Qualitative Research in Financial Markets
Issue(s) available: 55 – From Volume: 1 Issue: 1, to Volume: 15 Issue: 4

Volume 15
Volume 13
Is investing inherently emotionally arousing process? Fund manager perspective
Shubhangi Verma, Purnima Rao, Satish KumarThis study aims to establish the factors affecting the financial investment decision-making of an investor, with specific reference to investors’ emotions and how various events…
The applicability of Islamic crowdfunding as an alternative funding for micro-entrepreneurs in Malaysia
Muhammad Shahrul Ifwat Ishak, Nur Syahirah Mohammad NasirThe purpose of this study is to analyse potential models of Islamic crowdfunding as an alternative financing option for micro-entrepreneurs in Malaysia. While crowdfunding has…
The metamorphosis of the Islamic political economy publications (1980-2021) – a bibliometric analysis
Mohamad Handi Khalifah, Fatih Savaşan, Naimat U. Khan, Shabeer KhanThis paper aims to trace the contours of Islamic political economy (IPE) for last four decades with the help of bibliometric analysis. This method does not focus on in-depth…
Studies on Indian IPO: systematic review and future research agenda
Manali Chatterjee, Titas Bhattacharjee, Bijitaswa ChakrabortyThis paper aims to review, discuss and synthesize the literature focusing on the Indian initial public offering (IPO) market. Understanding the Indian IPO market can help answer…
A bibliometric visualization of behavioral biases in investment decision-making
Barkha Dhingra, Mahender Yadav, Mohit Saini, Ruhee MittalThis study aims to conduct a bibliometric analysis to provide a comprehensive picture and identify future research directions to enrich the existing literature on behavioral…
A systematic review on behavioral biases affecting individual investment decisions
Sneha Badola, Aditya Kumar Sahu, Amit AdlakhaThis study aims to systematically review various behavioral biases that impact an investor’s decision-making process. The prime objective of this paper is to thematically explore…
Review of research on option pricing: a bibliometric analysis
Prashant Sharma, Dinesh Kumar Sharma, Prashant GuptaOption pricing theory enables computation of the price of an option using different variables associated with the underlying security and options contract. The purpose of this…
Organizational learning and adaptation in participatory Islamic finance
Muhammad Nouman, Karim Ullah, Shafiullah Jan, Farman Ullah KhanIslamic banking has undergone significant adaption since its inception. This study aims to investigate why and how Islamic banks adapt their services, using participatory…
Should I invest or not? Investigating the role of biases and status quo
Vasanthi Mamidala, Pooja Kumari, Dakshita SinghThe purpose of this study is to examine the behaviour of retail investors while making an investment decision and how it gets affected by the behavioural biases of the investors…
Shed old baggage and invest wisely. A bibliometric and thematic analysis of disposition effect and investment
Hardeep Singh Mundi, Shailja VashishtThis paper aims to review, systematize and integrate existing research on disposition effect and investments. This study conducts bibliometric analysis, including performance…
Heuristic-driven biases as mental shortcuts in investment management activities: a qualitative study
Maqsood Ahmad, Qiang WuThis study aims to use a qualitative approach to explore and clarify the mechanism by which heuristic-driven biases influence the decisions and performance of individual investors…
“Honey, you’ve got to do what’s right”: common ethical decision-making challenges and strategies of licensed financial advisers
Martha Wilcoxson, Jana CraftThis paper aims to explore the common ethical decision-making challenges faced by financial advisers and how they meet these challenges. The purpose is to identify successful…
The tactician role of FinTech in the accounting and auditing field: a bibliometric analysis
Mohammed Muneerali ThottoliThis study aims to know the tactician role of financial technology (FinTech) in the field of accounting and auditing through contextualized systematic literature review by using…
Mapping the research on sustainable stock indices: a bibliometric review from 2001 to 2022
Neha Seth, Deepti SinghThis paper aims to provide a bibliometric review and visualisation analysis of the literature on Sustainable Stock Indices (SSI) between January 2001 and March 2022. The purpose…
Resolution and depositors’ trust empirical analysis of three resolution cases in Poland
Małgorzata Iwanicz-Drozdowska, Łukasz Kurowski, Bartosz WitkowskiThis paper aims to evaluate the role of depositor-specific features in a bank resolution. As the resolution framework in the EU is rather new, there are no empirical studies…
Towards a framework for the protection of citizen rights of capital market shareholders: evidence from Iran
Mohammad Mehdi Mohammadi, Mehdi Safari Gerayli, Maryam Shahri, Hasan Valiyan, Farhad DehdarThe citizen-shareholder approach in the capital market is considered a knowledge-enhancing and emerging concept in financial and accounting offerings. Its reliable background in…
Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland
Rafał Wolski, Monika Bolek, Jerzy Gajdka, Janusz Brzeszczyński, Ali M. KutanThis study aims to answer the question whether investment funds managers exhibit behavioural biases in their investment decisions. Furthermore, it investigates if fund managers…
Demystifying disposition effect: past, present and future
Mayank Joshipura, Nehal Joshipura, Aditya SharmaThe disposition effect remains one of the most significant investor behavior puzzles. This study aims to consolidate the knowledge, explore current dynamics, elicit trends and…
The prospects of istijrar financing in Islamic banking: an exploratory study in Bangladesh
Md. Habibur Rahman, N.M. Shafiul Islam ChowdhuryThis study aims to explore the prospects of istijrar financing in the Islamic banking of Bangladesh. Istijrar is a supply sale contract that facilitates recurrent transactions…
Complexity of gender to understand financial behavior. Financial behavior of transgender and cisgender individuals: evidence from India: a qualitative inquiry
Hardeep Singh MundiThis study aims to understand the unique financial behavior of transgender individuals compared to cisgender individuals. Furthermore, this study aims to demonstrate that…
Household finance: a systematic literature review and directions for future research
Nahid Zehra, Udai Bhan SinghThe objective of this systematic literature review (SLR) is to explore the current state of research in the field of household finance (HF). This study aims to summarize the…
Literacy and strategic marketing to raise public awareness using Sharia pawnshops during the COVID-19 pandemic
Budi Sukardi, Novia Rachmadani Wijayanti, Fachrurazi FachruraziThe purpose of this study is to reveal empirical facts that literacy and marketing strategies effectively impact people using Sharia pawn products during the COVID-19 pandemic…
The impact of COVID-19 on the banking sector. Are we heading for the next banking crisis?
Kamila TomczakThis study aims to examine the effect of the COVID-19 pandemic on the banking sector and to assess if COVID-19 was a trigger for the banking crisis.
Can cryptocurrency solve the problem of financial constraint in corporates? A literature review and theoretical perspective
Neetu , Jacqueline SymssThis paper aims to attempt to examine some of the unique features of cryptocurrency and the reasons for its growing market acceptability. Given the expanding size of…
Discourse and the creation of French green bond legitimacy
Umair Riaz, Muhammad Al Mahameed, Lisa Gentemann, Theresa DunneThis study aims to explore how organisations use institutional language in Green Bond reports to explain and justify their activities using language that describes and reflects…
Management of cash waqf fund generation through the implementation of istibdal in Kedah
Fathullah Asni, Afiffudin Mohammed Noor, Muhamad Husni HasbulahThe purpose of this study is to examine the management of cash waqf fund generation through the implementation of istibdal in Kedah.
Application of tawarruq in Islamic banking institutions in Somalia
Razali Haron, Galad Mohamed BarreThe purpose of this study is to examine the acceptability of tawarruq in the banking industry in Somalia, focusing on awareness, need, compatibility, relative advantage…
Evaluating the current interest-free monetary policy tools and suggesting a new one: case of Turkey via examples of Malaysia, Pakistan, and Bahrain
Zeyneb Hafsa Orhan, Sajjad Zaheer, Fatih KazancıThis paper aims to achieve two goals: first, to evaluate the existing interest-free monetary policy tools in the major Islamic financial hubs of Malaysia, Pakistan and Bahrain…
The effect of Covid-19 on digital banking explored under business model approach
Ahmet Coşkun Yıldırım, Erkan ErdilThis study aims to understand the impacts of Covid-19 on the progression of digitalization of banks in an emerging market. For this purpose, business model canvas (BMC) is used as…
Lived experiences of successful women entrepreneurs (SMEs) in Iran: a feminist phenomenological study
Fatemeh Sadrnabavi, Hanieh DaneshvarThis study aims to investigate the entrepreneurial actions of successful Iranian women entrepreneurs. It is an attempt to find the roots, motivations, challenges and strategies of…
Heuristics in the wild: exploring fund manager decisions through the COVID pandemic
Daniel GilcherThis paper aims to provide a novel explorative perspective on fund managers’ decisions under uncertainty. The current COVID pandemic is used as a unique reference frame to study…
Banking service quality literature: a bibliometric review and future research agenda
Ritesh J. Patel, Aaliyah SiddiquiThe purpose of this paper is to perform a meta-bibliometric analysis of the banking service quality and to provide various research streams. Another goal is to provide future…
Tunisian corporate bond market liquidity: a qualitative approach
Olfa Berrich, Halim DabbouThis study aims to explore the failures of Tunisian secondary corporate bond market liquidity to understand the determinants of corporate bond market liquidity at large.
A review of literature directions regarding the impact of fintech firms on the banking industry
Haitham Mohamed ElsaidThis paper aims to provide a review of literature directions regarding the potential impact of fintech operators on the financial services market globally. This paper reviews the…
The role of recognition-based heuristics in investment management activities: are expert investors immune? – A systematic literature review
Maqsood AhmadThe aim of this paper is to systematically review the literature published in recognized journals focused on recognition-based heuristics and their effect on investment management…
ISSN:
1755-4179Online date, start – end:
2009Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Prof Bruce Burton