Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia

This study attempts to provide empirical evidences on the impact of financial shocks on the Islamic banks vis-a-vis the conventional banks. Based on the Malaysia experience over two major financial crises, namely the 1997 Asian financial crisis and the 2007 US sub-prime crisis, the study aims to tes...

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Main Author: Kassim, Salina H.
Format: Monograph
Language:English
Published: s.n 2012
Subjects:
Online Access:http://irep.iium.edu.my/33195/
http://irep.iium.edu.my/33195/
http://irep.iium.edu.my/33195/1/EDW_B0906-324.pdf
id iium-33195
recordtype eprints
spelling iium-331952015-05-18T02:00:43Z http://irep.iium.edu.my/33195/ Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia Kassim, Salina H. HG1501 Banking HG4001 Financial management. Business finance. Corporation finance. This study attempts to provide empirical evidences on the impact of financial shocks on the Islamic banks vis-a-vis the conventional banks. Based on the Malaysia experience over two major financial crises, namely the 1997 Asian financial crisis and the 2007 US sub-prime crisis, the study aims to test the validity of the proposition that the Islamic banks are more resilient to the financial shocks compared to the conventional banks s.n 2012-03-02 Monograph NonPeerReviewed application/pdf en http://irep.iium.edu.my/33195/1/EDW_B0906-324.pdf Kassim, Salina H. (2012) Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia. Research Report. s.n, Kuala Lumpur. (Unpublished) EDW B0906-324
repository_type Digital Repository
institution_category Local University
institution International Islamic University Malaysia
building IIUM Repository
collection Online Access
language English
topic HG1501 Banking
HG4001 Financial management. Business finance. Corporation finance.
spellingShingle HG1501 Banking
HG4001 Financial management. Business finance. Corporation finance.
Kassim, Salina H.
Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
description This study attempts to provide empirical evidences on the impact of financial shocks on the Islamic banks vis-a-vis the conventional banks. Based on the Malaysia experience over two major financial crises, namely the 1997 Asian financial crisis and the 2007 US sub-prime crisis, the study aims to test the validity of the proposition that the Islamic banks are more resilient to the financial shocks compared to the conventional banks
format Monograph
author Kassim, Salina H.
author_facet Kassim, Salina H.
author_sort Kassim, Salina H.
title Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
title_short Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
title_full Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
title_fullStr Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
title_full_unstemmed Identification and implication of the Islamic banks exposure to market risks:evidence from Malaysia
title_sort identification and implication of the islamic banks exposure to market risks:evidence from malaysia
publisher s.n
publishDate 2012
url http://irep.iium.edu.my/33195/
http://irep.iium.edu.my/33195/
http://irep.iium.edu.my/33195/1/EDW_B0906-324.pdf
first_indexed 2023-09-18T20:47:58Z
last_indexed 2023-09-18T20:47:58Z
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