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Advanced Search Results For "Finance"
Generation Z perceptions in paying Zakat, Infaq, and Sadaqah using Fintech: A comparative study of Indonesia and Malaysia
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 2, Pp 320-330 (2022)
Abstract:Generation Z is the future generation with technology familiarity and is a trendsetter in financial technology. This study aimed to compare (similarities and differences) perceptions of Generation Z Muslims in Indonesia and Malaysia in paying Zakat, In...
Financial stress, financial literacy, and financial insecurity in India’s informal sector during COVID-19
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 2, Pp 285-294 (2022)
- Authors:
- Thangaraj Ravikumar
- Mali Sriram
- S Girish
Abstract:The lockdowns and restrictions imposed to control COVID-19 have made life miserable for people, especially those involved in informal economic activities. The pandemic induced financial hardships, caused financial anxiety and financial stress among inf...
The potential for exchange-traded futures on recycled materials to improve recycling efficiency
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 93-104 (2022)
Abstract:Recycling has substantial environmental and economic benefits, but the recycling industry is relatively inefficient. Approximately half of all recyclable material is not actually recycled, and this inefficiency is economically and environmentally costl...
Governance cost and financial service efficiency in Nigeria
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 72-82 (2022)
Abstract:This study explored the influence of the governance cost on financial service efficiency in Nigeria. The recurrent collapse of reputable companies and banks due to agency problems have motivated this investigation. The study empirically sampled 40 fina...
The impact of cash holding on stock returns in small and medium enterprises on the Egyptian Nile Stock Exchange
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 83-92 (2022)
- Authors:
- Ahmed Rashed
- Waleed Ghoniem
Abstract:This paper explores the impact of cash holdings on stock returns in small and medium enterprises. The sample includes 24 SMEs listed on the Egyptian Nile Exchange, excluding service firms, with a total of 96 observations from 2016 to 2019. Data was col...
Forecasting the net investment position based on conventional and ESG stock market indices: The case of Ukraine and Austria
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 60-71 (2022)
- Authors:
- Alex Plastun
- Inna Makarenko
- Daniel Salabura
Abstract:This paper examines the relationship between traditional and ESG stock market indices and the net international investment position for the case of Austria and Ukraine. For these purposes, the following methods are used: variance analysis, ANOVA analys...
Corporate social responsibility disclosure and firm performance: Evidence from Vietnam
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 49-59 (2022)
- Authors:
- Ngoc Mai Tran
- Manh Ha Tran
Abstract:Corporate social responsibility (CSR) is quite a new concept to business and society in Vietnam. Information on CSR reflects a firm’s commitment to ethical behavior in its activities and reputation. However, it is questioned whether the information dis...
Macroeconomic variables, COVID-19 and the Indian stock market performance
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 28-37 (2022)
- Authors:
- Vandana Bhama
Abstract:India witnessed the first major wave of COVID-19 in 2020. The second major wave during April 2021 caused a higher number of infected cases across the country. These waves of COVID-19, rising cases and lockdown announcements severely impacted the Indian...
Indebtedness and profitability – A threshold model approach
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 13-27 (2022)
Abstract:This study seeks to expand upon existing empirical results about the effect of debt on corporate profitability. Indicators Debt ratio (DR) and Return on Equity (ROE) were used to examine the relationship between debt and corporate profitability. The in...
Modeling tail risk in Indian commodity markets using conditional EVT-VaR and their relation to the stock market
Publication Type:Academic Journal
Source(s):Investment Management & Financial Innovations, Vol 19, Iss 3, Pp 1-12 (2022)
- Authors:
- Shalini Agnihotri
- Kanishk Chauhan
Abstract:Investment in commodity markets in India accelerated after 2007; this was accompanied by large price variability, hence, it becomes imperative to measure commodity price risk precisely. It becomes equally important to study the relationship between com...