Qualitative Research in Financial Markets
2009 - 2024
Current editor(s): Prof Bruce Burton From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). Access Statistics for this journal.
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Volume 15, issue 5, 2023
- A review of literature directions regarding the impact of fintech firms on the banking industry pp. 693-711

- Haitham Mohamed Elsaid
- Lived experiences of successful women entrepreneurs (SMEs) in Iran: a feminist phenomenological study pp. 712-731

- Fatemeh Sadrnabavi and Hanieh Daneshvar
- Banking service quality literature: a bibliometric review and future research agenda pp. 732-756

- Ritesh J. Patel and Aaliyah Siddiqui
- Do investment fund managers behave rationally in the light of central bank communication? Survey evidence from Poland pp. 757-794

- Rafał Wolski, Monika Bolek, Jerzy Gajdka, Janusz Brzeszczyński and Ali Kutan
- Tunisian corporate bond market liquidity: a qualitative approach pp. 795-819

- Olfa Berrich and Halim Dabbou
- Discourse and the creation of French green bond legitimacy pp. 820-840

- Umair Riaz, Muhammad Al Mahameed, Lisa Gentemann and Theresa Dunne
- Household finance: a systematic literature review and directions for future research pp. 841-887

- Nahid Zehra and Udai Bhan Singh
- Application oftawarruqin Islamic banking institutions in Somalia pp. 888-906

- Razali Haron and Galad Mohamed Barre
Volume 15, issue 4, 2022
- Governing Fintech for sustainable development: evidence from Italian banking system pp. 557-571

- Francesco Campanella, Luana Serino and Anna Crisci
- Do international investors care about ESG news? pp. 572-588

- Paola de Vincentiis
- Impacts of big data analytics adoption on firm sustainability performance pp. 589-607

- Sheshadri Chatterjee, Ranjan Chaudhuri, Demetris Vrontis and Alkis Thrassou
- Current state and future directions of green and sustainable finance: a bibliometric analysis pp. 608-629

- Muhammad Abubakr Naeem, Sitara Karim, Mustafa Raza Rabbani, Abu Bashar and Satish Kumar
- Transparency in the digitalization choices and the cost of equity capital pp. 630-646

- Antonio Salvi, Felice Petruzzella, Nicola Raimo and Filippo Vitolla
- The role of uncertainties on sustainable stocks and green bonds pp. 647-671

- Efe Cagli, Dilvin Taşkin and Pınar Evrim Mandaci
- Using a hermeneutic phenomenological approach to Twitter content: a social network’s analysis of green accounting as a dimension of sustainability pp. 672-692

- Shaizy Khan and Seema Gupta
Volume 15, issue 3, 2022
- Analysis of issues and solutions on the implementation ofistibdalwaqf property in states of Peninsular Malaysia pp. 423-444

- Afiffudin Mohammed Noor, Fathullah Asni, Mohd Afandi Mat Rani and Muhamad Rozaimi Ramle
- Financial inclusion: philosophical and methodological underpinnings pp. 445-452

- Nikhil Sapre
- Mitigating asymmetric information to enhance MSME Islamic financial inclusion by Islamic banks in Indonesia pp. 453-470

- Adi Saifurrahman and Salina H.J. Kassim
- An interactive qualitative analysis of academics’ views of a competency-based undergraduate qualification in risk management pp. 471-494

- Johan Marx and Cecilia Jacoba de Swardt
- The challenges foreign banks face in developing markets: an exploratory study pp. 495-513

- Najla Alomar, Milind Sathey and Peter Graham
- Exploring the development of Islamic fintech ecosystem in Indonesia: a text analytics pp. 514-533

- Fahmi Ali Hudaefi, M. Kabir Hassan and Muhamad Abduh
- Tax amnesty schemes, anti-money laundering regulations and customer due diligence by financial institutes: an evaluation of the implementation issues in Pakistan pp. 534-550

- Nasir Sultan, Norazida Mohamed and Dildar Hussain
Volume 15, issue 2, 2022
- What we know and what we should know about speed of capital structure adjustment: a retrospective using bibliometric and system thinking approach pp. 224-253

- Apoorva Arunachal Hegde, Venkateshwarlu Masuna, Ajaya Kumar Panda and Satish Kumar
- Decoding momentum returns: an integrated bibliometric and content analysis approach pp. 254-277

- Mayank Joshipura and Sangeeta Wats
- Stewardship theory of corporate governance and succession planning in family businesses of UAE: views of the owners pp. 278-295

- Mohamed Jasir, Naimat U. Khan and Yasser Barghathi
- A new proposal for the profit dıstribution system of the participation banking pp. 296-318

- Mehmet Bulut and Aydın Gündoğdu
- Corporate governance in a weak legal environment: a systematic review focusing on Zimbabwe pp. 319-335

- Kingstone Nyakurukwa and Yudhvir Seetharam
- Foreign divestments: a review and research agenda pp. 336-360

- H. Kent Baker, Deepak Kumar and Neelam Rani
- Will adoption of blockchain technology be challenging: evidence from Indian banking industry pp. 361-384

- Preeti Khanna and Arunima Haldar
- Initial public offering: a critical review of literature pp. 385-411

- Amith Vikram Megaravalli
Volume 15, issue 1, 2022
- Introducing an Islamic equity-based microfinance models for MSMEs in the State of Libya pp. 1-28

- Zainab Belal Lawhaishy and Anwar Hasan Abdullah Othman
- DARQ technologies in the financial sector: artificial intelligence applications in personalized banking pp. 29-57

- Gimede Gigante and Anna Zago
- Qard Hasan as a feasible Islamic financial instrument for crowdfunding: its potential and possible application for financing micro-enterprises in Malaysia pp. 58-76

- Abdulmajeed Muhammad Raji Aderemi and Muhammad Shahrul Ifwat Ishak
- Facilitator or enforcer, ally or enemy? Claimant’s perceptions of insurers’ roles in occupational rehabilitation pp. 77-97

- Jarna Pasanen
- Identifying salient beliefs underlying intention to save regularly: an elicitation study of Malaysian Gen Y pp. 98-118

- Ida Lopez, Nurul Shahnaz Mahdzan and Mahfuzur Rahman
- The potential of alternative investments as an asset class: a thematic and bibliometric review pp. 119-141

- Hardeep Singh Mundi and Deepak Kumar
- Agency problems in the private pension system of Turkey: pension sector employee perspectives pp. 142-159

- Remziye Gül Aslan
- Does Tawarruq still remain the top option for Islamic home financing (IHF) products in Malaysia? pp. 160-189

- Norhazlina Ibrahim and Safeza Mohd Sapian
- A systematic literature review and bibliometric analysis of noise trading pp. 190-215

- Sanjay Gupta, Nidhi Walia, Simarjeet Singh and Swati Gupta
Volume 14, issue 5, 2022
- Socio-economic development through self-help groups in rural India – a qualitative study pp. 621-636

- Vinay Kandpal
- Inside the black box of institutional investors in an emerging market: the role of sell side analyst outputs pp. 637-656

- Arit Chaudhury, Seshadev Sahoo and Varun Dawar
- Money creation and commercial banks’ money lending activity through the accounting treatment: stakeholders’ perceptions in Malaysia pp. 657-678

- Md Shamim Hossain, Ahmed Razman Abdul Latiff and Mohammad Noor Hisham Bin Osman
- Risk management practices of Islamic microfinance institutions to improve their financial performance and sustainability: a study on Baitut Tamwil Muhammadiyah, Indonesia pp. 679-696

- Mutamimah Mutamimah, Zaenudin Zaenudin and Widiyanto Bin Mislan Cokrohadisumarto
- An interwoven financialization narrative as a driver of the 2008 Crash pp. 697-767

- Jonathan Myers
- Mobile financial services (MFS) and digital inclusion – a study on customers’ retention and perceptions pp. 768-785

- Dilruba Afroze and Faria Islam Rista
Volume 14, issue 4, 2022
- Rules and regulations review on micro-takafulscheme development in Malaysia pp. 509-525

- Sofi Mohd Fikri, Asmadi Mohamed Naim, Selamah Maamor, Mohamad Yazid Isa, Shahrul Nizam Ahmad, Wahidah Shari and Nurul Aini Muhamed
- Valuations, marketing and uncertainty: a field study of financial analysts and salespeople pp. 526-549

- Emre Tarim
- Is recapitalisation regulation a disrupter? Survival and sustainability of indigenous Ghanaian banks pp. 550-569

- Lydia Nyankom Takyi and Vannie Naidoo
- Long-lasting heuristics principles for efficient investment decisions pp. 570-583

- Gregory Gadzinski, Markus Schuller and Shabnam Mousavi
- Caught in a trap? Financial Fair Play Regulations and the case of Scottish football pp. 584-601

- Finlay Maclean, Renzo Cordina and Martin J. Gannon
- A qualitative examination of changing investment preferences, sentiments and behavioural tendencies in COVID-19: a special case of Indian individual investors pp. 602-620

- Rupali Misra, Jaya Mamta Prosad, Shruti Ashok and Puneeta Goel
Volume 14, issue 3, 2021
- A qualitative inquiry into the capital structure decisions of overconfident finance managers of family-owned businesses in India pp. 357-379

- Hardeep Singh Mundi, Parmjit Kaur and R.L.N. Murty
- Capital structure puzzle and banks: need for a unique approach? pp. 380-394

- Ashish Pandey
- Analysis ofTawarruqcontract in the Islamic profit rate swap (IPRS) implementation in Malaysia pp. 395-412

- Azlin Alisa Ahmad, Mohd Hafiz Mohd Dasar and Nik Abdul Rahim Nik Abdul Ghani
- Is knowledge alone enough for socially responsible investing? A moderation of religiosity and serial mediation analysis pp. 413-432

- Pooja Mehta, Manjit Singh, Manju Mittal and Himanshu Singla
- Bibliometric study on asset pricing pp. 433-460

- Asgar Ali and Hajam Abid Bashir
- The experience and the prospects of Islamic finance in Kazakhstan pp. 461-482

- Nasim Shirazi, Laura A. Kuanova, Adilbek Ryskulov and Aziya G. Mukusheva
- Capital budgeting practices and political risk: evidence from Lebanon pp. 483-504

- Ahmed Bakri, Suzanne G.M. Fifield and David M. Power
Volume 14, issue 2, 2021
- Behavior biases and investment decision: theoretical and research framework pp. 213-228

- Satish K. Mittal
- Challenging investment decision-making in pension funds pp. 229-246

- Carl-Christian Trönnberg and Sven Hemlin
- Why non-Muslims subscribe to Islamic banking? pp. 247-269

- Buerhan Saiti, Abubakar Aliyu Ardo and Ibrahim Guran Yumusak
- Defining and measuring market sentiments: a review of the literature pp. 270-288

- Divya Aggarwal
- The early bird catches the retirement savings pp. 289-305

- Lucía Rey-Ares, Sara Fernández-López, María Milagros Vivel-Búa and Rubén Lado-Sestayo
- Performance measurement in Islamic microfinance institutions: does it change social norms and values? pp. 306-323

- Siti Nazariah Abdul Zalim
- Analyzing governance challenges using Process Net-Map: a case study of a government microcredit scheme in Bangladesh pp. 324-353

- Mst Tania Parvin and Regina Birner
Volume 14, issue 1, 2021
- Icarus of the 21st century: bond/monoline insurance pp. 1-52

- Dulani Jayasuriya Daluwathumullagamage
- Accounting for investor sentiment in news and disclosures pp. 53-75

- Prajwal Eachempati and Praveen Ranjan Srivastava
- Green sukuk – Malaysia surviving the bumpy road: performance, challenges and reconciled issuance framework pp. 76-94

- J.S. Keshminder, Mohammad Syafiq Abdullah and Marina Mardi
- The difference of Shariah risk potential and Shariah risk in personal financing products based on tawarruq munazzam contracts practised in Malaysia pp. 95-118

- Fathullah Asni
- Financial internationalization of emerging country multinationals: evidence from India pp. 119-148

- Mariam Jamaleh and Abha Shukla
- Unlocking the black box of private impact investors pp. 149-168

- Sarah Louise Carroux, Timo Busch and Falko Paetzold
- Interpreting banks’ sustainability initiatives as reputational risk management and mechanisms for coping, re-embedding and rebuilding societal trust pp. 169-188

- Mohamed Saeudy, Jill Atkins and Elisabetta A.V. Barone
- A qualitative phenomenological exploration of social mood and investors’ risk tolerance in an emerging economy pp. 189-211

- Humaira Asad, Iqra Toqeer and Khalid Mahmood
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