Central bank digital currency and systemic risk
March 01, 2025
Journal of International Financial Markets, Institutions and Money - Volume 99, Article Number 102104
Does sentiment in fed governors’ speeches shape US equity market sectors?
January 30, 2025
Borsa Istanbul Review - Volume 25, Issue 1, Pages 79-93
Macro-prudential regulations and systemic risk: the role of country-level governance indicators
September 01, 2024
Journal of Banking Regulation - Volume 25, Issue 3, Pages 305-325
Impact of sovereign credit ratings on systemic risk and the moderating role of regulatory reforms: An international investigation
December 01, 2022
Journal of Banking and Finance - Volume 145, Article Number 106654
Loan portfolio composition of islamic and conventional banks pre- and post-COVID-19 pandemic? case of Indonesia
August 30, 2022
Journal of Islamic Monetary Economics and Finance - Volume 8(3), Pages 407-428
Russia–Ukraine war and systemic risk: Who is taking the heat?
August 01, 2022
Finance Research Letters - Volume 48, Article Number 103036
Islamic equity investments and the COVID-19 pandemic
June 01, 2022
Pacific Basin Finance Journal - Volume 73, Article Number 101765
Systemic risk, Islamic banks, and the COVID-19 pandemic: An empirical investigation
June 01, 2022
Emerging Markets Review - Volume 51, Part B, ID:100890, June 2022,
Environmental, social, and governance integration: the case of microfinance institutions
March 02, 2022
Accounting and Finance - Volume 62, Issue 1, Pages 837-891
Macroprudential regulations and systemic risk: Does the one-size-fits-all approach work?
September 01, 2021
Journal of International Financial Markets, Institutions and Money - Volume 74, Article Number 101409
Evaluating data-driven methods for short-term forecasts of cumulative SARS-CoV2 cases.
May 21, 2021
PLoS ONE - Volume 15(5), Article Number e0252147
Systemic risk and macroeconomic forecasting: A globally applicable copula-based approach
April 02, 2021
Journal of Forecasting - Pages 1-24
Systemic risk: The impact of COVID-19
October 01, 2020
Finance Research Letters - Volume 36, Article Number 101682
Not one but three decisions in sukuk issuance: Understanding the role of ownership and governance
August 19, 2020
Pacific-Basin Finance Journal - 10.1016/j.pacfin.2020.101423
Net Stable Funding Requirement under Basel III: Loan Portfolio Growth Matters
August 01, 2018
Asia-Pacific Journal of Financial Studies - Volume 47, Issue 4, Pages 477-500
Does the Participation in CSR Activities Enhance Information Diffusion? Evidence from US Firms
April 02, 2018
Pakistan Journal of Commerce and Social Science - Volume 12 (1), Pages 01-28
The Impact of Corporate Social Responsibility on Default Risk: Empirical evidence from US Firms
September 30, 2017
Business and Economic Review - Vol. 9, No. 3 2017 pp. 36-70
Does a one-size-fits-all approach to financial regulations alleviate default risk? The case of dual banking systems
September 07, 2017
Journal of Regulatory Economics - J Regul Econ (2018) 53:37–74
The Impact of Social Capital on Financial Reporting: A Dynamic Panel Model of the Auditors? Trust and Corporate Social Responsibility by US Firms
September 01, 2016
Pakistan Journal of Social Sciences - Vol. 36, No. 2 (2016), pp. 1045-1057
A Net Stable Funding Ratio for Islamic Banks and its Impact on Financial Stability: an International Investigation
August 01, 2016
Journal of Financial Stability - Volume 25, Pages 47-57
Impact of Short Selling on Volatility of Individual Stocks and Aggregate Market: Empirical Evidence from China
March 01, 2016
Pakistan Journal of Social Sciences (PJSS) - Vol. 36, No. 1, Pages 451-463