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Number of items: 30.

Abdul Wahab, Hishamuddin and Rosly, Saiful Azhar and Masih, Abul Mansur M. (2014): Risk Taking Behavior and Capital Adequacy in a Mixed Banking System: New Evidence from Malaysia using Dynamic OLS and Two-step Dynamic System GMM Estimators.

Abdullah, Ahmad Monir and Masih, Abul Mansur M. (2014): The Impact of Crude Oil Price on Macroeconomic Variables: New Evidence from Malaysia.

Abdullah, Ahmad Monir and Saiti, Buerhan and Masih, Abul Mansur M. (2014): Diversification in Crude Oil and Other Commodities: A Comparative Analysis.

Abdullah, Ahmad Monir and Saiti, Buerhan and Masih, Abul Mansur M. (2014): The Impact of Crude Oil Price on Islamic Stock Indices of South East Asian (SEA) Countries: A Comparative Analysis.

Abdullah, Ahmad Monir and Saiti, Buerhan and Masih, Abul Mansur M. (2014): Causality between Stock Market Index and Macroeconomic Variables: A Case Study for Malaysia.

Abu Bakar, Norhidayah and Masih, Abul Mansur M. (2014): The Dynamic Linkages between Islamic Index and the Major Stock Markets: New Evidence from Wavelet time-scale decomposition Analysis.

Al-Jarhi, Mabid (2016): The Nature of Money in Modern Economy – Implications and Consequences. Published in: JKAU: Islamic Econ , Vol. 29, No. No. 2, pp: 75-79 (July 2016) (July 2016): pp. 75-79.

Al-Jarhi, Mabid (2017): Inefficiencies in Search Models: The Case for Islamic Finance.

Al-Jarhi, Mabid (2015): An Economic Theory of Islamic Finance Regulation. Published in: Islamic Economic Studies , Vol. 24, No. No. 2 (December 2016): pp. 1-44.

Al-Jarhi, Mabid (2016): The Islamic Political System: A Basic Value Approach.

Al-Jarhi, Mabid (2016): An economic theory of Islamic finance.

Bm, Hakim and Uddin, Md Akther (2016): Does Islamic bank financing lead to economic growth: An empirical analysis for Malaysia.

Chunxiu, Ma and Masih, Mansur (2014): Contagion Effects of US Subprime Crisis on ASEAN-5 Stock Markets: Evidence from MGARCH-DCC Application.

Cizakca, Murat (2012): Finance and economic development in Islam, historical perspective.

Daher, Hassan and Masih, A.Mansur M. and Ibrahim, Mansor H. (2014): Islamic Banks’ Capital Buffers: Unique Risk Exposures and the Disciplining Effects of Charter Values.

Dewandaru, Ginanjar and Alaoui, Abdelkader and Masih, A. Mansur M. and Alhabshi, Syed Othman (2013): Comovement and resiliency of Islamic equity market: Evidence from GCC Islamic equity index based on wavelet analysis.

Dewandaru, Ginanjar and Masih, Rumi and Bacha, Obiyathulla and Masih, A. Mansur M. (2014): Combining Momentum, Value, and Quality for the Islamic Equity Portfolio: Multi-style Rotation Strategies using Augmented Black Litterman Factor Model.

Hanifa, Mohamed Hisham and Masih, Mansur and Bacha, Obiyathulla (2014): Testing Sukuk And Conventional Bond Offers Based On Corporate Financing Theories Using Partial Adjustment Models: Evidence From Malaysian Listed Firms.

Hasan, Zubair (2020): Islamic economics: morality, rationality, and research. Published in: KAUJ: Islamic Economics , Vol. 34, No. 2 (1 July 2021): pp. 3-13.

Jusoh, Hashim and Bacha, Obiyathulla and Masih, Abul Mansur M. (2014): Multi-scale Lead-Lag Relationship between the Stock and Futures Markets: Malaysia as a Case Study.

Kamil, Nazrol and Bacha, Obiyadulla and Masih, Mansur (2014): Is There A Diversification “Cost” of Shari’ah Compliance? Empirical Evidence from Malaysian Equities.

Khan, Aftab and Masih, Mansur (2014): Correlation between Islamic stock and Commodity markets: An investigation into the impact of financial crisis and financialization of commodity markets.

Mirakhor, Abbas (2012): Islamic Finance, Risk Sharing and Macroeconomic Policies. Published in: The 2nd ISRA Colloquium (27 November 2012): pp. 1-42.

Mokhtar, Maznita and Masih, Mansur (2014): Are diversification benefits obtainable within the same asset class? New evidence from Malaysian Islamic REITS.

Najeeb, Syed Faiq and Bacha, Obiyathulla and Masih, Mansur (2014): Does a held-to-maturity strategy impede effective portfolio diversification for Islamic bond (sukuk) portfolios? A multi-scale continuous wavelet correlation analysis.

Rithuan, Syahidah Hanis Meor and Abdullah, Ahmad Monir and Masih, Abul Mansur M. (2014): The Impact of Crude Oil Price on Islamic Stock Indices of Gulf Cooperation Council (GCC) Countries: A Comparative Analysis.

Uddin, Md Akther (2016): Reemergence of Islamic Monetary Economics: A Review of Theory and Practice.

Uddin, Md Akther (2016): Negative Interest Rate and Mudarabah Investment Deposits Rate: A Short Essay.

Yildirim, Ramazan and Masih, Mansur (2018): Investigating International Portfolio Diversification Opportunities for the Asian Islamic Stock Market Investors. Published in: Management of Islamic Finance: Principle, Practice, and Performance , Vol. 19, No. International Finance Review (6 November 2018): pp. 1-36.

Yildirim, Ramazan and Masih, Mansur and Bacha, Obiyathulla (2017): Determinants of capital structure - Evidence from Shari'ah compliant and non-compliant firms. Published in: Pacific-Basin Finance Journal , Vol. 51, (29 June 2018): pp. 198-219.

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