Qualitative Research in Financial Markets: Volume 9 Issue 3

Subjects:

Table of contents

Attitude of bank credit managers and analysts towards firm diversification in Mozambique

Ibeawuchi Ibekwe

The purpose of this paper is to survey bank credit managers and analysts in Mozambique regarding their attitude toward firm diversification.

Behavior of fund managers in Malaysian investment management industry

Zamri Ahmad, Haslindar Ibrahim, Jasman Tuyon

This paper aims to explore the relevance of bounded rationality to the practice of institutional investors in Malaysia. Understanding institutional investor behavior is important…

2009

A holistic perspective on sustainable banking operating system drivers: A case study of Maybank group

Lay Hong Tan, Boon Cheong Chew, Syaiful Rizal Hamid

This paper aims to provide a more holistic perspective on rationales that motivated Maybank to move toward a sustainable banking operating system.

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The “market for information” – functions, problems and policy proposals

John Holland

Problems arose in the “market for information” (MFI) during the “dot.com” boom, the Enron case, Northern Rock failure and during the great financial crisis (GFC) of 2007-2009…

Capital structure of Islamic banks: a critical review of theoretical and empirical research

Muhammad Rizky Prima Sakti, Mohamad Ali Tareq, Buerhan Saiti, Tahir Akhtar

This paper aims to critically evaluate theoretical and empirical research into capital structure practices in Islamic banks (IBs) from four perspectives, namely, theoretical…

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Cover of Qualitative Research in Financial Markets

ISSN:

1755-4179

Online date, start – end:

2009

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Editor:

  • Prof Bruce Burton