Qualitative Research in Financial Markets: Volume 11 Issue 3

Subjects:

Table of contents

Measuring conduct risk in South African banks

Antje Hargarter, Gary Van Vuuren

This paper aims to examine the problem of conduct-risk measurement for banks, using South Africa as an example of a developing market. Conduct risk is a new and complex phenomenon…

Exploring the influence of revenue diversification on financial performance in the banking industry: A systematic literature review

Rabia Asif, Waheed Akhter

The purpose of this study is to review the literature related to the influence of revenue diversification on banking sector performance. Further, the determination of the scope…

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Islamic hedging for pilgrimage funds: case of Indonesia

Rifki Ismal, Nurul Izzati Septiana

The demand for Saudi Arabian real (SAR) is very high in the pilgrimage (hajj) season while the authority, unfortunately, does not hedge the hajj funds. As such, the hajj funds are…

Alliance cooperation joint ATM network: exploring the banking sector in Indonesia

Krisna Damayanti, Lydia Setyawardani

This study aims to determine the factors that encourage Indonesian banks to collaborate in the banking networks ATM Prima and ATM Bersama to achieve business efficiencies.

A systematic literature review on working capital management – an identification of new avenues

Umar Nawaz Kayani, Tracy-Anne De Silva, Christopher Gan

This paper aims to provide a review of the existing literature available on working capital (WC) and working capital management (WCM).

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Cover of Qualitative Research in Financial Markets

ISSN:

1755-4179

Online date, start – end:

2009

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Editor:

  • Prof Bruce Burton