Qualitative Research in Financial Markets
Issue(s) available: 59 – From Volume: 1 Issue: 1, to Volume: 16 Issue: 3
Volume 15
Volume 13
Collaborative investor engagement with policymakers: changing the rules of the game?
Camila Yamahaki, Catherine MarchewitzApplying universal ownership theory and drawing on a multiplecase study design, this study aims to analyze what drives institutional investors to engage with government entities…
Pricing and performance of initial public offerings: directions for future research
Parveen Siwach, Prasanth Kumar R.This study aims to outline the research field of initial public offerings (IPOs) pricing and performance by combining bibliometric analysis with a systematic literature review…
Stock markets volatility during crises periods: a bibliometric analysis
Priyanka Goyal, Pooja SoniGiven the dearth of thorough summaries in the literature, this systematic review and bibliometric analysis attempt to take a meticulous approach meant to present knowledge on the…
An elicitation study to understand the equity investment motivation and decisions among Indian millennials
Sonal Ahuja, Brajesh KumarMillennials are a vital generational cohort of the Indian population, and understanding their motivation to participate in the stock market is crucial. This study aims to…
How the use of alternative information in risk management fintech platforms influences SME lending: a qualitative case study
Jie YanThe purpose of the study is to examine the use of alternative information in bank lending to small and medium enterprises (SMEs). Understanding alternative information and its use…
A bibliometric review of Islamic economics and finance bibliometric papers: an overview of the future of Islamic economics and finance
Denizar Abdurrahman Mi'raj, Salih UlevGiven the overlapping themes and periods in specific subjects within Islamic economics and finance bibliometric research, which may yield similar findings in bibliometric studies…
Foundations and trends in option pricing models: a 45 years global examination based on bibliometric analysis
Nisha , Neha Puri, Namita Rajput, Harjit SinghThe purpose of this study is to analyse and compile the literature on various option pricing models (OPM) or methodologies. The report highlights the gaps in the existing…
Shariah non-compliance risk and its management techniques: empirical evidences in selected wakalah sukuk documents issued in Malaysia jurisdiction
Noor Fadhzana Mohd NoorThis study aims to investigate the extent of Shariah compliance in wakalah sukuk and Shariah non-compliant risk disclosure in the sukuk documents and to analyse the risk…
Is the financial industry ready for circular economy and sustainable development goals? A case of a developing country
Muhammad Zahid, Mutahar Hayat, Haseeb Ur Rahman, Wajahat AliThis study aims to examine the role of Pakistan’s banking industry in the transition toward a circular economy (CE) and the implementation of sustainable development goals (SDGs).
Waqf for accelerating socioeconomic development: a proposed model with focus on Pakistan
Muhammad Ayub, Khurram Khan, Mansoor Khan, Muhammad IsmailThe unique institution of waqf that was ignored during the colonization of the Muslim areas has to be revived to play its role in shared growth, social inclusion and cohesion in…
Investors in the Bangladeshi stock market: issues, behavioural biases and circumvention strategies
Nazreen Tabassum Chowdhury, Nurul Shahnaz Mahdzan, Mahfuzur RahmanThis study aims to explore the underlying issues of behavioural biases in relation to stock market participation and the challenges of individual investors in Bangladesh. The…
Dividend announcements and stock returns: a retrospective analysis
Vineeta Kumari, Satish Kumar, Dharen Kumar Pandey, Prashant GuptaThis study aims to provide insights into different aspects of the extant literature on the effects of dividend announcements. Along with other outputs of a bibliometric study…
A bibliometric and systematic review analysis of adopting decision intelligence analytics for rational decision-making
Annu , Ravindra TripathiThis paper aims to study and discover the unsearched area in behavioral finance in the new era of technology enhancement. The study has been done with two significant…
Agency motives and the corporate diversification decision: perspectives of corporate executives in Nigeria
Ibeawuchi IbekweThe purpose of this study was to explore the motives (especially the agency motives) for corporate diversification from the perspective of corporate executives who make such…
Unravelling the board committee puzzle: a comprehensive review and future research agenda
Satya Prakash Mani, Shashank Bansal, Ratikant Bhaskar, Satish KumarThis study aims to examine the literature from the Web of Science database published on board committees between 2002 and 2023 and outline the quantitative summary, journey of…
Regulatory constraints, responsibilities and consultation (CRC) for legal institutionalization of cryptocurrencies in Pakistan
Rahman Ullah Khan, Karim Ullah, Muhammad AtiqThis study aims to synthesize the existing literature with insights gained from interviews conducted with regulatory experts. The objective is to analyse the challenges associated…
Transforming the nature of trust between banks and young clients: from traditional to digital banking
Valeriia MelnykThis study aims to explore how the shift from traditional to digital banking transforms the nature of trust between banks and their younger clients (aged 18–35) from the…
Regulatory issues inhibiting the financial inclusion: a case study among Islamic banks and MSMEs in Indonesia
Adi Saifurrahman, Salina Hj KassimThe primary objective of this study aims to intensively explore the environment of Indonesian regulations and laws related to the Islamic banking system and micro-, small- and…
Measuring behavioral biases in individual investors decision-making and sociodemographic correlations: a systematic review
Nicolas de Oliveira Cardoso, Eduarda Zorgi Salvador, Gustavo Broch, Frederike Monika Budiner Mette, Claudia Emiko Yoshinaga, Wagner de Lara MachadoThis paper aims to identify the impacts of sociodemographic covariates on behavioural biases (BB) scores; the psychometric evidence of the BB measurement instruments; and the main…
Dimensions of financial inclusion in India: a qualitative analysis of bankers perspective
Vinay KandpalThis qualitative study aims to examine bankers’ perspectives regarding financial inclusion, the challenges it faces and the scope for improvement. This research proposes a…
Heuristics in the wild: exploring fund manager decisions through the COVID pandemic
Daniel GilcherThis paper aims to provide a novel explorative perspective on fund managers’ decisions under uncertainty. The current COVID pandemic is used as a unique reference frame to study…
Literacy and strategic marketing to raise public awareness using Sharia pawnshops during the COVID-19 pandemic
Budi Sukardi, Novia Rachmadani Wijayanti, Fachrurazi FachruraziThe purpose of this study is to reveal empirical facts that literacy and marketing strategies effectively impact people using Sharia pawn products during the COVID-19 pandemic…
The impact of COVID-19 on the banking sector. Are we heading for the next banking crisis?
Kamila TomczakThis study aims to examine the effect of the COVID-19 pandemic on the banking sector and to assess if COVID-19 was a trigger for the banking crisis.
Can cryptocurrency solve the problem of financial constraint in corporates? A literature review and theoretical perspective
Neetu, Jacqueline SymssThis paper aims to attempt to examine some of the unique features of cryptocurrency and the reasons for its growing market acceptability. Given the expanding size of…
ISSN:
1755-4179Online date, start – end:
2009Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Prof Bruce Burton