Ahmed Arif
Personal Details
First Name: | Ahmed |
Middle Name: | |
Last Name: | Arif |
Suffix: | |
RePEc Short-ID: | par447 |
[This author has chosen not to make the email address public] | |
https://people.uwe.ac.uk/Person/AhmedArif | |
07535850290 |
Affiliation
Department of Accounting, Economics and Finance
Bristol Business School
University of the West of England
Bristol, United Kingdomhttp://www.uwe.ac.uk/bbs/about/schools/econ.shtml
RePEc:edi:seuweuk (more details at EDIRC)
Research output
Jump to: ArticlesArticles
- Arif, Ahmed, 2020. "Effects of securitization and covered bonds on bank stability," Research in International Business and Finance, Elsevier, vol. 53(C).
- Arif Ahmed, 2019. "Regulations for Securitisation and Covered Bonds: Too Much or Too Little," European Company and Financial Law Review, De Gruyter, vol. 16(5), pages 535-556, October.
- Ahmed Arif & Bilal Aslam, 2014. "Determinants of Capital Structure: An Age Wise Analysis from Non-Financial Sector of Pakistan," International Journal of Empirical Finance, Research Academy of Social Sciences, vol. 3(2), pages 76-89.
- Ahmed Arif & Mohammad Afzal, 2012. "Credit Risk and Shareholders’ Value in a Developing Economy: Evidence from Pakistani Banking System," Journal of Economics and Behavioral Studies, AMH International, vol. 4(2), pages 87-95.
- Ahmed Arif & Ahmed Nauman Anees, 2012. "Liquidity risk and performance of banking system," Journal of Financial Regulation and Compliance, Emerald Group Publishing Limited, vol. 20(2), pages 182-195, May.
- Ahmed Arif & Mehwish Aziz Khan & Ferheen Kayani & Syed Zulfiqar Ali Shah, 2011. "Dividend Policy and Earnings Management: An Empirical Study of Pakistani Listed Companies," Information Management and Business Review, AMH International, vol. 3(2), pages 68-77.
Citations
Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.Articles
- Arif, Ahmed, 2020.
"Effects of securitization and covered bonds on bank stability,"
Research in International Business and Finance, Elsevier, vol. 53(C).
Cited by:
- Amine Tarazi & Tastaftiyan Risfandy & Irwan Trinugroho, 2020.
"Competition in dual markets : Implications for banking system stability,"
Post-Print
hal-03543678, HAL.
- Risfandy, Tastaftiyan & Tarazi, Amine & Trinugroho, Irwan, 2022. "Competition in dual markets: Implications for banking system stability," Global Finance Journal, Elsevier, vol. 52(C).
- Tastaftiyan Risfandy & Amine Tarazi & Irwan Trinugroho, 2018. "Competition in dual markets: Implications for banking system stability," Working Papers hal-01757982, HAL.
- El Moussawi, Chawki & Mansour, Rana, 2022. "Competition, cost efficiency and stability of banks in the MENA region," The Quarterly Review of Economics and Finance, Elsevier, vol. 84(C), pages 143-170.
- Arfan Wiraguna & Rofikoh Rokhim & Buddi Wibowo & Roy Sembel, 2023. "The Effect of MSME Loan Securitization on Bank Stability: Collective Roles of Mediators," Economic Research Guardian, Mutascu Publishing, vol. 13(2), pages 61-71, December.
- Cipollini, Fabrizio & Ielasi, Federica & Querci, Francesca, 2024. "Asset encumbrance in banks: Is systemic risk affected?," Research in International Business and Finance, Elsevier, vol. 67(PA).
- Battaglia, Francesca & Buchanan, Bonnie G. & Fiordelisi, Franco & Ricci, Ornella, 2021. "Securitization and crash risk: Evidence from large European banks," Journal of International Financial Markets, Institutions and Money, Elsevier, vol. 72(C).
- Abdelsalam, Omneya & Elnahass, Marwa & Ahmed, Habib & Williams, Julian, 2022. "Asset securitizations and bank stability: Evidence from different banking systems," Global Finance Journal, Elsevier, vol. 51(C).
- Wengerek, Sascha Tobias & Hippert, Benjamin & Uhde, André, 2022. "Risk allocation through securitization: Evidence from non-performing loans," The Quarterly Review of Economics and Finance, Elsevier, vol. 86(C), pages 48-64.
- Birindelli, Giuliana & Dell’Atti, Stefano & Di Tommaso, Caterina & Iannuzzi, Antonia Patrizia & Pacelli, Vincenzo, 2024. "The impact of banks’ climate engagement on systemic risk. Does committing a little or a lot make a difference?," Research in International Business and Finance, Elsevier, vol. 70(PB).
- Amine Tarazi & Tastaftiyan Risfandy & Irwan Trinugroho, 2020.
"Competition in dual markets : Implications for banking system stability,"
Post-Print
hal-03543678, HAL.
- Ahmed Arif & Mohammad Afzal, 2012.
"Credit Risk and Shareholders’ Value in a Developing Economy: Evidence from Pakistani Banking System,"
Journal of Economics and Behavioral Studies, AMH International, vol. 4(2), pages 87-95.
Cited by:
- Ilda Kadrimi Blaceri & Armela Anamali, 2019. "Fiscal Policy Challenges for Countries that Join the EU," European Journal of Economics and Business Studies Articles, Revistia Research and Publishing, vol. 5, ejes_v5_i.
- Ahmed Arif & Ahmed Nauman Anees, 2012.
"Liquidity risk and performance of banking system,"
Journal of Financial Regulation and Compliance, Emerald Group Publishing Limited, vol. 20(2), pages 182-195, May.
Cited by:
- Muhammad Ali, Khalid M. Iraqi, Abdul Waheed Khan, 2019. "Impact of Oil Prices on Stock Market Performance: Evidence from Top Oil Importing Countries," Journal of Finance and Economics Research, Geist Science, Iqra University, Faculty of Business Administration, vol. 4(2), pages 1-14, October.
- Le Ngoc Thuy Trang & Do Thi Thanh Nhan & Nguyen Thi Nhu Hao & Wing-Keung Wong, 2021. "Does Bank Liquidity Risk Lead To Bank'S Operational Efficiency? A Study In Vietnam," Advances in Decision Sciences, Asia University, Taiwan, vol. 25(4), pages 46-88, December.
- Handayani, Yuniorita Indah & Fadah, Isti & Utami, Elok Sri & Sumani,, 2020. "The Moderating Role of Corporate Social Responsibility in Determining Islamic Bank Margin," Jurnal Ekonomi Malaysia, Faculty of Economics and Business, Universiti Kebangsaan Malaysia, vol. 54(1), pages 97-110.
- Ahmad Saufi, Sarah, 2019. "The Determinant Of Liquidity Risk In Vf Corporation," MPRA Paper 97247, University Library of Munich, Germany, revised 25 Nov 2019.
- Hafiz Waqas Kamran & Dr. Shamsul Bahrain bin Mohamed Arshad & Dr. Abdelnaser Omran, 2019. "Liquidity Risk Management in Banking Sector under the Shadow of Systematic Risk and Economic Dynamics in Pakistan," Pakistan Journal of Humanities and Social Sciences, International Research Alliance for Sustainable Development (iRASD), vol. 7(2), pages :167-183, June.
- Dolly Gaur & Dipti Ranjan Mohapatra, 2021. "Non-performing Assets and Profitability: Case of Indian Banking Sector," Vision, , vol. 25(2), pages 180-191, June.
- Md. Harun Ur Rashid & Shah Asadullah Mohd. Zobair & Md. Asad Iqbal Chowdhury & Azharul Islam, 2020. "Corporate governance and banks’ productivity: evidence from the banking industry in Bangladesh," Business Research, Springer;German Academic Association for Business Research, vol. 13(2), pages 615-637, July.
- Ganić Mehmed, 2014. "An Empirical Study on Liquidity risk and its determinants in Bosnia and Herzegovina," Romanian Economic Journal, Department of International Business and Economics from the Academy of Economic Studies Bucharest, vol. 17(52), pages 157-183, June.
- Abdelaziz Hakimi & Khemais Zaghdoudi, 2017. "Liquidity Risk and Bank Performance: An Empirical Test for Tunisian Banks," Business and Economic Research, Macrothink Institute, vol. 7(1), pages 46-57, June.
- Hakimi Abdelaziz & Boussaada Rim & Hamdi Helmi, 2020.
"The Interactional Relationships Between Credit Risk, Liquidity Risk and Bank Profitability in MENA Region,"
Post-Print
hal-03511359, HAL.
- Hakimi Abdelaziz & Boussaada Rim & Hamdi Helmi, 2022. "The Interactional Relationships Between Credit Risk, Liquidity Risk and Bank Profitability in MENA Region," Global Business Review, International Management Institute, vol. 23(3), pages 561-583, June.
- Cipriano, Nur Alisha Arfiffy & Zulkeflee, Nur Nabila & Amran, Fasihah & Shahudin, Haziah Aishah, 2018. "Operational risk and its determinants among five companies in manufacturing industry in Germany," MPRA Paper 87013, University Library of Munich, Germany.
- Jono, Siti Junaidah, 2017. "The Relationship of Financial Risks Towards the Performance of Vivocom Intl Holdings Berhad," MPRA Paper 78590, University Library of Munich, Germany.
- Yiannis Anagnostopoulos & Jackie Kabeega, 2019. "Insider perspectives on European banking challenges in the post-crisis regulation environment," Journal of Banking Regulation, Palgrave Macmillan, vol. 20(2), pages 136-158, June.
- Olalere Oluwaseyi Ebenezer & Md. Aminul Islam & Wan Sallha Yusoff & Farid Ahammad Sobhani, 2019. "Exploring Liquidity Risk and Interest-Rate Risk: Implications for Profitability and Firm Value in Nigerian Banks," Journal of Reviews on Global Economics, Lifescience Global, vol. 8, pages 315-326.
- Hashed Mabkhot & Hamid Abdulkhaleq Hasan Al-Wesabi, 2022. "Banks’ Financial Stability and Macroeconomic Key Factors in GCC Countries," Sustainability, MDPI, vol. 14(23), pages 1-21, November.
- Michael Adusei, 2022. "The liquidity risk–financial performance nexus: Evidence from hybrid financial institutions," Managerial and Decision Economics, John Wiley & Sons, Ltd., vol. 43(1), pages 31-47, January.
- Kharisya Ayu Effendi & Disman Disman, 2017. "Liquidity Risk: Comparison between Islamic and Conventional Banking," European Research Studies Journal, European Research Studies Journal, vol. 0(2A), pages 308-318.
- Wong, Mei Kait, 2019. "An Analysis of the Effects of Operating Margin and Beta for Performance on Ford Motor Company," MPRA Paper 97251, University Library of Munich, Germany, revised 28 Nov 2019.
- Necla Ilter Kucukcolak & Figen Buyukakin & Recep Ali Kucukcolak, 2019. "Liquidity Risk Management in Islamic Banking: Comparative Analysis with SUR Methodology for Turkey," Journal of Economic Development, Environment and People, Alliance of Central-Eastern European Universities, vol. 8(4), pages 54-71, December.
- Ling, Coco Siu Yin, 2019. "Financial risk and its performance: A study on Apollo Food Holdings Berhad in Malaysia," MPRA Paper 97889, University Library of Munich, Germany, revised 18 Nov 2019.
- Eric Dei Ofosu-Hene & Peter Amoh, 2016. "Risk Management and Performance of Listed Banks in Ghana," European Journal of Business Science and Technology, Mendel University in Brno, Faculty of Business and Economics, vol. 2(2), pages 107-121.
- Zi Wei, Ch'ng, 2019. "The Impacts Of Firm-Specific Factors And Macroeconomics Factors Towards Adobe’S Performance," MPRA Paper 97246, University Library of Munich, Germany, revised 15 Nov 2019.
- Muhammad Ali & Chin-Hong Puah, 2018. "Does Bank Size and Funding Risk Effect Banks’ Stability? A Lesson from Pakistan," Global Business Review, International Management Institute, vol. 19(5), pages 1166-1186, October.
- Arif, Ahmed, 2020. "Effects of securitization and covered bonds on bank stability," Research in International Business and Finance, Elsevier, vol. 53(C).
- Hussain A. Bekhet & Ahmad Mohammad Alsmadi & Mohamed Khudari, 2020. "Effects of Internal and External Factors on Profitability of Jordanian Commercial Banks: Panel Data Approach," International Journal of Financial Research, International Journal of Financial Research, Sciedu Press, vol. 11(5), pages 359-375, October.
- Safa Jallali & Faten Zoghlami, 2021. "The relevance of risk management for bank profitability: evidence from selected Islamic banks," International Journal of Management and Decision Making, Inderscience Enterprises Ltd, vol. 20(2), pages 123-143.
- Ahmed Arif & Mehwish Aziz Khan & Ferheen Kayani & Syed Zulfiqar Ali Shah, 2011.
"Dividend Policy and Earnings Management: An Empirical Study of Pakistani Listed Companies,"
Information Management and Business Review, AMH International, vol. 3(2), pages 68-77.
Cited by:
- Oluwaseun Damilola Ajayi & Omokolade Akinsomi, 2022. "Do Internally Managed Reits Manage Earnings More Than Externally Managed Reits?," AfRES 2022-043, African Real Estate Society (AfRES).
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