Asset‐Liability Management and bank profitability: Statistical cost accounting analysis from an emerging market (English)
- New search for: Owusu, Freeman Brobbey
- New search for: Alhassan, Abdul Latif
- New search for: Owusu, Freeman Brobbey
- New search for: Alhassan, Abdul Latif
In:
International Journal of Finance & Economics
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26
, 1
;
1488-1502
;
2021
- Article (Journal) / Electronic Resource
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Title:Asset‐Liability Management and bank profitability: Statistical cost accounting analysis from an emerging market
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Contributors:Owusu, Freeman Brobbey ( author ) / Alhassan, Abdul Latif ( author )
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Published in:International Journal of Finance & Economics ; 26, 1 ; 1488-1502
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Publisher:
- New search for: John Wiley & Sons, Ltd.
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Publication date:2021-01-01
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Size:15 pages
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ISSN:
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DOI:
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Type of media:Article (Journal)
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Type of material:Electronic Resource
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Language:English
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Keywords:
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Source:
Table of contents – Volume 26, Issue 1
The tables of contents are generated automatically and are based on the data records of the individual contributions available in the index of the TIB portal. The display of the Tables of Contents may therefore be incomplete.
- 1
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Issue Information| 2021
- 6
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A note to our readership and the wider research community from the IJFE editor concerning an instance of plagiarism by Abdelkader Derbali and Ali Lamouchi| 2021
- 7
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The triple (T3) dimension of systemic risk: Identifying systemically important banksFoglia, Matteo / Angelini, Eliana et al. | 2021
- 27
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Can sustainable withdrawal rates be enhanced by trend following?Clare, Andrew D. / Seaton, James / Smith, Peter N. / Thomas, Stephen H. et al. | 2021
- 42
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Financial inclusion and human development in frontier countriesOfosu‐Mensah Ababio, Josephine / Attah‐Botchwey, Edward / Osei‐Assibey, Eric / Barnor, Charles et al. | 2021
- 60
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Credit information sharing and the shift in bank lending towards householdsBahadir, Berrak / Valev, Neven et al. | 2021
- 73
-
Promoting financial literacy through a digital platform: A pilot study in LuxembourgLi, Jian / Meyer‐Cirkel, Alexis et al. | 2021
- 88
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Executive compensation and firm performance: Evidence from cross‐listed AH‐share firmsCui, Xuegang / Xu, Lei / Zhang, Huili / Zhang, Yuxiao et al. | 2021
- 103
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Determinants of financial crises—An early warning system based on panel logit regressionJemović, Mirjana / Marinković, Srđan et al. | 2021
- 118
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Does volume really matter? A risk management perspective using cross‐country evidencePatra, Saswat / Bhattacharyya, Malay et al. | 2021
- 136
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Central bank's money market operations and daily stock returnsChundakkadan, Radeef / Sasidharan, Subash et al. | 2021
- 153
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Dynamic return and volatility spillovers among S&P 500, crude oil, and goldBalcilar, Mehmet / Ozdemir, Zeynel Abidin / Ozdemir, Huseyin et al. | 2021
- 171
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Nonlinear adjustment of exchange rate and exchange rate policy: Lessons from SingaporeYan, Fangli / Yip, Sau Leung et al. | 2021
- 185
-
Read between the lines: Board gender diversity, family ownership, and risk‐taking in Indian high‐tech firmsSaeed, Abubakr / Mukarram, Syed Shafqat / Belghitar, Yacine et al. | 2021
- 208
-
On the impact of exchange rate uncertainty on private investment in GhanaMensah, Emmanuel Kwasi / Asamoah, Lawrence Adu / Ahiadorme, Johnson Worlanyo et al. | 2021
- 218
-
Testing and comparing conditional risk‐return relationship with a new approach in the cross‐sectional frameworkMessis, Petros / Alexandridis, Antonis / Zapranis, Achilleas et al. | 2021
- 241
-
Inflation‐growth nexus in developing economies: New empirical evidence from a disaggregated approachAyyoub, Muhammad / Wörz, Julia et al. | 2021
- 258
-
Managerial entrenchment, financial constraints, and investment choice in unlisted firmsRanasinghe, Dinithi et al. | 2021
- 271
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Sources of the small firm financing premium: Evidence from euro area banksHolton, Sarah / McCann, Fergal et al. | 2021
- 290
-
The impact of institutional investors on firms' performance in the context of financializationAlexiou, Constantinos / Mohamed, Abdulkadir / Nellis, Joe et al. | 2021
- 310
-
Regime switches and permanent changes in impacts of housing risk factors on MSA‐level housing returnsHuang, MeiChi et al. | 2021
- 343
-
A semianalytical formula for European options under a hybrid Heston–Cox–Ingersoll–Ross model with regime switchingHe, Xin‐Jiang / Chen, Wenting et al. | 2021
- 353
-
The relationship between political instability and financial inclusion: Evidence from Middle East and North AfricaAlhassan, Abidin / Li, Leon / Reddy, Krishna / Duppati, Geeta et al. | 2021
- 375
-
Democracy, dictatorship, and economic freedom signals in stock marketBurnie, David A. et al. | 2021
- 391
-
Motivations for capital controls and their effectivenessPandey, Radhika / Pasricha, Gurnain K. / Patnaik, Ila / Shah, Ajay et al. | 2021
- 416
-
The determinants of performance in the Eurozone banking sector: Core versus periphery Eurozone economiesAgoraki, Maria‐Eleni K. / Kouretas, Georgios P. / Tsamis, Anastassios et al. | 2021
- 430
-
Harvesting Islamic risk premium with long–short strategies: A time scale decomposition using the wavelet theoryAhroum, Rida / Achchab, Boujemâa et al. | 2021
- 445
-
The term structure of sovereign credit default swap and the cross‐section of exchange rate predictabilityCalice, Giovanni / Zeng, Ming et al. | 2021
- 459
-
The intertwining of credit and banking fragilityCreel, Jérôme / Hubert, Paul / Labondance, Fabien et al. | 2021
- 476
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Are competitive microfinance services worth regulating? Evidence from microfinance institutions in Sub‐Saharan AfricaKarimu, Amin / Salia, Samuel / Hussain, Javed G. / Tingbani, Ishmael et al. | 2021
- 493
-
Spillovers and financial integration in emerging markets: Analysis of BRICS economies within a VAR‐BEKK frameworkPatra, Saswat / Panda, Pradiptarathi et al. | 2021
- 515
-
Threshold Effects of Financial Sector Development on International Trade in AfricaSare, Yakubu Awudu et al. | 2021
- 542
-
Structure and dynamics of global capital and international trade: Analysis of the relationship between exports and foreign direct investment (FDI) from 2001 to 2006Xiong, Tingting / Sun, Hao et al. | 2021
- 560
-
Determinants of stock market development and price volatility in ASEAN plus three countries: The role of institutional qualityShi, Yongming / Ahmed, Khalid / Paramati, Sudharshan Reddy et al. | 2021
- 573
-
Stochastic hybrid decision‐making based on interval type 2 fuzzy sets for measuring the innovation capacities of financial institutionsJun, Qi / Dinçer, Hasan / Yüksel, Serhat et al. | 2021
- 594
-
Network‐based early warning system to predict financial crisisDastkhan, Hossein et al. | 2021
- 617
-
Heterogeneous investment horizons, risk regimes, and realized jumpsErdemlioglu, Deniz / Gradojevic, Nikola et al. | 2021
- 644
-
Dynamic relationship between corporate board structure and firm performance: Evidence from MalaysiaKhan, Muhammad T. / Al‐Jabri, Qadri M. / Saif, Naveed et al. | 2021
- 662
-
Investigation of fractal market hypothesis and forecasting time series stock returns for Tehran Stock Exchange and London Stock ExchangeMoradi, Mahdi / Jabbari Nooghabi, Mehdi / Rounaghi, Mohammad Mahdi et al. | 2021
- 679
-
Political tension and stock markets in the Arabian PeninsulaAl‐Maadid, Alanoud / Maria Caporale, Guglielmo / Spagnolo, Fabio / Spagnolo, Nicola et al. | 2021
- 684
-
Connecting the dots: Market reactions to forecasts of policy rates and forward guidance provided by the FedBongard, Michelle / Galati, Gabriele / Moessner, Richhild / Nelson, William et al. | 2021
- 707
-
Optimal investment and endogenous payout strategy with time inconsistencyYang, Yehong / Cao, Guohua et al. | 2021
- 724
-
Minimising the inflationary impact of fiscal deficits in Africa: The role of monetary, financial and political institutionsAgoba, Abel M. et al. | 2021
- 741
-
Macroeconomic and financial implications of multi‐dimensional interdependencies between OECD countriesSevinc, Deniz / Mata Flores, Edgar et al. | 2021
- 777
-
Momentum profits: Fundamentals or time varying unsystematic riskBenMabrouk, Houda / Souayeh, Ismahen et al. | 2021
- 790
-
Do the macroeconomic factors influence the firm's investment decisions? A generalized method of moments (GMM) approachFarooq, Umar / Ahmed, Jaleel / Khan, Shamshair et al. | 2021
- 802
-
Dynamics between disaggregates of governance and stock market performance in selected South Asia countriesAhmed, Khalid / Khan, Bareerah / Ozturk, Ilhan et al. | 2021
- 814
-
Analysing time difference and volatility linkages between China and the United States during financial crises and stable period using VARX‐DCC‐MEGARCH modelShehzad, Khurram / Liu, Xiaoxing / Tiwari, Aviral / Arif, Muhammad / Rauf, Abdul et al. | 2021
- 834
-
Time‐dependent intrinsic correlation analysis of crude oil and the US dollar based on CEEMDANPeng, Qing / Wen, Fenghua / Gong, Xu et al. | 2021
- 849
-
Does economic uncertainty matter in international commodity futures markets?Kim, Sun Young / Kwon, Kyung Yoon et al. | 2021
- 870
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OPEC meetings, oil market volatility and herding behaviour in the Saudi Arabia stock marketGabbori, Dina / Awartani, Basel / Maghyereh, Aktham / Virk, Nader et al. | 2021
- 889
-
Modelling the volatility of crude oil returns: Jumps and volatility forecastsDutta, Anupam / Bouri, Elie / Roubaud, David et al. | 2021
- 898
-
Intertemporal price discovery between stock index futures and spot markets: New evidence from high‐frequency dataSifat, Imtiaz Mohammad / Mohamad, Azhar / Amin, Kevin Reinaldo et al. | 2021
- 914
-
Cross‐shareholding networks and stock price synchronicity: Evidence from ChinaWen, Fenghua / Yuan, Yujie / Zhou, Wei‐Xing et al. | 2021
- 949
-
Banking sector stability and economic growth in post‐transition European Union countriesBayar, Yilmaz / Borozan, Djula / Gavriletea, Marius Dan et al. | 2021
- 962
-
Are crises sentimental?Chen, Tao / So, Erin P. K. / Yan, Isabel K. M. et al. | 2021
- 986
-
Military expenditure, financial development and environmental degradation in Turkey: A comparison of CO2 emissions and ecological footprintGokmenoglu, Korhan K. / Taspinar, Nigar / Rahman, Mohammad Mafizur et al. | 2021
- 998
-
Finance and growth: Particular role of Zakat to levitate development in transition economiesShaukat, Badiea / Zhu, Qigui et al. | 2021
- 1018
-
Evaluating active investing with generic trading reactionsZoicas‐Ienciu, Adrian et al. | 2021
- 1037
-
The determinants of systematic risk: A firm lifecycle perspectiveSaravia, Jimmy A. / García, Carlos S. / Almonacid, Paula M. et al. | 2021
- 1050
-
Financial development and health expenditure nexus: A global perspectiveRana, Rezwanul Hasan / Alam, Khorshed / Gow, Jeff et al. | 2021
- 1064
-
Earnings informativeness and trading frequency: Evidence from African marketsJones, Edward A. E. / Kyiu, Anthony K. / Li, Hao et al. | 2021
- 1087
-
Cointegration tests at the quantilesFurno, Marilena et al. | 2021
- 1101
-
Extrapolative expectations and macroeconomic dynamics: Evidence from an estimated DSGE modelBask, Mikael / Madeira, João et al. | 2021
- 1112
-
An Agent‐Based model for Limit Order Book: Estimation and simulationZare, Mohammad / Naghshineh Arjmand, Omid / Salavati, Erfan / Mohammadpour, Adel et al. | 2021
- 1122
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Socially responsible investing portfolio: An almost stochastic dominance approachDo, Trung K. et al. | 2021
- 1133
-
Nowcasting the Greek (semi‐) deposit run: Hidden uncertainty about the future currency in a Google searchAnastasiou, Dimitrios / Drakos, Konstantinos et al. | 2021
- 1151
-
The relationship between FDI inflows and private investment in Vietnam: Does institutional environment matter?Nguyen, Van Bon et al. | 2021
- 1163
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The impact of terrorism on formal and informal economy in African countriesSekrafi, Habib / Abid, Mehdi / Assidi, Soufiene et al. | 2021
- 1181
-
Towards an immunization perfect model?De La Peña, Joseba Iñaki / Iturricastillo, Iván / Moreno, Rafael / Román, Francisco / Trigo, Eduardo et al. | 2021
- 1197
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Comparative analysis of economic growth in Nigeria and Kenya: A fractional integration approachAwe, Olushina O / Mudida, Robert / Gil‐Alana, Luis A. et al. | 2021
- 1206
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An application of frequency domain approach to the causal nexus between information, communication and technology infrastructure and financial development in selected countries in AfricaIbrahim, Muazu / Sare, Yakubu Awudu / Adam, Ibrahim Osman et al. | 2021
- 1236
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Viability of liberal professions' economic effectiveness in the context of the new fiscal changes in RomaniaAntohi, Valentin M. / Zlati, Monica L. / Radu, Riana I. / Cosmulese, Cristina G. / Socoliuc, Marian et al. | 2021
- 1256
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Economic impact of monetary policy: Focus on real estate sector in ItalyAhmed, Irfan / Socci, Claudio / Medabesh, Ali / Severini, Francesca / Zotti, Jacopo et al. | 2021
- 1270
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Are bank risk disclosures informative? Evidence from debt marketsElamer, Ahmed A. / Ntim, Collins G. / Abdou, Hussein A. / Owusu, Andrews / Elmagrhi, Mohamed / Ibrahim, Awad Elsayed Awad et al. | 2021
- 1299
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Interest rate pass‐through and exogenous factors: Evidence from VietnamNgo, Thi Hang / Ariyoshi, Akira / Tran, Thi Xuan Anh et al. | 2021
- 1318
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Market efficiency and volatility persistence of cryptocurrency during pre‐ and post‐crash periods of Bitcoin: Evidence based on fractional integrationYaya, OlaOluwa S. / Ogbonna, Ahamuefula E. / Mudida, Robert / Abu, Nuruddeen et al. | 2021
- 1336
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Forecasting the volatility of Chinese stock market: An international volatility indexLei, Likun / Zhang, Yaojie / Wei, Yu / Zhang, Yi et al. | 2021
- 1351
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Determinants of FDI in France: Role of transport infrastructure, education, financial development and energy consumptionShahbaz, Muhammad / Mateev, Miroslav / Abosedra, Salah / Nasir, Muhammad Ali / Jiao, Zhilun et al. | 2021
- 1375
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The impact of Euro through time: Exchange rate dynamics under different regimesAntonakakis, Nikolaos / Chatziantoniou, Ioannis / Gabauer, David et al. | 2021
- 1409
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Go‐for‐green policies: The role of finance and trade for sustainable developmentNassani, Abdelmohsen A. / Abro, Muhammad Moinuddin Qazi / Batool, Rubeena / Shah, Syed Haider Ali / Hyder, Shabir / Zaman, Khalid et al. | 2021
- 1424
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The investment behaviour of pension funds in alternative assets: Interest rates and portfolio diversificationDefau, Laurens / De Moor, Lieven et al. | 2021
- 1435
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Development of Vietnamese stock market: Influence of domestic macroeconomic environment and regional marketsNasir, Muhammad Ali / Shahbaz, Muhammad / Mai, Trinh Thi / Shubita, Moade et al. | 2021
- 1459
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A kernel fuzzy twin SVM model for early warning systems of extreme financial risksHuang, Xun / Guo, Fanyong et al. | 2021
- 1469
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Tail dependence between oil prices and China's A‐shares: Evidence from firm‐level dataFang, Sheng / Egan, Paul et al. | 2021
- 1488
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Asset‐Liability Management and bank profitability: Statistical cost accounting analysis from an emerging marketOwusu, Freeman Brobbey / Alhassan, Abdul Latif et al. | 2021
- 1503
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ECB'S non‐standard monetary policy and asset price volatility: Evidence from EU‐6 economiesCiarlone, Alessio / Colabella, Andrea et al. | 2021
- 1531
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What drives the duration of credit booms?Castro, Vítor / Martins, Rodrigo et al. | 2021
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Economic fitness: How equity market returns reflect the realization of economic growth potentialChu, Ted H. / Stocker, Marshall L. / Tan, Brandon J. et al. | 2021
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Depreciate to save the economy? An empirical evidence worldwideKu‐Hsieh, Chen et al. | 2021
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Brexit impact on European Union's destructuration and its contribution to a new economic crisis: A new modelling approachIonescu, Romeo‐Victor / Zlati, Monica Laura / Antohi, Valentin Marian et al. | 2021
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Time‐varying responses of stock returns to market illiquidity: Stress scenario with regime‐switching frameworkBen Soltane, Héla / Naoui, Kamel et al. | 2021
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