Risk management disclosure in Malaysian Islamic financial institutions: Pre- and post-financial crisis
The East Asian financial crisis in 1997 and later the global financial crisis in 2007 and 2008 had a big impact on the corporate world as many companies and financial institutions collapsed during that period. Poor governance systems and lack of transparency in reporting including lack of risk repor...
Published in: | Journal of Applied Business Research |
---|---|
Main Author: | Ismail R.; Rahman R.A.; Ahmad N. |
Format: | Article |
Language: | English |
Published: |
CIBER Institute
2013
|
Online Access: | https://www.scopus.com/inward/record.uri?eid=2-s2.0-84874215579&doi=10.19030%2fjabr.v29i2.7647&partnerID=40&md5=e5b17f785fa095da7abd4b2c450285db |
Similar Items
-
Genre Analysis of Risk Management Reports by an Islamic Financial Institution in Malaysia
by: Aziz R.A.; Abas N.; Yusob K.F.; Yusof N.M.
Published: (2022) -
ENHANCING SHARIAH GOVERNANCE: THE KEY RISK INDICATORS FOR MANAGING SHARIAH NON-COMPLIANCE RISK IN ISLAMIC FINANCIAL INSTITUTIONS
by: Noor N.S.M.; Muhammad H.; Arifin J.; Ghazali P.L.; Razak R.A.
Published: (2024) -
The dilemma of millennial Muslims towards financial management: an Islamic financial literacy perspective
by: Osman I.; Syed Alwi S.F.; Rehman M.A.; Muda R.; Hassan F.; Hassan R.; Abdullah H.
Published: (2024) -
Board Attributes and Financial Distress during Health Crisis: Evidence from Malaysia
by: Zaki M.A.; Suffian M.T.M.; Ariff A.M.; Nustini Y.
Published: (2024) -
Prudent financial management practices among Malaysian youth: The moderating roles of financial education
by: Bakar M.Z.A.; Bakar S.A.
Published: (2020)