cash Holding and Firm Value in the Presence of Managerial Optimism
  53. An Analysis of Trade Credit Behaviour of Indian Firms
  54. Energy-environment-economy causal nexus in Pakistan: A graph theoretic approach
  55. Towards a New Paradigm for Statistical Evidence in the Use of p-Value
  56. Bayesian inference for unit root in smooth transition autoregressive models and its application to OECD countries
  57. The Investment Performance of Ethical Equity Funds in Malaysia
  58. Dynamics and drivers of per capita CO2 emissions in Asia
  59. The Determinants of Credit Risk: An Evidence from ASEAN and GCC Islamic Banks
  60. ISLAMIC BANKING, COSTLY RELIGIOSITY, AND COMPETITION
  61. Is ‘oil and gas’ industry of ASEAN5 countries integrated with the US counterpart?
  62. Are tests of dividend policy robust to estimation techniques: The case of an emerging economy?
  63. Development in Copula Applications in Forestry and Environmental Sciences
  64. Ownership and control in a double decision framework for raising capital
  65. Strategic planning practices in the telecommunications industry: evidence from Saudi Arabia
  66. New evidence on fund performance in extreme events
  67. Robust Bayesian analysis of a multivariate dynamic model
  68. Recent development in copula and its applications to the energy, forestry and environmental sciences
  69. Customer satisfaction with Ijarah financing
  70. Key Issues and the Requirements for an Effective Enterprise Decision-Making Using an Ontology-Based GOAL-Framework for Evaluation of the Organizational Goals Achievement
  71. The impact of exchange rates on stock market returns: new evidence from seven free-floating currencies
  72. Developments in Risk Management in Islamic Finance: A Review
  73. Editorial note on the role of Islamic finance in mainstream finance
  74. AssessingSukukdefaults using value-at-risk techniques
  75. Skill or effort? Institutional ownership and managerial efficiency
  76. Recent developments on Islamic corporate governance (ICG)
  77. The new paradigm of Islamic corporate governance
  78. Test on yields of equivalently-rated bonds
  79. Measures of customers’ perception of car Ijarah financing
  80. The Role of Ownership and Governance Structure in Raising Capital: An International Study
  81. Are Vietnam and Chinese stock markets out of the US contagion effect in extreme events?
  82. GOAL-Toolkit Based Ontology for Information Entrepreneurs to Evaluate the Goals Achievement
  83. Tail dependence and information flow: Evidence from international equity markets
  84. Econometric Analysis of Model Selection and Model Testing
  85. An ontology-based goal framework to evaluate the level of the organizational goals achievement
  86. Co-movement measure of information transmission on international equity markets
  87. Hierarchical Forecasts of Agronomy-Based Data
  88. Gold price and stock markets nexus under mixed-copulas
  89. Heterodox Islamic Economics
  90. On ethnicity of idiosyncratic risk and stock returns puzzle
  91. Quantitative modeling of mathematical relationships in money, spending and the real economy
  92. New approach to Forecasting Agro-based statistical models
  93. Data-centric view of knowledge in information systems literature review
  94. Islamic Finance in the Light of Modern Economic Theory
  95. On ASEAN capital market and industry integration: A review.
  96. Conclusions
  97. Introduction
  98. Monopolistic Screening
  99. The economic modeling of migration and consumption patterns in the English-speaking world
  100. New approach to an old issue related to ordered-choice endogenous models
  101. New evidence on the impact of fees on mutual fund performance of two types of funds
  102. Financial management: The impact of performance indicators on the organizational profitability
  103. Investor Sentiment and Idiosyncratic Volatility Puzzle: Evidence from the Chinese Stock Market.
  104. Islamic Banks Credit Risk: A Panel Study
  105. On the dividend smoothing, signaling and the global financial crisis
  106. On Sharia’a-compliance, positive assortative matching, and return to investment banking
  107. Corporate governance practices in emerging markets: The case of GCC countries
  108. On Sharia’a-Compliance and Return to Investment
  109. The key performance indicators (KPIs) and their impact on overall organizational performance
  110. Volatility linkages in the spot and futures market in Australia: a copula approach
  111. Recent developments in the organization goals conformance using ontology
  112. Masking of volatility by seasonal adjustment methods
  113. Optimal Contracting Model in a Social Environment and Trust-Related Psychological Costs
  114. Human Capital Need in Islamic Finance Education: A Case of Australia
  115. Copula model dependency between oil prices and stock markets: Evidence from China and Vietnam
  116. Diversification evidence from international equity markets using extreme values and stochastic copulas
  117. Confidence ellipsoids based on a general family of shrinkage estimators for a linear model with non-spherical disturbances
  118. Employees' perspective of organizational service quality orientation
  119. Supply Chain Management
  120. Toward Understanding Islamic Corporate Governance Issues in Islamic Finance
  121. Development in legal Issues of Corporate Governance in Islamic Finance
  122. Does issuing government debt needed as a Ponzi scheme in Islamic finance
  123. Islamic banking and finance: on its way to globalization
  124. Development in Islamic banking: a financial risk‐allocation approach
  125. Introduction
  126. Developments in Islamic Banking
  127. Summary and Conclusions
  128. Is quality management a prime requisite for globalization? Some facts from the sports industry
  129. Null Distribution of the Small Sample Mean Correlation Coefficient: An Application to Medical Research
  130. Optimal model for warehouse location and retailer allocation
  131. Why interest‐free banking and finance movement failed in Pakistan
  132. Econometric analysis of marketing potential of OIC countries
  133. An efficient serial distributed arithmetic algorithm for FPGA implementation of digital up conversion
  134. An econometric analysis of some major manufacturing industries
  135. The Role of Quality Auditing in the Continuous Improvement of Quality: Lessons from Pakistani Experience
  136. Towards optimal testing of an hypothesis based on dynamic technology transfer model
  137. An evaluation of ISO 9000 registration practices: a case study of sports goods industry
  138. Recent development in econometric analysis of model selection
  139. Environmetric analysis in complex surveys
  140. On Testing for a Change-Point in Variance of Normal Distribution
  141. Bayesian analysis of disturbances variance in the linear regression model under asymmetric loss functions
  142. On optimal testing for the equality of equicorrelation: An example of loss in power
  143. On the construction of tolerance interval for two-way random effect model
  144. Principal component analysis for grouped data—a case study
  145. On Deming’s principle of human resource management: a statistical perspective
  146. Predictive inference on equicorrelated linear regression models
  147. On Estimated Projection Pursuit-Type Crámer–von Mises Statistics
  148. Optimum influence of initial observations in regression models with AR(2) errors
  149. Some Optimal Tests for the Equicorrelation Coefficient in Standard Symmetric Multivariate Normal Distribution
  150. Optimal testing for equicorrelated linear regression models
  151. On Testing for Equicorrelation in Random Coefficient Models
  152. Assessment of hepatic extraction of insulin by testing the small sample mean correlation coefficient
  153. Optimal Testing for Serial Correlation in a Large Number of Small Samples
  154. A BETA-OPTIMAL TEST OF THE EQUICORRELATION COEFFICIENT
  155. Development of Legal Issues of Corporate Governance for Islamic Banking
  156. Islamic Finance Education at La Trobe University