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Qualitative Research in Financial Markets

2009 - 2024

Current editor(s): Prof Bruce Burton

From Emerald Group Publishing Limited
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Volume 7, issue 4, 2015

Fund manager trust and information complexity pp. 346-362 Downloads
Johan Henningsson, Ulf Johanson and Roland Almqvist
Corporate decision to remain private in Mozambique: a qualitative study pp. 363-378 Downloads
Ibeawuchi Ibekwe
Private ethical fund investors across countries and time: a survey-based review pp. 379-411 Downloads
Anett Wins and Bernhard Zwergel
Ownership as a determinant of chairperson activity: a study of Nordic listed companies pp. 412-428 Downloads
Tor Brunzell and Jarkko Peltomäki
Review of factors constraining the development of Indian corporate bond markets pp. 429-444 Downloads
Shagun Thukral, Sharada Sridhar and Medha Shriram Joshi

Volume 7, issue 3, 2015

Chasing momentum pp. 218-229 Downloads
Scott Pirie and Ronald King To Chan
Behavioral biases of Indian investors: a survey of Delhi-NCR region pp. 230-263 Downloads
Jaya Mamta Prosad, Sujata Kapoor and Jhumur Sengupta
On the role of loan officers’ psychological traits in predicting microcredit default accuracy pp. 264-289 Downloads
Ibtissem Baklouti
Teleinvestmentevangelists: celebrity, ritual and religion and the quest to “beat the market” pp. 290-308 Downloads
Douglas E Allen, Mary Keller and Elton (Skip) McGoun
Investor communication in equity-based crowdfunding: a qualitative-empirical study pp. 309-342 Downloads
Alexandra Moritz, Joern Block and Eva Lutz

Volume 7, issue 2, 2015

Facing up to fund managers pp. 111-135 Downloads
Les Coleman
An e-Delphi experiment of quality of equity predictions in online groups pp. 136-158 Downloads
Tobias Endress
Shari’ah supervision in the Yemeni Islamic banks: a qualitative survey pp. 159-172 Downloads
Abdullah Mohammed Ayedh and Abdelghani Echchabi
New regulations: challenge or opportunity for Turkish SMEs? pp. 173-190 Downloads
Sema Bayraktar
Identifying Islamic alternatives to short selling in Iranian stock market and prioritizing them using TOPSIS pp. 191-214 Downloads
Maysam Ahmadvand, Hadi Khajezadeh Dezfuli and Mohamad Javad Sadehvand

Volume 7, issue 1, 2015

Agency and stewardship attitudes of chief financial officers in private companies pp. 4-23 Downloads
Martin R. W. Hiebl
Internet banking and customer satisfaction in Pakistan pp. 24-36 Downloads
Syed Raza, Syed Tehseen Jawaid and Ayesha Hassan
An analysis of the viability of micro healthtakafulin Malaysia pp. 37-71 Downloads
Sheila Nu Nu Htay, Nur Shazwani Sadzali and Hanudin Amin
How fund managers in Malaysia make decisions pp. 72-87 Downloads
Samsukri Glanville bin Mohamad Glanville bin Mohamad and Chad Perry
Behavioural biases in investment decision making – a systematic literature review pp. 88-108 Downloads
Satish Kumar and Nisha Goyal

Volume 6, issue 3, 2014

Prospects for micro-insurance in promoting micro-credit in sub-Sahara Africa pp. 232-257 Downloads
Olajumoke Olaosebikan and Mike Adams
Measuring level of market orientation for an Islamic microfinance institution case study of Amanah Ikhtiar Malaysia (AIM) pp. 258-277 Downloads
Soheil Kazemian, Rashidah Abdul Rahman and Zuraeda Ibrahim
Value creation drivers in a secondary buyout – the acquisition of Brenntag by BC Partners pp. 278-301 Downloads
Ann-Kristin Achleitner, Christian Figge and Eva Lutz
Philip Fisher’s sense of numbers pp. 302-331 Downloads
Carlo Massironi
Working capital management during the global financial crisis: the Australian experience pp. 332-351 Downloads
Vikash Ramiah, Yilang Zhao and Imad Moosa

Volume 6, issue 2, 2014

Profiling German-speaking socially responsible investors pp. 118-156 Downloads
Gregor Dorfleitner and Sebastian Utz
Value-based assessment of sovereign risk pp. 157-172 Downloads
Eva-Maria Kalteier, Stephan Molt, Tristan Nguyen and Peter Posch
Working capital management: a literature review and research agenda pp. 173-197 Downloads
Harsh Pratap Singh and Satish Kumar
Shari’ahissues in Islamic banking: a qualitative survey in Malaysia pp. 198-210 Downloads
Abdelghani Echchabi and Hassanuddeen Abd. Aziz
Flooding and UK commercial property investment: what is the risk? pp. 211-226 Downloads
Gaye Pottinger and Anca Tanton

Volume 6, issue 1, 2014

Smaller university endowments: team characteristics, portfolio composition and performance pp. 4-32 Downloads
Mimi Lord
Economic performance, export, systemic barriers and equity investments in innovative companies pp. 33-65 Downloads
Lukasz Prorokowski
Financial risk perceptions: a consciousness perspective pp. 66-74 Downloads
Robert A. Olsen
Catastrophe risks, cat bonds and innovation resistance pp. 75-92 Downloads
Tristan Nguyen and Joerg Lindenmeier
A consensus-based corporate governance paradigm for Islamic banks pp. 93-108 Downloads
Monal Abdel-Baki and Valerio Leone Sciabolazza

Volume 5, issue 3, 2013

The optimal and decreasing growth rate of the Islamic banking industry pp. 229-243 Downloads
Rifki Ismal and Rice Haryati
Learning from experience or learning for convenience? pp. 244-255 Downloads
Duccio Martelli
Regulation of remuneration policy in the financial sector pp. 256-269 Downloads
Jonathan Ben Shlomo, Wolfgang Eggert and Tristan Nguyen
Italian banks' equity-based incentive plans: what does the future hold? pp. 270-292 Downloads
Stefano Dell'Atti, Stefania Sylos Labini and Saverio Morella

Volume 5, issue 2, 2013

An assessment of liquidity policies with respect to Islamic and conventional banks pp. 126-138 Downloads
Raditya Sukmana and Muhammad Kholid
Customer satisfaction management in Italian banks pp. 139-160 Downloads
Luciano Munari, Federica Ielasi and Luisa Bajetta
CEO social status and acquisitiveness pp. 161-177 Downloads
Brian Lucey, Yulia Plaksina and Michael Dowling
Unobservable service quality and moral hazard: the case of impartial business valuations pp. 178-194 Downloads
Jörg Prokop
Efficiency and productivity of banking sector pp. 195-224 Downloads
Dipasha Sharma, Anil K. Sharma and Mukesh K. Barua

Volume 5, issue 1, 2013

Complementing a positivist approach to investment analysis with critical realism pp. 6-25 Downloads
Loretta O'Donnell, Robin Kramar and Maria Dyball
Risk management in the Ghanaian insurance industry pp. 26-42 Downloads
Joseph Oscar Akotey and Joshua Abor
An investigation of the role of technical analysis in Kuwait pp. 43-64 Downloads
Hesham I. Almujamed, Suzanne Fifield and David Power
Post‐crisis bank liquidity risk management disclosure pp. 65-84 Downloads
Simplice Asongu
Targeting IPOs from the Central European emerging stock markets (CEESM) of Poland during the global financial crisis pp. 85-118 Downloads
Lukasz Prorokowski

Volume 4, issue 2/3, 2012

Why do customers patronize Islamic banks? A case study of Pakistan pp. 130-141 Downloads
Asma Abdul Rehman and Omar Masood
Training needs assessment in Islamic banking sector pp. 142-155 Downloads
Amna Asrar Mirza and Sumaira Riaz
Risk‐taking behaviour of Islamic banks: application of prospect theory pp. 156-164 Downloads
Nafis Alam and Kin Boon Tang
Customer satisfaction and service quality in Islamic banking pp. 165-175 Downloads
Asma Abdul Rehman
Rewards in faith‐based vs conventional banking pp. 176-196 Downloads
Shahid Muhammad Khan Ghauri and Amal Sabah Obaid Qambar
Credit risk management: a case differentiating Islamic and non‐Islamic banks in UAE pp. 197-205 Downloads
Omar Masood, Hasan Al Suwaidi and Priya Thapa
Sukukinvestment pp. 206-227 Downloads
Mariam Jamilah Abdul Jalil and Zuriah Abdul Rahman
Efficiency of Islamic banks: case of North African Arab countries pp. 228-239 Downloads
Jamal Ali Al‐Khasawneh, Karima Bassedat, Bora Aktan and Priya Thapa
Syariahaccounting and compliant screening practices pp. 240-254 Downloads
Catherine Soke Fun Ho, Omar Masood, Asma Abdul Rehman and Mondher Bellalah
Bank‐specific and macroeconomic profitability determinants of Islamic banks pp. 255-268 Downloads
Omar Masood and Muhammad Ashraf

Volume 4, issue 1, 2012

Individual investor biases: a segmentation analysis pp. 6-25 Downloads
Shalini Kalra Sahi and Ashok Pratap Arora
The influence of affect on stock price volatility: new theory and evidence pp. 26-35 Downloads
Robert A. Olsen
Assessment of cross‐border implications of economic and financial information for central European emerging stock market of Poland in times of the current financial crisis pp. 36-67 Downloads
Lukasz Prorokowski
The 2008 auction rate securities market collapse and US nonprofit health systems pp. 68-83 Downloads
Louis J. Stewart and Pamela C. Smith
Literature review of stock market integration: a global perspective pp. 84-122 Downloads
Anil Sharma and Neha Seth
Page updated 2025-04-17