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Showing 1-20 of 254 results
  1. Forecast the Role of GCC Financial Stress on Oil Market and GCC Financial Markets Using Convolutional Neural Networks

    This study aims to predict GCC financial stress on oil market, and GCC Stock and bond markets while considering the effect of the 2008 financial...

    Taicir Mezghani, Mouna Boujelbène Abbes in Asia-Pacific Financial Markets
    Article 13 October 2022
  2. The Impact of the Real Interest Rate, the Exchange Rate and Political Stability on Foreign Direct Investment Inflows: A Comparative Analysis of G7 and GCC Countries

    Sustainable financial development plays a vital role in new institutional economics and transaction cost economics. This asserts the important role...

    Faris Alshubiri in Asia-Pacific Financial Markets
    Article 19 February 2022
  3. Introduction: FinTech and Islamic Finance in the Gulf Cooperation Council (GCC)

    The banking and financial landscape in the last decade has been inundated with ‘technology’. Financial Technology (FinTech), Insurance Technology...
    Chapter 2021
  4. Strategic Assessment of Islamic Fintech in GCC Countries

    Recent innovations that the Banking sector has witnessed are in the areas of Financial Technologies, Cryptocurrencies and Blockchain. The real...
    Chapter 2021
  5. US Economic Policy Uncertainty and GCC Stock Market

    This study contributes to the scant finance literature on emerging countries by examining the relationship between economic policy uncertainty and...

    Abdullah Alqahtani, Miguel Martinez in Asia-Pacific Financial Markets
    Article 02 January 2020
  6. The Application of Fintech in Microtakaful as a Means of Digital Financial Inclusion: Insights from the GCC

    The combination of Fintech and microtakaful can achieve financial inclusion at a massive level. Additionally, this combination offers other benefits...
    Chapter 2021
  7. Utilizing Blockchain Technology for Post-Trade Securities Settlement: A Framework for Islamic Capital Markets in the GCC Region

    Financial digital innovations have attracted the attention of millions. Over decades, innovations have contributed significantly to the evolution and...
    Chapter 2021
  8. Impact of financial literacy on savings behavior: the moderation role of risk aversion and financial confidence

    This research examines the impact of financial literacy on the savings behavior of investors residing in the Gulf Cooperation Council (GCC) region....

    S. Ananda, Raghavendra Prasanna Kumar, Tamanna Dalwai in Journal of Financial Services Marketing
    Article 28 January 2024
  9. Solvency determinants: evidence from the Takaful insurance industry

    This paper contributes to the nascent literature on Takaful by investigating the solvency determinants for Takaful firms in both the Gulf Cooperation...

    Jassem Alokla, Arief Daynes, ... Panagiotis Tzouvanas in The Geneva Papers on Risk and Insurance - Issues and Practice
    Article 09 January 2022
  10. Fintech, Digital Currency and the Future of Islamic Finance Strategic, Regulatory and Adoption Issues in the Gulf Cooperation Council

    The banking and financial landscape has been inundated with technology over the last decade, with FinTech, InsurTech and RegTech being just some of...

    Nafis Alam, Syed Nazim Ali
    Book 2021
  11. Herding behaviour theory and oil price dispersion: a sectoral analysis of the Gulf Cooperation Council stock market

    This paper investigates the impact of oil price changes on herding behaviour in the Gulf Cooperation Council (GCC) stock market. For this purpose, a...

    Imed Medhioub, Mustapha Chaffai in Journal of Asset Management
    Article 07 January 2021
  12. Return and volatility spillovers in the presence of structural breaks: evidence from GCC Islamic and conventional banks

    The dynamics of return and volatility spillover indices were investigated to reveal the strength and direction of transmission that occurred during a...

    Noureddine Benlagha, Slim Mseddi in Journal of Asset Management
    Article 16 January 2019
  13. Sovereign Wealth Funds and the Local and World Economy: Are They Good or Bad Investment Actors?

    The Palgrave Handbook of Sovereign Wealth Funds aims to provide a comprehensive analysis of SWFs from a multidimensional perspective. It spans the...
    Chapter 2024
  14. The Interface of Islamic Finance and Sovereign Wealth Funds

    The Palgrave Handbook of Sovereign Wealth Funds aims to provide a comprehensive analysis of SWFs from a multidimensional perspective. It spans the...
    Chapter 2024
  15. Leveraging Sovereign Wealth Funds for Soft Power

    The Palgrave Handbook of Sovereign Wealth Funds aims to provide a comprehensive analysis of SWFs from a multidimensional perspective. It spans the...
    Chapter 2024
  16. European and Asian Sovereign Wealth Funds

    The Palgrave Handbook of Sovereign Wealth Funds aims to provide a comprehensive analysis of SWFs from a multidimensional perspective. It spans the...
    Samuel A. Beatson, Philip B. Ball in The Palgrave Handbook of Sovereign Wealth Funds
    Chapter 2024
  17. Arab Spring

    The Arab Spring denotes the occurrence of extensive popular uprisings and rebellions against oppressive and autocratic governments in the Middle East...
    Living reference work entry 2024
  18. A systematic literature review of risks in Islamic banking system: research agenda and future research directions

    This study employs a systematic review approach to examine the existing body of literature on risk management in Islamic banking. The focus of this...

    M. Kabir Hassan, Md Nurul Islam Sohel, ... Mamunur Rashid in Risk Management
    Article 20 December 2023
  19. Dynamics of Contagion Risk Among World Markets in Times of Crises: A Financial Network Perspective

    This study used a Time-Varying Parameter VAR approach to analyze contagion risk among global stock markets and WTI crude oil during times of crisis....

    Karim Belcaid, Sara El Aoufi, Mamdouh Abdulaziz Saleh Al-Faryan in Asia-Pacific Financial Markets
    Article 18 December 2023
  20. Controversies Surrounding Sovereign Wealth Funds

    The Palgrave Handbook of Sovereign Wealth Funds aims to provide a comprehensive analysis of SWFs from a multidimensional perspective. It spans the...
    Chapter 2024
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