Items where Subject is "HG1811-2351 Special classes of banks and financial institutions"

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Number of items at this level: 5.

A

Aridi, Nor Azliana and Tan, Siow Hooi and Chin, Wen Cheong (2023) THE VAR EVALUATION OF SHARIAH STOCK MARKET IN MALAYSIA DURING COVID-19 PANDEMIC BY USING CONDITIONAL EVT METHOD. International Journal of Business and Society, 24 (3). pp. 1079-1098. ISSN 1511-6670

M

Mahmood, Najat Shakir and Ahmed, Elsadig Musa (2023) Mediating effect of risk management practices in Iraqi private banks financial performance. Journal of Financial Services Marketing, 28 (2). pp. 358-377. ISSN 1363-0539

N

Ng, Sew Lai and Chong, Lee Lee and Chin, Wen Cheong (2019) Modelling Volatility in the Presence of Abrupt Jumps: Empirical Evidence from Islamic Stock Markets. International Journal Electronics and Management, 13 (1). pp. 93-109. ISSN 1823-836X

R

Rahmat, Siti Munirah and Hassan, Hasliza and Jaafar, Zalina and Abenoh, Nazrulā€˜Aini and Mohamed, Zuraina Sal Salbila (2019) Factors Affecting Customer Intention Towards Islamic and Conventional Bank in Malaysia. In: Sintok International Conference on Social Science Management, 26-27 Dec 2019, Thistle Hotel Johor Bahru Malaysia, Johor Bahru, Malaysia.

Raman, Ravindran and Chong, Lee Lee and Teh, Boon Heng (2022) Financial Performances of Malaysian Commercial Conventional Banks with The Rating of Camels Model and The Presence of Covid-19. In: Postgraduate Social Science Colloquium 2022, 1 - 2 June 2022, Online.

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