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Sabur Mollah
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Shari’ah supervision, corporate governance and performance: Conventional vs. Islamic banks
S Mollah, M Zaman
Journal of Banking & Finance 58, 418-435, 2015
7872015
The governance, risk-taking, and performance of Islamic banks
S Mollah, MK Hassan, O Al Farooque, A Mobarek
Journal of financial services research 51, 195-219, 2017
4152017
A cross-country analysis of herd behavior in Europe
A Mobarek, S Mollah, K Keasey
Journal of International Financial Markets, Institutions and Money 32, 107-127, 2014
2592014
Ownership structure, corporate governance and firm performance: Evidence from an African emerging market
S Mollah, O Al Farooque, W Karim
Studies in Economics and finance 29 (4), 301-319, 2012
1692012
Does the impact of board independence on large bank risks change after the global financial crisis?
F Vallascas, S Mollah, K Keasey
Journal of Corporate Finance 44, 149-166, 2017
1322017
Equity market contagion during global financial and Eurozone crises: Evidence from a dynamic correlation analysis
S Mollah, AMMS Quoreshi, G Zafirov
Journal of International Financial Markets, Institutions and Money 41, 151-167, 2016
1272016
The influence of Agency costs on dividend policy in an emerging market: Evidence from the Dhaka stock Exchange
S Mollah, K Keasey, H Short
Paper of Workshop at the University of Oslo Norway, 2000
1072000
Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods
A Mobarek, G Muradoglu, S Mollah, AJ Hou
Journal of Financial Stability 24, 1-11, 2016
832016
Impact of board ownership, CEO‐Chair duality and foreign equity participation on auditor quality choice of IPO companies: Evidence from an emerging market
AKM Waresul Karim, T van Zijl, S Mollah
International Journal of Accounting & Information Management 21 (2), 148-169, 2013
602013
Do emerging market firms follow different dividend policies? Empirical investigation on the pre‐and post‐reform dividend policy and behaviour of Dhaka Stock Exchange listed firms
S Mollah
Studies in Economics and Finance 28 (2), 118-135, 2011
602011
Insider-trading, discretionary accruals and information asymmetry
A Chowdhury, S Mollah, O Al Farooque
The British Accounting Review 50 (4), 341-363, 2018
562018
CEO turnover in large banks: Does tail risk matter?
A Srivastav, K Keasey, S Mollah, F Vallascas
Journal of Accounting and Economics 64 (1), 37-55, 2017
532017
Does cyber tech spending matter for bank stability?
MH Uddin, S Mollah, MH Ali
International Review of Financial Analysis 72, 101587, 2020
472020
Corporate governance, risk-taking and firm performance of Islamic banks during global financial crisis
MK Hassan, S Mollah
Finance and development in Islamic economies conference, 1-36, 2014
432014
Governance and bank characteristics in the credit and sovereign debt crises–the impact of CEO power
S Mollah, E Liljeblom
Journal of financial stability 27, 59-73, 2016
362016
Strong board and risk-taking in Islamic banks
S Mollah, MT Skully, E Liljeblom
Review of Corporate Finance 1, 135-180, 2021
352021
Islamic finance: ethical underpinnings, products, and institutions
A Hassan, S Mollah
Springer, 2018
322018
Do dividends signal future earnings in the Nordic stock markets?
E Liljeblom, S Mollah, P Rotter
Review of Quantitative Finance and Accounting 44, 493-511, 2015
322015
Ownership Structure, Corporate Governance, and Firm's Performance in Emerging Markets: Evidence from Bangaldesh
S Mollah, B Talukdar
Corporate Governance, and Firm's Performance in Emerging Markets: Evidence …, 2007
322007
Bank corporate governance and future earnings predictability
S Mollah, O Al Farooque, A Mobarek, P Molyneux
Journal of Financial Services Research 56, 369-394, 2019
302019
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Artículos 1–20