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Details about Mansor H. Ibrahim

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Workplace:International Centre for Education in Islamic Finance (INCEIF), (more information at EDIRC)

Access statistics for papers by Mansor H. Ibrahim.

Last updated 2024-08-08. Update your information in the RePEc Author Service.

Short-id: pib4


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Working Papers

2014

  1. Islamic Banks’ Capital Buffers: Unique Risk Exposures and the Disciplining Effects of Charter Values
    MPRA Paper, University Library of Munich, Germany Downloads

2004

  1. Integration or Segmentation of Malaysian Equity Market: An Analysis of Pre- and Post- Capital Controls
    Finance, University Library of Munich, Germany Downloads 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) Downloads View citations (3) (2006)

Journal Articles

2024

  1. MONETARY POLICY, FINANCIAL DEVELOPMENT AND INCOME INEQUALITY IN DEVELOPING COUNTRIES
    The Singapore Economic Review (SER), 2024, 69, (02), 859-889 Downloads

2023

  1. Environment, social and governance (ESG) performance and CDS spreads: the role of country sustainability
    Journal of Risk Finance, 2023, 24, (5), 585-613 Downloads View citations (3)

2022

  1. 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 Downloads View citations (14)

2021

  1. Competition, diversification and performance in dual banking: a panel VAR analysis
    Economic Research-Ekonomska Istraživanja, 2021, 34, (1), 194-220 Downloads
  2. Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems?
    Pacific-Basin Finance Journal, 2021, 68, (C) Downloads View citations (6)
  3. Ethical investing and capital structure
    Emerging Markets Review, 2021, 47, (C) Downloads View citations (3)
  4. 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 Downloads

2020

  1. 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 Downloads View citations (1)
  2. ISLAMIC BANKING AND BANK PERFORMANCE IN MALAYSIA: AN EMPIRICAL ANALYSIS
    Journal of Islamic Monetary Economics and Finance, 2020, 6, (3), 487-502 Downloads View citations (2)
  3. International Financial Integration through Depositary Receipts (DRs)
    Journal of Accounting and Finance in Emerging Economies, 2020, 6, (1), 301-322 Downloads
  4. Which Sustainability Dimensions Affect Credit Risk? Evidence from Corporate and Country-Level Measures
    JRFM, 2020, 13, (12), 1-22 Downloads View citations (6)

2019

  1. CAPITAL REGULATION AND ISLAMIC BANKING PERFORMANCE: PANEL EVIDENCE
    Bulletin of Monetary Economics and Banking, 2019, 22, (1), 47-68 Downloads
  2. FINANCIAL INTERMEDIATION COSTS IN A DUAL BANKING SYSTEM: THE ROLE OF ISLAMIC BANKING
    Bulletin of Monetary Economics and Banking, 2019, 22, (4), 531-552 Downloads View citations (2)
  3. Oil and macro-financial linkages: Evidence from the GCC countries
    The Quarterly Review of Economics and Finance, 2019, 72, (C), 1-13 Downloads View citations (15)
  4. Structural changes, competition and bank stability in Malaysia’s dual banking system
    Economic Systems, 2019, 43, (1), 111-129 Downloads View citations (10)
  5. The Impact of Charter Values on Bank Capital in Asia: A Threshold Regression Analysis
    Emerging Markets Finance and Trade, 2019, 55, (3), 655-670 Downloads View citations (1)

2018

  1. 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 Downloads View citations (42)
  2. Finance And Inequality In Eight Asian Countries: Does Size Matter
    Bulletin of Monetary Economics and Banking, 2018, 21, (1), 33-56 Downloads
  3. Islamic economics and Islamic finance in the world economy
    The World Economy, 2018, 41, (3), 668-673 Downloads View citations (7)
  4. THEORETICAL IMPACT OF ENHANCED MUSHARAKAH MUTANAQISAH HOME FINANCING ON REAL ESTATE PRICES
    Journal of Islamic Monetary Economics and Finance, 2018, 4, (1), 133-160 Downloads
  5. Trade–finance complementarity and carbon emission intensity: panel evidence from middle-income countries
    Environment Systems and Decisions, 2018, 38, (4), 489-500 Downloads View citations (4)

2017

  1. Credit expansion and financial stability in Malaysia
    Economic Modelling, 2017, 61, (C), 339-350 Downloads View citations (22)
  2. Do we need bigger Islamic banks? An assessment of bank stability
    Journal of Multinational Financial Management, 2017, 40, (C), 77-91 Downloads View citations (28)
  3. How Islamic are Islamic banks? A non-linear assessment of Islamic rate – conventional rate relations
    Economic Modelling, 2017, 64, (C), 443-448 Downloads View citations (15)
  4. 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 Downloads

2016

  1. Business cycle and bank lending procyclicality in a dual banking system
    Economic Modelling, 2016, 55, (C), 127-134 Downloads View citations (55)
  2. Does trust contribute to stock market development?
    Economic Modelling, 2016, 52, (PA), 239-250 Downloads View citations (19)
  3. Institutional Quality and CO 2 Emission–Trade Relations: Evidence from Sub-Saharan Africa
    South African Journal of Economics, 2016, 84, (2), 323-340 Downloads View citations (36)

2015

  1. Ethical behavior and trustworthiness in the stock market-growth nexus
    Research in International Business and Finance, 2015, 33, (C), 44-58 Downloads View citations (11)
  2. Issues in Islamic banking and finance: Islamic banks, Shari’ah-compliant investment and sukuk
    Pacific-Basin Finance Journal, 2015, 34, (C), 185-191 Downloads View citations (31)
  3. On building social capital for Islamic finance
    International Journal of Islamic and Middle Eastern Finance and Management, 2015, 8, (1), 2-19 Downloads
  4. Property rights and the stock market-growth nexus
    The North American Journal of Economics and Finance, 2015, 32, (C), 48-63 Downloads View citations (7)
  5. 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 Downloads View citations (41)

2014

  1. A structural VAR analysis of Islamic financing in Malaysia
    Studies in Economics and Finance, 2014, 31, (4), 371-386 Downloads View citations (6)
  2. 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 Downloads View citations (23)
  3. Permanent and transitory oil volatility and aggregate investment in Malaysia
    Energy Policy, 2014, 67, (C), 552-563 Downloads View citations (3)
  4. Social capital and CO2 emission—output relations: A panel analysis
    Renewable and Sustainable Energy Reviews, 2014, 29, (C), 528-534 Downloads View citations (27)
  5. Tripartite analysis across business cycles in Turkey: A multi-timescale inquiry of efficiency, volatility and integration
    Borsa Istanbul Review, 2014, 14, (4), 224-235 Downloads View citations (8)

2013

  1. DYNAMICS OF CONSUMER EXPENDITURE AND STOCK MARKET PRICES AND UNCERTAINTY: MALAYSIAN EVIDENCE
    The Singapore Economic Review (SER), 2013, 58, (04), 1-17 Downloads
  2. Institutional quality thresholds and the finance – Growth nexus
    Journal of Banking & Finance, 2013, 37, (12), 5373-5381 Downloads View citations (109)
  3. Stock Market and Aggregate Investment Behavior in Malaysia: An Empirical Analysis
    Transition Studies Review, 2013, 20, (2), 265-284 Downloads View citations (1)
  4. Was Bail-Out A Success? Evidence from the Investment-Cash Flow Relationship
    Jurnal Ekonomi Malaysia, 2013, 47, (1), 31-40 Downloads

2012

  1. Disaggregated consumer prices and oil price pass‐through: evidence from Malaysia
    China Agricultural Economic Review, 2012, 4, (4), 514-529 Downloads View citations (13)
  2. 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 Downloads
    Also in Journal for Economic Forecasting, 2011, (4), 79-89 (2011) Downloads View citations (4)

2011

  1. Inflation hedging effectiveness of an emerging Asian market: the case of Malaysia
    International Journal of Economics and Business Research, 2011, 3, (5), 514-525 Downloads View citations (2)
  2. Level and Volatility of Stock Prices and Aggregate Investment: The Case of Thailand
    Global Economic Review, 2011, 40, (4), 445-461 Downloads View citations (2)

2010

  1. An Empirical Analysis of Real Activity and Stock Returns in an Emerging Market
    Economic Analysis and Policy, 2010, 40, (2), 263-271 Downloads View citations (7)
  2. Does Firm Size Matter for the Financial Constraints?
    Jurnal Ekonomi Malaysia, 2010, 44, 73-81 Downloads
  3. Forecasting inflation in Malaysia
    Journal of Forecasting, 2010, 29, (6), 573-594 Downloads View citations (5)
  4. House price‐stock price relations in Thailand: an empirical analysis
    International Journal of Housing Markets and Analysis, 2010, 3, (1), 69-82 Downloads View citations (17)
  5. Money-price relation in Malaysia: has it disappeared or strengthened?
    Economic Change and Restructuring, 2010, 43, (4), 303-322 Downloads
  6. 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 Downloads
  7. Stock market and aggregate consumption asymmetry: evidence from Malaysia
    Studies in Economics and Finance, 2010, 27, (1), 19-29 Downloads View citations (3)

2009

  1. A Rolling Regression Analysis of International Transmission of Inflation in Malaysia
    Margin: The Journal of Applied Economic Research, 2009, 3, (1), 21-39 Downloads
  2. 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 Downloads View citations (3)

2007

  1. SECTORAL EFFECTS OF RINGGIT DEPRECIATION SHOCKS
    Journal of Economic Development, 2007, 32, (2), 135-156 Downloads
  2. THE YEN‐DOLLAR EXCHANGE RATE AND MALAYSIAN MACROECONOMIC DYNAMICS
    The Developing Economies, 2007, 45, (3), 315-338 Downloads View citations (2)
  3. The role of the financial sector in economic development: the Malaysian case
    International Review of Economics, 2007, 54, (4), 463-483 Downloads View citations (17)

2006

  1. INTERNATIONAL LINKAGE OF ASEAN STOCK PRICES: AN ANALYSIS OF RESPONSE ASYMMETRIES
    Applied Econometrics and International Development, 2006, 6, (3) Downloads View citations (4)
  2. 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 Downloads View citations (3)
    See also Working Paper Integration or Segmentation of Malaysian Equity Market: An Analysis of Pre- and Post- Capital Controls, Finance (2004) Downloads View citations (1) (2004)
  3. Stock Prices and Bank Loan Dynamics in a Developing Country: The Case of Malaysia
    Journal of Applied Economics, 2006, 9, (1), 71-89 Downloads View citations (14)
    Also in Journal of Applied Economics, 2006, 9, 71-89 (2006) Downloads View citations (14)

2005

  1. Sectoral Effects of Monetary Policy: Evidence from Malaysia
    Asian Economic Journal, 2005, 19, (1), 83-102 Downloads View citations (78)

2004

  1. 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 Downloads
  2. Response Asymmetries in the Linkages of Asean-5 Equity Prices
    Capital Markets Review, 2004, 12, (1&2), 17-34 Downloads

2003

  1. 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 Downloads
  2. Macroeconomic forces and capital market integration A VAR analysis for Malaysia
    Journal of the Asia Pacific Economy, 2003, 8, (1), 19-40 Downloads View citations (21)
  3. Macroeconomic variables and the Malaysian equity market
    Journal of Economic Studies, 2003, 30, (1), 6-27 Downloads
  4. THE X-EFFICIENCY OF THE SUDANESE ISLAMIC BANKS
    IIUM Journal of Economics and Management, 2003, 11, (2), 123-141 Downloads View citations (5)

2002

  1. An Empirical Note on the Export-Led Growth Hypothesis: The Case of Malaysia
    Economic Analysis and Policy, 2002, 32, (2), 221-232 Downloads View citations (4)

2001

  1. Financial Factors and the Empirical Behavior of Money Demand: A Case Study of Malaysia
    International Economic Journal, 2001, 15, (3), 55-72 Downloads View citations (14)
  2. MACROECONOMIC VARIABLES, EXCHANGE RATE AND STOCK PRICE: A MALAYSIAN PERSPECTIVE
    IIUM Journal of Economics and Management, 2001, 9, (2), 141-164 Downloads View citations (17)
  3. 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)
  4. The Relationship between Stock Returns and Inflation: Evidence from Malaysia and Indonesia
    Capital Markets Review, 2001, 9, (1&2), 129-154 Downloads View citations (4)

2000

  1. Financial Integration and Diversification Among Asean Equity Markets: A Malaysian Perspective
    Capital Markets Review, 2000, 8, (1&2), 25-40 Downloads View citations (5)
  2. PUBLIC AND PRIVATE CAPITAL FORMATION AND ECONOMIC GROWTH IN MALAYSIA, 1961-1995
    IIUM Journal of Economics and Management, 2000, 8, (1), 21-40 Downloads View citations (2)

1999

  1. Financial Liberalisation And Stock Market Volatility in Malaysia: A GARCH Approach
    Capital Markets Review, 1999, 7, (1&2), 75-86 Downloads

1998

  1. An Econometric Analysis of Money Demand and Its Stability in the Malaysian Economy
    Indian Economic Review, 1998, 33, (1), 53-66 View citations (10)
  2. BAYESIAN ESTIMATION OF A SIMPLE SIMULTANEOUS EQUATION MODEL USING GIBBS SAMPLING
    IIUM Journal of Economics and Management, 1998, 6, (1), 69-78 Downloads

1997

  1. EFFICIENCY PERFORMANCE IN MALAYSIAN MANUFACTURING INDUSTRIES
    Pakistan Journal of Applied Economics, 1997, 13, (2), 227-243 Downloads View citations (2)
  2. New Evidence on Day of the Week Effect in the Malaysian Stock Market
    Capital Markets Review, 1997, 5, (1), 23-33 Downloads View citations (1)
  3. PATTERNS AND VARIATIONS IN STATE MANUFACTURING PRODUCTIVITY
    IIUM Journal of Economics and Management, 1997, 5, (2), 39-65 Downloads

1996

  1. Random Walk or Stationarity With-Structural Break in Malaysian Stock Prices: An Empirical Note
    Capital Markets Review, 1996, 4, (2), 71-81 Downloads

Books

2015

  1. Social Capital and Risk Sharing
    Palgrave Studies in Islamic Banking, Finance and Economics, Palgrave Macmillan View citations (11)

Chapters

2017

  1. 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 Downloads

2015

  1. Parting Thoughts
    Palgrave Macmillan
  2. Risk Sharing and Crowdfunding
    Palgrave Macmillan View citations (1)
  3. Risk Sharing and Social Impact Partnerships
    Palgrave Macmillan View citations (3)
  4. Significance of Social Capital and Risk Sharing
    Palgrave Macmillan View citations (2)
  5. Social and Moral Capital in Market Exchange
    Palgrave Macmillan
  6. The Fountain of Social Capital: Love of the Creator and Oneness of Humanity
    Palgrave Macmillan
  7. The Power of Social Capital in Reducing Financial Inequality
    Palgrave Macmillan
  8. The Social Capital Fountain: Solidarity, Empathy, Trust, and Property Rights
    Palgrave Macmillan
  9. Trust, Ethics, Stock Market, and Economic Growth
    Palgrave Macmillan

2013

  1. Social Capital and Financial Market Development
    Palgrave Macmillan View citations (4)
 
Page updated 2024-12-03