Special Issue Theme: Investment, Financial Risks and Corporate Sustainable Development in Asia

Published: 2021-12-10

Firm’s Size, Mandatory Adoption of IFRS and Corporate Risk Disclosure among Listed Non-Financial Firms in Saudi Arabia

Awatif Alsheikh, Mohamat Sabri Hassan, Norman Mohd-Saleh, Mohd Hafizuddin-Syah bin Abdullah, Warda Alsheikh

1–28

Liquidity Risk and Regulation in the Organization of the Islamic Cooperation (OIC) Banking Industry

Syajarul Imna Mohd Amin, Aisyah Abdul-Rahman, Nurhafiza Abdul Kader Malim

29–62

The Effects of Efficiency on Banks’ Market Risk: Empirical Evidence from China

Mohd Fahmee Ab-Hamid, Hawati Janor, Aisyah Abdul-Rahman, Mariani Abdul-Majid

81–106

Bank Heterogeneity in Interest Rate Pass-Through: A Panel Evidence from Pakistan

Abdul Rahman Nizamani, Zulkefly Abdul Karim, Mohd Azlan Shah Zaidi, Norlin Khalid

107–132

Dynamic Effect of Corporate Governance on Financing Decisions: Evidence from Sri Lanka

Ruzita Abdul-Rahim, Mohamed Cassim Abdul Nazar, Mohd Hasimi Yaacob

133–159

Environmental, Social and Governance and Creditworthiness: Two Contrary Evidence from Major Asian Markets

Narapong Srivisal, Natthawat Jamprasert, Jananya Sthienchoak, Pornpitchaya Kuwalairat

161–187