Content
October 2024, Volume 17, Issue 6
- 1291-1319 Co-movements and spillovers in GCC financial and commodity markets during turbulent periods: a quantile VAR connectedness approach
by Hind Alnafisah & Sahar Loukil & Azza Bejaoui & Ahmed Jeribi
September 2024, Volume 17, Issue 6
- 1175-1195 Investigating the role of Fintech innovations and green finance toward sustainable economic development: a bibliometric analysis
by Bakir Illahi Dar & Nemer Badwan & Jatinder Kumar - 1196-1212 The new legalities of Islamic contractual interpretation: institutional frameworks and the displacement of intention
by Jonathan G. Ercanbrack & Ali Ali - 1213-1231 Exploring the stock market development and sustainable development nexus: insights from emerging market economies
by Yilmaz Bayar & Valentin Toader & Marius Dan Gavriletea & Oguzhan Yelkesen - 1232-1243 A proposed model for Zakah on financial instruments: accounting approach
by Muhannad Ahmad Atmeh & Bassam Mohammad Maali & Usama Fendi - 1244-1266 Does diversity in top management and boards affect ESG performance? Evidence from Islamic and conventional banks in the MENA region
by Mustafa Raza Rabbani & Madiha Kiran & Abul Bashar Bhuiyan & Ahmad Al-Hiyari - 1267-1290 Economical rights versus God’s rights: criticising of the implementation Shariah economic in Indonesia
by Muhammad Syauqi Bin-Armia & Muhammad Siddiq Armia & Muhammad Fazlurrahman Syarif - 1320-1341 Factors affecting SMEs’ choice of banks in Oman: an emphasis on Islamic banks
by Mohammad Dulal Miah & Norizan Mohd. Kassim & Mohammad Zain & Mohammad Usman
August 2024, Volume 17, Issue 6
- 1065-1081 Sustainable and responsible investment (SRI) Sukuk: lessons from Khazanah’s Sukuk Ihsan
by Ziyaad Mahomed & Azmy Mahbot - 1082-1099 Heterogeneous stock market impact of Russia–Ukraine War for oil and gas companies
by António Miguel Martins & Pedro Correia & Ricardo Gouveia - 1100-1119 The effect of corporate governance on financial fragility in non-financial companies: a Minskyian approach
by Ibrahim N. Khatatbeh & Hamdi W. Samman & Wasfi A. Al Salamat & Rasmi Meqbel - 1120-1135 The possibility of establishing an endowment (Waqf) from the Islamic financial institutions’ provisioned funds in the United Arab Emirates
by Sofien Bessais & Habeebullah Zakariyah & Azman Mohd Noor - 1136-1154 Application of tàawun (mutual assistance) in cross-subsidisation of surplus among different takaful operators: an exploratory study in Malaysia
by Md. Habibur Rahman & Md. Faruk Abdullah & Noor Mohammad Osmani & Nur Suhailah Zakiyyah Binti Aziz - 1155-1174 An insight into the signaling role of Sharia status: a case from an emerging IPO market
by Ali Albada
July 2024, Volume 17, Issue 5
- 936-954 Sand or grease effect? The impact of Islamic banking on the social mission of microfinance institutions
by Md Imran Hossain & Adamu Jibir & Md Aslam Mia & Musa Abdu & Swati Chauhan - 974-990 Whistleblowing likelihood scale in the lights of Kohlberg and Maqasid Shariah
by Hamdy Abdullah & Fahru Azwa Mohd Zain & Sheikh Ahmad Faiz Sheikh Ahmad Tajuddin & Nurul Aisyah Awanis A Rahim & Hazrin Izwan Che Haron & Muhammad Takiyuddin Abdul Ghani
August 2024, Volume 17, Issue 5
- 849-870 Explaining the role of integrated monetary banking system on transparency of interest-free institutions transactions: a case study at interest-free institutions of Iran
by Mehrdad Leylabi & Sara Malekan & Mehdi Majidpour - 871-882 Constructing Sukuk-linked Awqaf (endowment) model
by Rifki Ismal - 883-914 Interconnectedness between Islamic and conventional banks: a multilayer network view
by Federica Miglietta & Matteo Foglia & Gang-Jin Wang - 915-935 The impact of Basel III regulations on solvency and credit risk-taking behavior of Islamic banks
by Khadija Ichrak Addou & Zakaria Boulanouar & Zaheer Anwer & Afaf Bensghir & Shamsher Mohamad Ramadilli Mohammad - 955-973 The impact of the CEO’s Islamic religiosity on tax aggressive behavior in family firms
by Luai Abu-Rajab & Tensie Steijvers & Maarten Corten & Nadine Lybaert & Malek Alsharairi - 991-1013 Oil market volatility and foreign ownership: the case of Saudi Arabia
by Abdulrahman Alhassan & Lakshmi Kalyanaraman & Hanan Mohammed Alhussayen - 1014-1026 Stock market effects of military conflicts on defence industry
by António Miguel Martins - 1027-1043 Are Islamic banks really resilient to crises: new evidence from the COVID-19 pandemic
by Abdelaziz Chazi & Ali Mirzaei & Zaher Zantout - 1044-1063 Factors affecting financial engineering and product development in Islamic Financial Institutions
by Surayyo Shaamirova & Mehmet SARAÇ
July 2024, Volume 17, Issue 4
- 621-635 Examining preference shares from the Shari’ah perspective: a systematic literature review
by Wafa Mohammed Ali Nasr & Aznan Hasan - 636-661 Impact of banking subsystem liquidity creation on real economic output
by Mohammed Mahmoud Mantai & Izlin Ismail & Obiyathulla Ismath Bacha - 662-692 Volatility spillover and dynamic correlation between Islamic, conventional, cryptocurrency and precious metal markets during the immediate outbreak of COVID-19 pandemic
by Muhammad Mahmudul Karim & Abu Hanifa Md. Noman & M. Kabir Hassan & Asif Khan & Najmul Haque Kawsar - 693-710 Creating a religious identity and impression management by Islamic banks
by Bassam Mohammad Maali & M. Kabir Hassan & Mamunur Rashid - 711-729 Exploring IFRS in Islamic finance: a bibliometric and coding analysis of emerging topics and perspectives
by Davide Calandra & Federico Lanzalonga & Paolo Pietro Biancone - 730-745 Security tokens, ecosystems and financial inclusion: Islamic perspectives
by Habib Ahmed - 746-769 How do stock markets react to dividend announcements during the COVID-19 pandemic? Evidence from the GCC markets
by Jamal Ali Al-Khasawneh & Heba Ali & Ahmed Hassanein - 770-788 Islamic microfinance services: a catalyst for poverty reduction in eastern Ethiopia
by Anwar Adem Shikur & Erhan Akkas - 789-810 Work ethic, cultural impact and perceived performance – innovative insights from three countries
by Marija Runić-Ristić & Tijana Savić Tot & Nikolina Ljepava & Vilmoš Tot - 811-830 Pricing risk contribution of general Takaful by spatial generalized linear mixed models at the level of tariff cells
by Reza Hajipour Farsangi & Ghadir Mahdavi & Majid Jafari Khaledi & Murat Büyükyazıcı & Mitra Ghanbarzadeh - 831-848 Capital structure and earnings management: evidence from Saudi Arabia
by Abdullah Alsaadi
June 2024, Volume 17, Issue 3
- 485-508 Predicting financial distress in non-financial sector of Pakistan using PCA and logit
by Ehsanul Hassan & Muhammad Awais-E-Yazdan & Ramona Birau & Peter Wanke & Yong Aaron Tan - 509-531 Interplay of financial market performance, macroeconomic indicators and business sentiment: a comprehensive study of the Turkish economy
by Bilgehan Tekin & Nemer Badwan - 532-551 Do you want my loyalty? Then understand what drives my trust – a conventional and Islamic banking perspective
by Mornay Roberts-Lombard & Daniël Johannes Petzer - 552-571 Governance of Islamic social finance: learnings from existing literature
by Rodame Monitorir Napitupulu & Raditya Sukmana & Aam Slamet Rusydiana - 599-617 Designing waqf-based financing model for livestock project: empirical evidence from Indonesia
by Raditya Sukmana & Ririn Tri Ratnasari & Rifaldi Majid & Muhammad Hakimi Mohd Shafiai
May 2024, Volume 17, Issue 3
- 423-440 Exploring the greenium in the green Sukuk universe: evidence from the primary market
by Burak Pirgaip & Ozgur Arslan-Ayaydin - 441-460 Islamic finance principles and performance of micro, small and medium enterprises (MSMEs) in Makindye Division Kampala District Central Uganda
by Hakimu Buyondo - 461-484 Integrating environmental, social and governance (ESG) principles with Maqasid al-Shariah: a blueprint for sustainable takaful operations
by Fahru Azwa Mohd Zain & Siti Fariha Muhamad & Hamdy Abdullah & Sheikh Ahmad Faiz Sheikh Ahmad Tajuddin & Wan Amalina Wan Abdullah
July 2024, Volume 17, Issue 3
- 401-422 Impact of capital inflows on bank profitability: a comparative analysis of dual banking systems
by Osamah AlKhazali & Iness Aguir & Mohamad Helmi & Ali Mirzaei - 572-598 Shari’ah governance and transparency: evidence from stock price synchronicity of Islamic banks
by Majdi Anwar Quttainah & Yosra BenSaid
April 2024, Volume 17, Issue 2
- 252-273 Ethical banking behavior among millennials and Gen-Z in Malaysia
by Siti Aisyah Zahari & Shahida Shahimi & Suhaili Alma'amun & Mohd Mursyid Arshad - 345-365 Creditworthiness pattern prediction and detection for GCC Islamic banks using machine learning techniques
by Samar Shilbayeh & Rihab Grassa - 379-399 The impact of inflation on bank stability: evidence from the MENA banks
by Ali Awdeh & Chawki El Moussawi & Hassan Hamadi
March 2024, Volume 17, Issue 2
- 328-344 Small firm auditing using the analytical procedures (APs) in a politically challenging context
by Muiz Abu Alia & Islam Abdeljawad & Mamunur Rashid & Renad Anwar Frehat - 366-378 Real estate and business fixed assets in the early Islamic economy from a Zakah perspective
by Zaid Al-Aifari & Mehmet Bulut & Monzer Kahf
January 2024, Volume 17, Issue 2
- 233-251 ESG practices and bank efficiency: new evidence from an oil-driven economy
by Ali Shaddady & Faisal Alnori - 274-291 Theorizing Islamic entrepreneurship from an Islamic governance perspective
by Iznan Tarip
February 2024, Volume 17, Issue 2
- 292-309 Ownership structure, board characteristics, and performance of Indonesian Islamic rural banks
by Muhamad Umar Mai & Ruhadi Nansuri & Setiawan Setiawan - 310-327 Exploring the moderating role of religious orientation on Islamic Fintech adoption
by Ayman Abdalmajeed Alsmadi
January 2024, Volume 17, Issue 1
- 146-169 The national-level potential of Zakat and its integration into the fiscal framework: sector-specific insights from the economy of Bangladesh
by M. Kabir Hassan & M. Zakir Hossain Khan & Mohammad Ayub Miah & Md. Karimul Islam - 195-212 Push – pull – mooring determinants of non-Muslims’ withdrawal from Islamic banking: evidence from Malaysia
by Hassanudin Mohd Thas Thaker & Bawani Lelchumanan & Abdollah Ah Mand & Ahmad Khaliq - 213-231 Examining the demand side factors of green banking adoption – a study exploring the case of Oman
by Ubais Parayil Iqbal & Sobhith Mathew Jose & Muhammad Tahir
November 2023, Volume 17, Issue 1
- 45-62 An analysis of spatial effects of terrorism on stock market returns in the Middle East countries
by Ali Rezazadeh & Vahid Nikpey Pesyan & Azhdar Karami - 63-85 Antecedents of Islamic welfare: productivity, education, and the financial aspect
by Meri Indri Hapsari & Amin Hanif Mahmud & Sri Herianingrum & R. Moh Qudsi Fauzy & Siti Ngayesah Ab. Hamid & Arka Prabaswara & Lina Mawaddatul Masfiyah
October 2023, Volume 17, Issue 1
- 16-44 Bank-specific factors, market conditions and the riskiness of Islamic and conventional banks: evidence from recent quantile approaches
by Resul Aydemir & Huzeyfe Zahit Atan & Bulent Guloglu
May 2023, Volume 17, Issue 1
- 1-15 Predicting the intention to use Paytech services by Islamic banking users
by Ana Irimia-Diéguez & Gema Albort-Morant & Maria Dolores Oliver-Alfonso & Shakir Ullah
December 2023, Volume 17, Issue 1
- 86-101 The sustainability and performance ofBank Wakaf Mikro: waqf-based microfinance in Indonesia
by Inka Yusgiantoro & Putra Pamungkas & Irwan Trinugroho - 102-123 Prospects of Islamic capital market in Uzbekistan: issues and challenges
by Alam Asadov & Ikhtiyorjon Turaboev & Ramazan Yildirim - 124-145 Assessing the impact of external determinants on the social performance of Islamic banks
by Admir Meskovic & Alija Avdukic & Emira Kozarevic - 170-194 An empirical analysis of the dynamic impact of DeFi on GCC foreign exchange forward markets: portfolio implication
by Ho Thuy Tien & Nguyen Mau Ba Dang & Ngo Thai Hung
October 2023, Volume 16, Issue 6
- 1306-1325 Evaluating the technical efficiency of Saudi Arabian telecommunications companies using window DEA and AHP techniques
by Amr Abdel-Halim & Mohammed Al Khars & Ahmad Alnasser
June 2023, Volume 16, Issue 6
- 1089-1106 Shariah board characteristics and Islamic banks’ performance: a meta-analysis
by Rihab Grassa & Sherif El-Halaby & Hichem Khlif - 1107-1140 Banking system stability in the MENA region: the impact of market power and capital requirements on banks’ risk-taking behavior
by Miroslav Mateev & Tarek Nasr - 1141-1158 Revisiting Zakat with a distribution of weighted Shapley value
by Issam Tlemsani & Robin Matthews & Mohamed Ashmel Mohamed Hashim - 1159-1180 Do national culture and economic freedom affect bank risk-taking behavior? Evidence from GCC countries
by Tanzina Akhter & Zairihan Abdul Halim & Saima Mehzabin & Ahanaf Shahriar & Md. Abul Kalam Azad
August 2023, Volume 16, Issue 6
- 1219-1247 Exploring financial inclusion in MENA countries: an entropy weight approach
by Naveenan Ramaian Vasantha & Chee Yoong Liew & Ploypailin Kijkasiwat
July 2023, Volume 16, Issue 6
- 1181-1200 An aspirational hope of a Sharīʿah-based microfinance model to alleviate extreme poverty
by Mohammad Khalequzzaman & Asmak Ab Rahman & Amirrudin Kamsin - 1201-1218 Islamic economics and finance instructional leadership and curriculum practices: a case study of selected public universities in Saudi Arabia
by Mohamed Abdeltawab Ibrahim & Arnida Abdullah & Ismi Arif Ismail & Soaib Asimiran
September 2023, Volume 16, Issue 6
- 1248-1268 Equity financing and Islamic bank stability: evidence from Malaysia and Indonesia
by Norfaizah Othman & Mariani Abdul-Majid & Aisyah Abdul-Rahman - 1269-1286 Intellectual capital disclosure (ICD) in Islamic banks: does the diversity of Shariah committee matters?
by Syaima Adznan & Zulkarnain Bin Muhamad Sori & Shamsher Mohamad - 1287-1305 Predicting the future financial performance of Islamic banks: a sentiment analysis approach
by Javid Iqbal & Muhammad Khalid Sohail & Muhammad Kamran Malik
April 2023, Volume 16, Issue 5
- 910-927 Compliance with investment account holders’ transparency and disclosure requirement: evidence from the Middle East and North Africa region
by Rahma Tahri & Mouna Boujelbéne & Khaled Hussainey & Sherif El-Halaby - 928-954 Motives for participation in halal food standard implementation: an empirical study in Malaysian halal food industry
by Irwandi Jaswir & Dian Permata Sari & Mohd Radzi bin Haji Che Daud & Raditya Sukmana - 1030-1054 Islamic banking in Bangladesh: a literature review and future research agenda
by M. Kabir Hassan & Muhammed Tarık İslam & Zobayer Ahmed & Jahidul Islam Sarker
May 2023, Volume 16, Issue 5
- 1055-1070 Experiment on interest-free microfinance products
by Abdulahi Ahmed Wazir & Sedat Durmuşkaya - 1071-1087 Takaful funeral; an innovation for Islamic insurance product
by Desmadi Saharuddin & M. Arief Mufraini & Abdul Ghoni & Inayatul Chusna & Ade Sofyan Mulazid & Supriyono Supriyono
January 2023, Volume 16, Issue 5
- 873-891 Hospitality management in times of crisis: a corporate social responsibility perspective
by Mousa Alsheyab & Nela Filimon & Francesc Fusté-Forné - 892-909 Role of risk disclosure on creditworthiness and driving forces of risk disclosure of banks: Islamic vs conventional banks
by Md. Bokhtiar Hasan & Mustafa Raza Rabbani & Tapan Sarker & Tanzila Akter & Shaikh Masrick Hasan
March 2023, Volume 16, Issue 5
- 955-974 Influence of oil price fluctuations on the network connectedness between oil, GCC Islamic and conventional financial markets
by Taicir Mezghani & Mouna Boujelbène Abbes - 975-995 Diversification and performance of microfinance institutions: does Islamic microfinance model matter?
by Asma Ben Salem & Ines Ben Abdelkader - 996-1008 Political risk and portfolio performance: implications for Shariah-compliant investors
by Muhammad Wajid Raza & Muhammad Tahir Suleman & Adam Zaremba - 1009-1029 Are donor funds used effectively? An examination of Islamic and conventional microfinance institutions
by Toka S. Mohamed & Mohammed M. Elgammal
January 2023, Volume 16, Issue 4
- 701-715 Shariah capabilities and value propositions of Islamic banking
by Karim Ullah & Muhammad Ashfaque & Muhammad Atiq & Muhammad Khan & Arif Hussain - 716-733 Financial analysts’ personal values, perceived behavioural risk and investment decisions in evaluating CSR
by Ahmad Usman Shahid & Hafiza Sobia Tufail & Hafiz Yasir Ali & Joane Jonathan - 819-834 Economic and political factors on herding in Islamic GCC stock markets during COVID-19 pandemic
by Ooi Kok Loang & Zamri Ahmad - 835-855 Developing maqasid index for Islamic CSR: the case of Ummah’s Endowment Fund in Indonesia
by Ascarya Ascarya & Atika Rukminastiti Masrifah
February 2023, Volume 16, Issue 4
- 856-872 Connectedness analysis of price return index among Malaysian economic sectors
by Norzalina Ahmad & Hazrul Shahiri & Safwan Mohd Nor & Mukhriz Izraf Azman Aziz
January 2023, Volume 16, Issue 3
- 593-620 From revolutions to institutions: the experience of Arab reform
by Islam Abdelbary
March 2023, Volume 16, Issue 2
- 405-425 IPO valuation in an emerging market – a study in Iran
by Hanieh Hekmat & Ali Rahmani & Hassan Yazdifar
January 2023, Volume 16, Issue 1
- 210-225 The heterogeneous effect of leverage on firm performance: a quantile regression analysis
by Wafa Ghardallou
December 2022, Volume 16, Issue 4
- 734-755 Toward the development of an Islamic banking sustainability performance index
by Rym Ammar & Sonia Rebai & Dhafer Saidane - 756-776 The impact of the prospect theory value on the relationship between liquidity risk and returns
by Hamzeh Hosseinpour & Ahmad Khodamipour & Omid Pourheidari - 777-801 Islamic banking, efficiency and societal welfare: a machine-learning, agent-based study
by Efstathios Polyzos & Aristeidis Samitas & Konstantinos Syriopoulos - 802-818 A study of cash waqf contribution between millennials of Malaysia and Indonesia
by Anwar Allah Pitchay & Raditya Sukmana & Ririn Tri Ratnasari & Mohamad Isa Abd Jalil
November 2022, Volume 16, Issue 4
- 669-686 The impact of financial management practices on accountability of Islamic social enterprise (ISE)
by Muhammad Iqmal Hisham Kamaruddin & Sofiah Md. Auzair - 687-700 Lender’s position in the profit and loss sharing Islamic finance: an analytical perspective of Izutsu’s hypotheses on “Islam” and “Hilm”
by Yasushi Suzuki & Mohammad Dulal Miah
October 2022, Volume 16, Issue 3
- 464-481 Regime specific spillover between Dow Jones Islamic Market World Index, Islamic gold-backed crypto currencies and the blockchain halal index
by Yousra Trichilli & Mouna Boujelbéne - 482-497 Zakat payment from cryptocurrencies and crypto assets
by Aishath Muneeza & Saeed Awadh Bin-Nashwan & Magda Ismail Abdel Moshin & Ismail Mohamed & Abdelrahman Al-Saadi - 498-515 Cash holdings and firm performance: empirical analysis from Shariah-compliant and conventional corporations
by Faisal Alnori & Abdullah Bugshan
July 2022, Volume 16, Issue 3
- 429-447 The intention of small and medium enterprises' owners to participate in waqf: the case of Malaysia and Indonesia
by Nisful Laila & Ririn Tri Ratnasari & Shafinar Ismail & Putri Aliah Mohd Hidzir & Mohd Halim Mahphoth
November 2022, Volume 16, Issue 3
- 516-538 Do trust and country governance affect credit growth in GCC countries?
by Mohamed Albaity & Ray Saadaoui Mallek & Hussein A. Hassan Al-Tamimi & Philip Molyneux - 539-556 The asymmetrical linkage between oil price and banking stability in the MENA region
by Ahmed Rufai Mohammad & Sirajo Aliyu - 557-575 Exploring the dynamics of bank liquidity holding in Islamic and conventional banks
by Khalil Yahya Mohammed Abdo & Abu Hanifa Md. Noman & Mohamed Hisham Hanifa - 647-668 Does the conventional money market overnight rate influence the investment rate of Islamic deposits? Evidence from Malaysia
by Jingya Li & Ming-Hua Liu & Keshab Shrestha
September 2022, Volume 16, Issue 3
- 448-463 Monetary transmissions mechanism for Islamic capital markets: evidence from Markov switching dynamic regression approach
by Zaheer Anwer & Ahmed Sabit & M. Kabir Hassan & Andrea Paltrinieri
December 2022, Volume 16, Issue 3
- 576-592 Covid-19 and informational efficiency in Asian emerging markets: a comparative study of conventional and Shariah-compliant stocks
by Muhammad Wajid Raza & Bahrawar Said & Ahmed Elshahat - 621-646 Sukuk and bond dynamics in relation to exchange rate
by Syed Mabruk Billah & Thi Thu Ha Nguyen & Md Iftekhar Hasan Chowdhury
July 2022, Volume 16, Issue 2
- 366-383 Capital structure dynamics ofShariah-compliant vs noncompliant firms: evidence from Pakistan
by Saeed Akbar & Shehzad Khan & Zahoor Ul Haq & Muhammad Ibrahim Khan
November 2022, Volume 16, Issue 2
- 384-404 Providing an Islamic approach of monetary systems
by Mohamad Mehdi Mojahedi Moakhar & Mahmoud Esavi & Amir Khademalizadeh & Fathollah Tari
January 2022, Volume 16, Issue 2
- 253-273 Risk perception and cost of capital in emerging market projects using dynamic conditional correlation model
by Farman Afzal & Ayesha Shehzad & Hafiz Muhammad Rehman & Fahim Afzal & Mohammad Mushfiqul Haque Mushfiqul Haque Mukit
March 2022, Volume 16, Issue 2
- 274-290 Explanation and classification of technological entrepreneurship financing policies: lessons from Iran
by Mohsen Motiei - 291-309 Are Shariah-compliant firms less prone to stock price crash risk? Evidence from Malaysia
by Muhammad Haseeb & Nurul Shahnaz Mahdzan & Wan Marhaini Wan Ahmad - 310-322 Islamic Finance an alternative mode for short term financing – working capital management
by Umar Nawaz Kayani
June 2022, Volume 16, Issue 2
- 323-342 The effects of foreign currency exposure and Sharī’ah-compliant status on financial hedging strategy
by Ruzita Abdul-Rahim & Adilah Abd Wahab & Mohammad Hudaib - 343-365 Congruity or dispel? A segmented bibliometric analysis of Sukuk structures
by Adeel Nasir & Umar Farooq & Kanwal Iqbal Khan & Ather Azim Khan
April 2022, Volume 16, Issue 1
- 1-18 Examining sustainable Shari’ah compliance under shirkah-ul-milk: does Shari’ah-compliant risk matter
by Mohammad Nazim Uddin - 19-33 Ownership in Islamic banks: how home country development influences the performance of foreign Islamic banks
by Andrew Tek Wei Saw & Siong Hook Law & Ribed Vianneca W. Jubilee & Seng Loong Chang
June 2022, Volume 16, Issue 1
- 103-129 Investigating similarities between Islamic and conventional banks in GCC countries: a dynamic time warping approach
by Mohamed Sadok Gassouma & Adel Benhamed & Ghassen El Montasser - 130-153 Strategies implementing cash waqf system for Baitul Maal wat Tamwil to improve its commercial and social activities
by Ascarya Ascarya & Atika Rukminastiti Masrifah
July 2022, Volume 16, Issue 1
- 154-174 Twelve years of research inThe International Journal of Islamic and Middle Eastern Finance and Management: a bibliometric analysis
by Wu Yihua & Fanchen Meng & Muhammad Farrukh & Ali Raza & Imtiaz Alam - 175-191 Islamic approach to corporate social responsibility: an international model for Islamic banks
by Aida Hanic & Edib Smolo - 192-209 The application of hibah al-ʿumra in disbursement of family Takāful benefits: an exploratory study
by Md. Habibur Rahman & Md. Faruk Abdullah & Muhammad Nazmul Hoque & Abu Umar Faruq Ahmad
May 2022, Volume 16, Issue 1
- 34-58 Evolution of trust in hawala networks – business relationships analysis from inception to maturity
by Khurram Sharif & Mohd. Nishat Faisal & Norizan Kassim & Mohamed Zain - 59-80 Volatility spillover effect between Pakistan and Shanghai Stock Exchanges using copula and dynamic conditional correlation model
by Fahim Afzal & Tonmoy Toufic Choudhury & Muhammad Kamran - 81-102 Profit- and loss-sharing partnership: the case of the two-tier mudharaba in Islamic banking
by Amine Ben Amar & AbdelKader O. El Alaoui
January 2022, Volume 15, Issue 6
- 1009-1018 An alternative model for Islamic venture capital firms
by Oussama Gafrej & Mouna Boujelbéne - 1019-1034 An analysis of onlinesadaqahacceptance among university graduates in Malaysia
by Hanudin Amin
February 2022, Volume 15, Issue 6
- 1035-1052 Voluntary disclosure-cost of equity nexus and the moderating role of corporate governance: evidence from an extremely politically unstable context
by Muiz Abu Alia & Islam Abdeljawad & Sara Emad Jallad & Mamunur Rashid - 1072-1087 Impact of Qard-al-Hasan (interest-free loan) program in reducing multidimensional poverty: an evidence from the southwest Bangladesh
by Farah Muneer & Foyasal Khan - 1088-1108 Asymmetric dependence structures and decoupling hypothesis: Islamic versus conventional equity indices with copula approach
by Fatma Houidi & Siwar Ellouze
March 2022, Volume 15, Issue 6
- 1053-1071 Corporate governance of state-owned enterprises in Iran: an exploratory pathology
by Vahid Beygi & Mohammad Abooyee Ardakan & Seyyed Mohammad Moghimi - 1109-1126 Determining intention to choose Islamic financial products using the attitude–social influence–self-efficacy (ASE) model: the case of Turkey
by Metin Saygılı & Sedat Durmuşkaya & Nihal Sütütemiz & Ahmet Yağmur Ersoy - 1127-1149 Volatility spillover effects between oil and GCC stock markets: a wavelet-based asymmetric dynamic conditional correlation approach
by Ho Thuy Tien & Ngo Thai Hung - 1150-1164 Toward the Black–Litterman with Shariah-compliant asset pricing model: a case study on the Indonesian stock market during the COVID-19 pandemic
by Retno Subekti & Abdurakhman & Dedi Rosadi
February 2022, Volume 15, Issue 5
- 924-942 The impact of zakat in poverty alleviation and income inequality reduction from the perspective of gender in West Java, Indonesia
by Qurroh Ayuniyyah & Ataul Huq Pramanik & Norma Md Saad & Muhammad Irwan Ariffin - 986-1005 Exploring customer engagement value from relationship benefits
by Alireza Tourchian & Samad Aali & Naser Sanoubar & Alireza Bafandeh Zendeh
January 2022, Volume 15, Issue 5
- 943-966 Intellectual capital disclosure and financial performance nexus in Islamic and conventional banks in the GCC countries
by Erhan Akkas & Mehmet Asutay - 967-985 Factors influence intention of management of Shariah-compliant companies to participate in Islamic voluntary charity
by Anwar Allah Pitchay
May 2022, Volume 15, Issue 4
- 681-698 The contribution of Shariah-Compliant products to SDGs attending through the pace of economic growth: an empirical evidence from Pakistan
by Muhammad Abubakar Siddique & Mirajul Haq & Memoona Rahim
January 2022, Volume 15, Issue 2
- 441-460 Infaqduring movement lockdown: the perspective from social responsibility theory
by Mohamad Isa Abd Jalil & Suddin Lada & Anwar Allah Pitchay & Mohd Ashari Bakri & Mohd Fahmi Ghazali & Mohamad Rizal Abdul Hamid - 461-478 COVID-19 pandemic and risk dynamics of financial markets in G7 countries
by Mohammad Ashraful Mobin & M. Kabir Hassan & Airil Khalid & Ruzita Abdul-Rahim
March 2022, Volume 15, Issue 2
- 223-235 COVID-19 and GCC stock market performance: an analysis of the boon (financial stimulus package) and curse (oil price plunge) effects
by Shinaj Valangattil Shamsudheen & Mudeer Ahmed Khattak & Aishath Muneeza & Makeen Huda - 236-254 Designing micro-fintech models for Islamic micro financial institutions in Indonesia
by Ascarya Ascarya & Ali Sakti
December 2021, Volume 16, Issue 2
- 234-252 Religion vs ethics: hedge and safe haven properties of Sukuk and green bonds for stock markets pre- and during COVID-19
by Muhammad Abubakr Naeem & Mustafa Raza Rabbani & Sitara Karim & Syed Mabruk Billah
November 2021, Volume 15, Issue 5
- 865-883 Allocation discretion, price discounts and returns in Turkish initial public offerings
by Lokman Tutuncu
December 2021, Volume 15, Issue 5
- 829-846 Empathy or perceived credibility? An empirical study of Muslim donating behaviour through online charitable crowdfunding in Indonesia
by Rahmatina Awaliah Kasri & Esmeralda Indriani - 847-864 The actualization ofmaqāṣid al-Sharīʿahin Islamic finance: a conceptual framework
by Abu Talib Mohammad Monawer & Noor Naemah Abdul Rahman & Ameen Ahmed Abdullah Qasem Al-Nahari & Luqman Haji Abdullah & Abdul Karim Ali & Achour Meguellati - 884-902 Factors affecting sukuk market development: empirical evidence from sukuk issuing economies
by Ameenullah Aman & Asmadi Mohamed Naim & Mohamad Yazid Isa & Syed Emad Azhar Ali - 903-923 Human governance a pathway to integrity in counteracting corruption
by Nor Azmi Ramli & Ainul Mohsein Abdul Mohsin & Arfah Salleh & Noor Shakirah Mat Akhir
December 2021, Volume 15, Issue 4
- 739-758 Developing a Shari’ah based FinTech Money Creation Free [SFMCF] model for Islamic banking
by Othman Ibrahim Altwijry & Mustafa Omar Mohammed & M. Kabir Hassan & Mohammad Selim - 759-787 Empirical evaluation of structure-conduct-performance paradigm as applied to the Iranian Islamic banking system
by Mahdi Ghaemi Asl & Muhammad Mahdi Rashidi & Alireza Ghorbani - 788-810 Evolution of Islamic liquidity management in Turkey
by Ufuk Can & Mehmet Emin Bocuoglu - 811-828 Impacts of Sharīʿah supervision and corporate social responsibility on banks’ risk-taking behavior and profitability
by Syed Moudud-Ul-Huq
November 2021, Volume 15, Issue 4
- 717-738 The effects of bank competition, financial stability and ownership structure: evidence from the Middle East and North African (MENA) countries
by Syed Moudud-Ul-Huq & Tanmay Biswas & Md. Abdul Halim & Miroslav Mateev & Imran Yousaf & Mohammad Zoynul Abedin
October 2021, Volume 15, Issue 4
- 699-716 Modeling returns of sukuk and related indices with system GMM: evidence from the MENA region
by Neha Seth & Monica Singhania & Saif Siddiqui
September 2021, Volume 15, Issue 3
- 506-526 Self-determination theory and individuals’ intention to participate in donation crowdfunding
by Anwar Allah Pitchay & Noha Mamdouh Aboue Eliz & Yuvaraj Ganesan & Al-Amin Mydin & Ririn Tri Ratnasari & Mohamed Asmy Mohd Thas Thaker - 586-601 Manipulation and performance persistence: an examination of Iranian equity mutual fund performance
by Mahsa Hosseini & Mohammad Khodaei Valahzaghard & Ali Saeedi - 602-625 The impact of Islamic banking model and Islamic financial development on bank performance: evidence from dual banking economies
by Tanveer Ahsan & Muhammad Azeem Qureshi - 626-643 The effect of the number of bank relationships on firm leverage: high-risk shift and the curse of mainstream banks
by Yusuf Dinc & Rumeysa Bilgin - 644-663 Does bank governance affect risk and efficiency? Evidence from Islamic banks in GCC countries
by Samir Srairi & Khawla Bourkhis & Asma Houcine
July 2021, Volume 15, Issue 3
- 481-505 Contagion risk: cases of Islamic and emerging market banks
by Da-Eun Yoon & Tonmoy Choudhury & Anup Kumar Saha & Mamunur Rashid
August 2021, Volume 15, Issue 3
- 569-585 Analysis of enterprise risk management practices in Malaysianwaqfinstitutions
by Rubayah Yakob & Mohd Hafizuddin-Syah Bangaan Abdullah & Sajiah Yakob & Nooraida Yakob & Nurul Hidayah Md. Razali & Hairolanuar Mohamad
October 2021, Volume 15, Issue 3
- 664-680 Gender diversity, board of director’s size and Islamic banks performance
by Entissar Elgadi & Wafa Ghardallou
November 2021, Volume 15, Issue 3
- 527-568 Price-limit effectiveness: evidence from the Borsa Istanbul (BIST)
by Osman Ulas Aktas & Lawrence Kryzanowski & Jie Zhang
May 2021, Volume 15, Issue 2
- 255-270 The potential of Islamic social finance to alleviate poverty in the era of COVID-19: the moderating effect of ethical orientation
by Umar Habibu Umar & Abubakar Jamilu Baita & Md Harashid Bin Haron & Sadanu Hamza Kabiru
August 2021, Volume 15, Issue 2
- 287-309 Islamic stock markets and COVID-19-induced shocks: simulations with global VAR approach
by Idris A. Adediran & Abdulfatai Salawudeen & Syed Nasir Ashraf Sabzwari - 310-330 Islamic banking stability amidst the COVID-19 pandemic: the role of digital financial inclusion
by Hasanul Banna & M. Kabir Hassan & Rubi Ahmad & Md Rabiul Alam - 331-358 Are Islamic financial institutions more resilient against the COVID-19 pandemic in the GCC countries?
by Erhan Akkas & Hazem Al Samman - 359-371 A note on the relationship between COVID-19 and stock market return: evidence from South Asia
by Md Arafat Rahman & Md Mohsan Khudri & Muhammad Kamran & Pakeezah Butt
June 2021, Volume 15, Issue 2
- 271-286 Zakat administration in times of COVID-19 pandemic in Indonesia: a knowledge discovery via text mining
by Fahmi Ali Hudaefi & Rezzy Eko Caraka & Hairunnizam Wahid
October 2021, Volume 15, Issue 2
- 406-424 How do banks’ capital regulation and risk-taking respond to COVID-19? Empirical insights of ownership structure
by Syed Moudud-Ul-Huq & Kawsar Ahmed & Mohammad Ashraful Ferdous Chowdhury & Hafiz M. Sohail & Tanmay Biswas & Faisal Abbas - 425-440 Socially responsible investment (SRI) Sukuk as a financing alternative for post COVID-19 development project
by Rashedul Hasan & Sivakumar Velayutham & Abu Faisal Khan
September 2021, Volume 15, Issue 2
- 372-385 Are Islamic indexes, Bitcoin and gold, still “safe-haven” assets during the COVID-19 pandemic crisis?
by Slah Bahloul & Mourad Mroua & Nader Naifar & nader naifar - 386-405 The role of Islamic social finance during Covid-19 pandemic in Indonesia’s economic recovery
by Ascarya Ascarya
October 2021, Volume 15, Issue 1
- 100-124 Indonesian Islamic moral incentives in credit card debt repayment: a feature selection using various data mining
by Rezzy Eko Caraka & Fahmi Ali Hudaefi & Prana Ugiana & Toni Toharudin & Avia Enggar Tyasti & Noor Ell Goldameir & Rung Ching Chen
September 2021, Volume 15, Issue 1
- 158-178 Investigating beta anomaly: comparison of Shariah-compliant and conventional stocks
by Muhammad Ali Jibran Qamar & Asma Hassan & Mian Sajid Nazir & Abdul Haque
June 2021, Volume 15, Issue 1
August 2021, Volume 15, Issue 1
- 125-145 Competitive strategies-performance nexus and the mediating role of enterprise risk management practices: a multi-group analysis for fully fledged Islamic banks and conventional banks with Islamic window in Pakistan
by Waqas Ali & Imran Ibrahim Alasan & Mushtaq Hussain Khan & Shujahat Ali & Jun-Hwa Cheah & T. Ramayah - 146-157 The prohibition of speculation in Islamic finance: fairness and framing
by Aneeka Kanwal - 179-202 Impact of Brexit on Islamic stock markets: employing MGARCH-DCC and wavelet correlation analysis
by Burak Çıkıryel & Hakan Aslan & Mücahit Özdemir - 203-217 Salamfinancing: from common local issues to a potential international framework
by Ratna Mulyany & Mirna Indriani & Indayani Indayani
July 2021, Volume 15, Issue 1
- 1-17 Corporate governance and IFSB standard-4: evidence from Islamic banks in Bangladesh
by Md. Harun Ur Rashid & Ruma Khanam & Md. Hafij Ullah - 32-47 Assessing the application of Islamic and conventional hedgings in Indonesia
by Rifki Ismal - 48-65 Augmented reality (AR)-based sharia financial literacy system (AR-SFLS): a new approach to virtual sharia financial socialization for young learners
by Ratna Candra Sari & P.L. Rika Fatimah & Sariyatul Ilyana & Hardika Dwi Hermawan - 66-82 The impact of performance, liquidity and credit risks on banking diversification in a context of financial stress
by Oussama Gafrej & Mouna Boujelbéne - 83-99 The role of Islamic social finance in societal welfare: a case study of selected IFBOs in southwest Nigeria
by Abdullahi A. Shuaib & M. Sohail
June 2021, Volume 14, Issue 5
- 1000-1020 Measuring burdening effect of Shariah knowledge on sales performance; does work experience matter? A multi-group analysis in the Islamic finance industry
by Shinaj Valangattil Shamsudheen & Ziyaad Mahomed - 1021-1042 Closer together or further apart? Club convergence in the Organization of Islamic Cooperation (OIC) countries
by Lokman Gunduz & Hamad Mohammed Rahman Humaid Alshamsi & Mehmet Yasin Ulukus - 1043-1060 Islamic banking efficiency literature (2000–2020): a bibliometric analysis and research front mapping
by Saiyara Shabbir Ikra & Md. Azizur Rahman & Peter Wanke & Md. Abul Kalam Azad - 1061-1080 The effects of corporate disclosure on firm value and firm performance: evidence from Turkey
by Hüseyin Temiz
May 2021, Volume 14, Issue 5
- 853-873 An artificial neural network augmented GARCH model for Islamic stock market volatility: Do asymmetry and long memory matter?
by Walid Chkili & Manel Hamdi - 928-949 The connectedness between Sukuk and conventional bond markets and the implications for investors
by Aristeidis Samitas & Spyros Papathanasiou & Drosos Koutsokostas - 950-966 Management ownership and the performance of Islamic microfinance institutions: a panel data analysis of Indonesian Islamic rural banks
by Annisa Fithria & Mahfud Sholihin & Usman Arief & Arif Anindita