Details about Mansor H. Ibrahim
Access statistics for papers by Mansor H. Ibrahim.
Last updated 2024-08-08. Update your information in the RePEc Author Service.
Short-id: pib4
Jump to Journal Articles Books Chapters
Working Papers
2014
- Islamic Banks’ Capital Buffers: Unique Risk Exposures and the Disciplining Effects of Charter Values
MPRA Paper, University Library of Munich, Germany
2004
- Integration or Segmentation of Malaysian Equity Market: An Analysis of Pre- and Post- Capital Controls
Finance, University Library of Munich, Germany View citations (1)
See also Journal Article Integration or Segmentation of the Malaysian Equity Market: An Analysis of Pre- and Post-Capital Controls, Journal of the Asia Pacific Economy, Taylor & Francis Journals (2006) View citations (3) (2006)
Journal Articles
2024
- MONETARY POLICY, FINANCIAL DEVELOPMENT AND INCOME INEQUALITY IN DEVELOPING COUNTRIES
The Singapore Economic Review (SER), 2024, 69, (02), 859-889
2023
- Environment, social and governance (ESG) performance and CDS spreads: the role of country sustainability
Journal of Risk Finance, 2023, 24, (5), 585-613 View citations (3)
2022
- IMPACT OF NON-INTERMEDIATION ACTIVITIES OF BANKS ON ECONOMIC GROWTH AND VOLATILITY: AN EVIDENCE FROM OIC
The Singapore Economic Review (SER), 2022, 67, (01), 333-348 View citations (14)
2021
- Competition, diversification and performance in dual banking: a panel VAR analysis
Economic Research-Ekonomska Istraživanja, 2021, 34, (1), 194-220
- Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems?
Pacific-Basin Finance Journal, 2021, 68, (C) View citations (6)
- Ethical investing and capital structure
Emerging Markets Review, 2021, 47, (C) View citations (3)
- Impact of Bank Concentration and Financial Development on Growth Volatility: The Case of Selected OIC Countries
Emerging Markets Finance and Trade, 2021, 57, (7), 2094-2106
2020
- ARE ISLAMIC BANKS SUFFERING FROM A MODEL MISFIT? A COMPARISON WITH COOPERATIVE BANKS
Journal of Islamic Monetary Economics and Finance, 2020, 6, (2), 325-352 View citations (1)
- ISLAMIC BANKING AND BANK PERFORMANCE IN MALAYSIA: AN EMPIRICAL ANALYSIS
Journal of Islamic Monetary Economics and Finance, 2020, 6, (3), 487-502 View citations (2)
- International Financial Integration through Depositary Receipts (DRs)
Journal of Accounting and Finance in Emerging Economies, 2020, 6, (1), 301-322
- Which Sustainability Dimensions Affect Credit Risk? Evidence from Corporate and Country-Level Measures
JRFM, 2020, 13, (12), 1-22 View citations (6)
2019
- CAPITAL REGULATION AND ISLAMIC BANKING PERFORMANCE: PANEL EVIDENCE
Bulletin of Monetary Economics and Banking, 2019, 22, (1), 47-68
- FINANCIAL INTERMEDIATION COSTS IN A DUAL BANKING SYSTEM: THE ROLE OF ISLAMIC BANKING
Bulletin of Monetary Economics and Banking, 2019, 22, (4), 531-552 View citations (2)
- Oil and macro-financial linkages: Evidence from the GCC countries
The Quarterly Review of Economics and Finance, 2019, 72, (C), 1-13 View citations (15)
- Structural changes, competition and bank stability in Malaysia’s dual banking system
Economic Systems, 2019, 43, (1), 111-129 View citations (10)
- The Impact of Charter Values on Bank Capital in Asia: A Threshold Regression Analysis
Emerging Markets Finance and Trade, 2019, 55, (3), 655-670 View citations (1)
2018
- Bank lending, deposits and risk-taking in times of crisis: A panel analysis of Islamic and conventional banks
Emerging Markets Review, 2018, 35, (C), 31-47 View citations (42)
- Finance And Inequality In Eight Asian Countries: Does Size Matter
Bulletin of Monetary Economics and Banking, 2018, 21, (1), 33-56
- Islamic economics and Islamic finance in the world economy
The World Economy, 2018, 41, (3), 668-673 View citations (7)
- THEORETICAL IMPACT OF ENHANCED MUSHARAKAH MUTANAQISAH HOME FINANCING ON REAL ESTATE PRICES
Journal of Islamic Monetary Economics and Finance, 2018, 4, (1), 133-160
- Trade–finance complementarity and carbon emission intensity: panel evidence from middle-income countries
Environment Systems and Decisions, 2018, 38, (4), 489-500 View citations (4)
2017
- Credit expansion and financial stability in Malaysia
Economic Modelling, 2017, 61, (C), 339-350 View citations (22)
- Do we need bigger Islamic banks? An assessment of bank stability
Journal of Multinational Financial Management, 2017, 40, (C), 77-91 View citations (28)
- How Islamic are Islamic banks? A non-linear assessment of Islamic rate – conventional rate relations
Economic Modelling, 2017, 64, (C), 443-448 View citations (15)
- THE BANK LENDING CHANNEL OF MONETARY POLICY TRANSMISSION IN A DUAL BANKING SYSTEM
Journal of Islamic Monetary Economics and Finance, 2017, 2, (2), 251-286
2016
- Business cycle and bank lending procyclicality in a dual banking system
Economic Modelling, 2016, 55, (C), 127-134 View citations (55)
- Does trust contribute to stock market development?
Economic Modelling, 2016, 52, (PA), 239-250 View citations (19)
- Institutional Quality and CO 2 Emission–Trade Relations: Evidence from Sub-Saharan Africa
South African Journal of Economics, 2016, 84, (2), 323-340 View citations (36)
2015
- Ethical behavior and trustworthiness in the stock market-growth nexus
Research in International Business and Finance, 2015, 33, (C), 44-58 View citations (11)
- Issues in Islamic banking and finance: Islamic banks, Shari’ah-compliant investment and sukuk
Pacific-Basin Finance Journal, 2015, 34, (C), 185-191 View citations (31)
- On building social capital for Islamic finance
International Journal of Islamic and Middle Eastern Finance and Management, 2015, 8, (1), 2-19
- Property rights and the stock market-growth nexus
The North American Journal of Economics and Finance, 2015, 32, (C), 48-63 View citations (7)
- The unique risk exposures of Islamic banks’ capital buffers: A dynamic panel data analysis
Journal of International Financial Markets, Institutions and Money, 2015, 36, (C), 36-52 View citations (41)
2014
- A structural VAR analysis of Islamic financing in Malaysia
Studies in Economics and Finance, 2014, 31, (4), 371-386 View citations (6)
- How inflationary are oil price hikes? A disaggregated look at Thailand using symmetric and asymmetric cointegration models
Journal of the Asia Pacific Economy, 2014, 19, (3), 409-422 View citations (23)
- Permanent and transitory oil volatility and aggregate investment in Malaysia
Energy Policy, 2014, 67, (C), 552-563 View citations (3)
- Social capital and CO2 emission—output relations: A panel analysis
Renewable and Sustainable Energy Reviews, 2014, 29, (C), 528-534 View citations (27)
- Tripartite analysis across business cycles in Turkey: A multi-timescale inquiry of efficiency, volatility and integration
Borsa Istanbul Review, 2014, 14, (4), 224-235 View citations (8)
2013
- DYNAMICS OF CONSUMER EXPENDITURE AND STOCK MARKET PRICES AND UNCERTAINTY: MALAYSIAN EVIDENCE
The Singapore Economic Review (SER), 2013, 58, (04), 1-17
- Institutional quality thresholds and the finance – Growth nexus
Journal of Banking & Finance, 2013, 37, (12), 5373-5381 View citations (109)
- Stock Market and Aggregate Investment Behavior in Malaysia: An Empirical Analysis
Transition Studies Review, 2013, 20, (2), 265-284 View citations (1)
- Was Bail-Out A Success? Evidence from the Investment-Cash Flow Relationship
Jurnal Ekonomi Malaysia, 2013, 47, (1), 31-40
2012
- Disaggregated consumer prices and oil price pass‐through: evidence from Malaysia
China Agricultural Economic Review, 2012, 4, (4), 514-529 View citations (13)
- Financial market risk and gold investment in an emerging market: the case of Malaysia
International Journal of Islamic and Middle Eastern Finance and Management, 2012, 5, (1), 25-34
Also in Journal for Economic Forecasting, 2011, (4), 79-89 (2011) View citations (4)
2011
- Inflation hedging effectiveness of an emerging Asian market: the case of Malaysia
International Journal of Economics and Business Research, 2011, 3, (5), 514-525 View citations (2)
- Level and Volatility of Stock Prices and Aggregate Investment: The Case of Thailand
Global Economic Review, 2011, 40, (4), 445-461 View citations (2)
2010
- An Empirical Analysis of Real Activity and Stock Returns in an Emerging Market
Economic Analysis and Policy, 2010, 40, (2), 263-271 View citations (7)
- Does Firm Size Matter for the Financial Constraints?
Jurnal Ekonomi Malaysia, 2010, 44, 73-81
- Forecasting inflation in Malaysia
Journal of Forecasting, 2010, 29, (6), 573-594 View citations (5)
- House price‐stock price relations in Thailand: an empirical analysis
International Journal of Housing Markets and Analysis, 2010, 3, (1), 69-82 View citations (17)
- Money-price relation in Malaysia: has it disappeared or strengthened?
Economic Change and Restructuring, 2010, 43, (4), 303-322
- Short-horizon Asymmetry in Conditional Mean of Asean Stock Market Returns
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2010, 6, (2), 115-128
- Stock market and aggregate consumption asymmetry: evidence from Malaysia
Studies in Economics and Finance, 2010, 27, (1), 19-29 View citations (3)
2009
- A Rolling Regression Analysis of International Transmission of Inflation in Malaysia
Margin: The Journal of Applied Economic Research, 2009, 3, (1), 21-39
- Long-Run Relationship and Dynamic Interactions between Housing and Stock Prices in Thailand
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2009, 5, (1), 93-105 View citations (3)
2007
- SECTORAL EFFECTS OF RINGGIT DEPRECIATION SHOCKS
Journal of Economic Development, 2007, 32, (2), 135-156
- THE YEN‐DOLLAR EXCHANGE RATE AND MALAYSIAN MACROECONOMIC DYNAMICS
The Developing Economies, 2007, 45, (3), 315-338 View citations (2)
- The role of the financial sector in economic development: the Malaysian case
International Review of Economics, 2007, 54, (4), 463-483 View citations (17)
2006
- INTERNATIONAL LINKAGE OF ASEAN STOCK PRICES: AN ANALYSIS OF RESPONSE ASYMMETRIES
Applied Econometrics and International Development, 2006, 6, (3) View citations (4)
- Integration or Segmentation of the Malaysian Equity Market: An Analysis of Pre- and Post-Capital Controls
Journal of the Asia Pacific Economy, 2006, 11, (4), 424-443 View citations (3)
See also Working Paper Integration or Segmentation of Malaysian Equity Market: An Analysis of Pre- and Post- Capital Controls, Finance (2004) View citations (1) (2004)
- Stock Prices and Bank Loan Dynamics in a Developing Country: The Case of Malaysia
Journal of Applied Economics, 2006, 9, (1), 71-89 View citations (14)
Also in Journal of Applied Economics, 2006, 9, 71-89 (2006) View citations (14)
2005
- Sectoral Effects of Monetary Policy: Evidence from Malaysia
Asian Economic Journal, 2005, 19, (1), 83-102 View citations (78)
2004
- A VAR Analysis of US and Japanese Effects on Malaysian Aggregate and Sectoral Output
International Journal of Applied Econometrics and Quantitative Studies, 2004, 1, (1), 5-28
- Response Asymmetries in the Linkages of Asean-5 Equity Prices
Capital Markets Review, 2004, 12, (1&2), 17-34
2003
- Daily Returns Seasonality and Impact of Stock Index Futures: Evidence From The Kuala Lumpur Stock Exchange
Capital Markets Review, 2003, 11, (1&2), 1-22
- Macroeconomic forces and capital market integration A VAR analysis for Malaysia
Journal of the Asia Pacific Economy, 2003, 8, (1), 19-40 View citations (21)
- Macroeconomic variables and the Malaysian equity market
Journal of Economic Studies, 2003, 30, (1), 6-27
- THE X-EFFICIENCY OF THE SUDANESE ISLAMIC BANKS
IIUM Journal of Economics and Management, 2003, 11, (2), 123-141 View citations (5)
2002
- An Empirical Note on the Export-Led Growth Hypothesis: The Case of Malaysia
Economic Analysis and Policy, 2002, 32, (2), 221-232 View citations (4)
2001
- Financial Factors and the Empirical Behavior of Money Demand: A Case Study of Malaysia
International Economic Journal, 2001, 15, (3), 55-72 View citations (14)
- MACROECONOMIC VARIABLES, EXCHANGE RATE AND STOCK PRICE: A MALAYSIAN PERSPECTIVE
IIUM Journal of Economics and Management, 2001, 9, (2), 141-164 View citations (17)
- The Effects of Government Spending on Private Capital Formation: The Case of Malaysia
Economia Internazionale / International Economics, 2001, 54, (2), 187-201 View citations (1)
- The Relationship between Stock Returns and Inflation: Evidence from Malaysia and Indonesia
Capital Markets Review, 2001, 9, (1&2), 129-154 View citations (4)
2000
- Financial Integration and Diversification Among Asean Equity Markets: A Malaysian Perspective
Capital Markets Review, 2000, 8, (1&2), 25-40 View citations (5)
- PUBLIC AND PRIVATE CAPITAL FORMATION AND ECONOMIC GROWTH IN MALAYSIA, 1961-1995
IIUM Journal of Economics and Management, 2000, 8, (1), 21-40 View citations (2)
1999
- Financial Liberalisation And Stock Market Volatility in Malaysia: A GARCH Approach
Capital Markets Review, 1999, 7, (1&2), 75-86
1998
- An Econometric Analysis of Money Demand and Its Stability in the Malaysian Economy
Indian Economic Review, 1998, 33, (1), 53-66 View citations (10)
- BAYESIAN ESTIMATION OF A SIMPLE SIMULTANEOUS EQUATION MODEL USING GIBBS SAMPLING
IIUM Journal of Economics and Management, 1998, 6, (1), 69-78
1997
- EFFICIENCY PERFORMANCE IN MALAYSIAN MANUFACTURING INDUSTRIES
Pakistan Journal of Applied Economics, 1997, 13, (2), 227-243 View citations (2)
- New Evidence on Day of the Week Effect in the Malaysian Stock Market
Capital Markets Review, 1997, 5, (1), 23-33 View citations (1)
- PATTERNS AND VARIATIONS IN STATE MANUFACTURING PRODUCTIVITY
IIUM Journal of Economics and Management, 1997, 5, (2), 39-65
1996
- Random Walk or Stationarity With-Structural Break in Malaysian Stock Prices: An Empirical Note
Capital Markets Review, 1996, 4, (2), 71-81
Books
2015
- Social Capital and Risk Sharing
Palgrave Studies in Islamic Banking, Finance and Economics, Palgrave Macmillan View citations (11)
Chapters
2017
- Explaining intermediation costs of Islamic banks in OIC countries
Chapter 17 in Handbook of Empirical Research on Islam and Economic Life, 2017, pp 395-410
2015
- Parting Thoughts
Palgrave Macmillan
- Risk Sharing and Crowdfunding
Palgrave Macmillan View citations (1)
- Risk Sharing and Social Impact Partnerships
Palgrave Macmillan View citations (3)
- Significance of Social Capital and Risk Sharing
Palgrave Macmillan View citations (2)
- Social and Moral Capital in Market Exchange
Palgrave Macmillan
- The Fountain of Social Capital: Love of the Creator and Oneness of Humanity
Palgrave Macmillan
- The Power of Social Capital in Reducing Financial Inequality
Palgrave Macmillan
- The Social Capital Fountain: Solidarity, Empathy, Trust, and Property Rights
Palgrave Macmillan
- Trust, Ethics, Stock Market, and Economic Growth
Palgrave Macmillan
2013
- Social Capital and Financial Market Development
Palgrave Macmillan View citations (4)
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|