Showing 421 - 440 results of 835 for search '"The Bankers"', query time: 0.07s Refine Results
  1. 421

    The impact of customer trust, customer identification and customer satisfaction towards customer loyalty in banking sector / Shahrul Ridzuan Jamari by Jamari, Shahrul Ridzuan

    Published 2018
    “…The emergence of new banking channels like as phone banking, Internet banking, Automated Teller Machines (ATM), furthermore developing financial market & global competition have constrained bankers to explore the importance of customer loyalty. …”
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    Student Project
  2. 422

    Advances of radiation sterilisation in tissue banking by Yusof, Norimah

    Published 2018
    “…Experience in meeting challenges in using radiation sterilisation and achievements reported by the tissue bankers are shared here.…”
    Article
  3. 423

    Islamicity of Banking and Modes of Islamic Banking by Muhammad Anwar

    Published 2000
    “…Economists, bankers, jurists, and other Islamic scholars interested in the discipline of banking have mainly focused on the issue of whether interest is riba, and if yes then how to conduct interest-free banking? …”
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    Inaugural Lecture
  4. 424

    Qualitative characteristics of financial reporting by Hasan, Md. Shamimul, Abdullah, Shamsul Nahar, Hossain, Syed Zabid Hossain

    Published 2014
    “…This empirical study evaluates the views and perceptions of external users about selected qualitative characteristics of corporate financial reports in Bangladesh.The selected qualitative characteristics were predictive value, feedback value, timeliness, verifiability, representational faithfulness, neutrality and comparability.An opinion survey was conducted on one hundred ninety external users specifically shareholders, stockbrokers, bankers, academicians and tax officers.The users’ perception about the qualitative characteristics of corporate financial reporting is far below the acceptable level and as such users have a negative attitude towards disclosures of financial reporting.The study suggests that Board of Directors(representatives of the majority shareholders) should try to resuscitate the confidence level of external users through ensuring good corporate governance with utmost sincerity and integrity.The BOD should also ensure that financial statements reflect the true and fair view of financial position, performance and the state of affairs of the reporting entity.This research may help policy makers, regulators, reporting entities, academicians, stakeholders, and other interested groups to endorse good corporate financial reporting environment in Bangladesh.…”
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    Article
  5. 425

    Global financial crisis: Lessons learned by Ahmad, Nor Hayati

    Published 2010
    “…A financial crisis appears to occur in a certain pattern; it usually starts with a rally of bank credits against a backdrop of easier monetary policy, ample liquidity, and more relaxed banking regulations.Such financial environment stimulates excess leverage to fund assets in real estates and housing in which consumers take advantage of cheap money and borrow heavily, while bankers zealously lend out in order to achieve high loan growth targets. …”
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    Article
  6. 426

    Does institutional quality reduce the impact of market concentration on bank stability? Evidence of developing countries by Hai-Tuan Nguyen

    Published 2023-06-01
    “…These results underscore the importance of a well-defined strategy for bank managers and bankers. When market concentration reaches a specific threshold, optimal bank stability is observed, and higher institutional quality contributes to improved bank stability. …”
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    Article
  7. 427

    Entrepreneurs' opinion towards credit rating in Saudi Arabia by Kamran Ahmed Siddiqui, Ishtiaq Ahmed Bajwa, Faisal Al-Hudithi, Tarig Eltayeb, Asma Khatoon, Suliman Bawardi

    Published 2021-12-01
    “…A sample of 210 respondents participated in this survey comprising entrepreneurs, business incubation managers, bankers, university professors, engineers, doctors, and other professionals. …”
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    Article
  8. 428

    The impact of macroprudential policy and political institutions on bank credit risk in Ethiopia: A dynamic ordinary least squares analysis by Mohammed Adem

    Published 2023-12-01
    “…The outcomes of this study provide significant implications for authorities and bankers in developing countries such as Ethiopia in the understanding of credit risk-determining elements to implement prudential rules and remedial management policies.…”
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    Article
  9. 429

    Does Income Diversification Benefit the Sustainable Development of Chinese Listed Banks? Analysis Based on Entropy and the Herfindahl–Hirschman Index by Huichen Jiang, Liyan Han

    Published 2018-04-01
    “…We believe the combination of the entropy index (ENTI) and the HHI enables more efficient study of the relationship between diversification and profitability or risk more efficiently. Bankers and their customers have increasingly been interested in income diversification, and they value risk as well. …”
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    Article
  10. 430

    The UCP 600 Rules In Letter Of Credit (LC): Selected Issues by Rosmawani Che Hasyim

    Published 2016-11-01
    “…This paper discusses the rules provided by the latest UCP 600 focusing on the significant issues in LC such as bankers’ autonomy, revocable and irrevocable LC, strict compliance, notice of refusal and fraud. …”
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    Article
  11. 431

    FRAUD RISK AND AUDIT QUALITY: THE CASE OF US PUBLIC FIRMS by Hela Frikha Chaari, Amel Belanès, Azhaar Lajmi

    Published 2022-06-01
    “…Also, the adopted model helps regulators, bankers, managers and auditors to detect fraud at an early stage. …”
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    Article
  12. 432

    15.997 Advanced Corporate Risk Management, Spring 2007 by Parsons, John E., Obizhaeva, Anna

    Published 2007
    “…Most courses on derivatives, futures and options, and financial engineering are taught from the viewpoint of investment bankers and traders in the securities. This course is taught from the point of view of the manufacturing corporation, the utility, the software firm — any potential end-user of derivatives, but not the dealer. …”
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  13. 433

    Evaluation of paper-based payment methods in Singapore by Chan, Loke Yee, Kwok, Puay San, Lim, Ng Chin

    Published 2015
    “…The paper-based payment methods under the study include banknotes and coins, bills of exchange, cheques and bankers' draft. Credit cards, another increasingly popular payment method, which have become an important part of the international payment systems, would also be highlighted. …”
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    Final Year Project (FYP)
  14. 434

    Lending structure and 3-factor CAPM risk exposures: the case of Malaysia (Struktur pinjaman dan pendedahan risiko bagi 3-Faktor CAPM: kajian kes di Malaysia) by Abdul Rahman, Aisyah, Ibrahim, Mansor, Mydin Meera, Ahamed Kameel

    Published 2010
    “…Thus, the policy makers, bankers, and investors should not ignore the significant role of the lending structure when developing a strategic risk management framework.…”
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    Article
  15. 435

    Quantitative analysis on the correlation between risks: empirical evidence from banks in United Kingdom by Htay, Sheila Nu Nu, Syed, Ahmed Salman

    Published 2013
    “…The findings show the evidence that there is a relationship between tested risk and it is expected that the findings will be the interest of the bankers to see which risk is the source of other risks.…”
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    Article
  16. 436

    Arbitration of Islamic finance disputes in Malaysia: a SWOT analysis by Oseni, Umar Aimhanosi, Abdul-Qadir Zubair, Aishat

    Published 2014
    “…It analyzes the needs and expectations of the parties (bankers and customers) vis-à-vis the existing legal framework for arbitration in Malaysia. …”
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    Proceeding Paper
  17. 437

    An overview of ibra' implementation in Malaysian Islamic Banks / Mohd Ab Malek Md Shah … [et al.] by Md Shah, Mohd Ab Malek, Mohd Jody, Jeniwaty, Shahudin, Mohd Harun, Mahzan, Sulaiman

    Published 2016
    “…Hence, this paper aimed to explore the fundamental concept of ibra' as practised by the bankers currently within the ambit of Islamic teaching. …”
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    Article
  18. 438

    Investors with the Golden-I: preference in Gold-I investment / Zaimy Johana Johan. by Johan, Zaimy Johana

    Published 2020
    “…This research further enrichesknowledge and contributes to the advancement of research in goldinvestment, hence enabling researchers, bankers, investors, tradepolicymakers to understand further the investment in Gold-i duringeconomic crises, in particular the current recession triggered by theCovid-19 pandemic.…”
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    Article
  19. 439

    House prices and Islamic bank stability in Indonesia : evidence from autoregressive distributed lag (ARDL) model by Sukmana, Raditya, Setianto, Rahmat Heru

    Published 2018
    “…Our findings have important implications for bankers, monetary authority and investors in determining policy and business decisions especially in stabilizing house price for low income earners.…”
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    Article
  20. 440

    Current practices of Islamic home financing: a case of musharakah mutanaqisah in Malaysia by Hanafi, H.

    Published 2014
    “…In achieving the aims, this study employed the interviews with 19 individuals who are actively involved in the implementation of MM home financing in Malaysia including Islamic bankers, Islamic economists, Shari 'ah advisor and regulator. …”
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    Conference or Workshop Item