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1by Al-Smadi, Mohammed Oqlah Mahmoud“.... The exposure of banks to risks measured by risk index could indicate the extent of the vulnerability of banks...”
Published 2010
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5by Nora Azureen, Abdul Rahman“... loan concentration, although create variation in bank return but would increase bank stability...”
Published 2012
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6by Menacer, Abdesslam“... and Arab Spring. The findings of this study have major policy implications. Long-term debt should be kept...”
Published 2020
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7by Waemustafa, Waeibrorheem“... and conventional banks, the findings imply that different risk-management strategies should be applied by each type...”
Published 2014
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8by Erkin, Karimov“... that the internet banking facilities should be made simple for people to use it while security measures need...”
Published 2014
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9by Kumajdi, Yamirudeng“... and reputation through confidence exhibit full mediation effect. The findings imply that Islamic banks should...”
Published 2013
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10by Syamsudin, Reni“... to selection. The results imply that Indonesian Islamic banks should offer products at competitive prices...”
Published 2016
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11by Mohd Isa, Ahmad Mahir“... where the debt repayment scheme should be inflation rate-adjusted to account for changes...”
Published 2022
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12by Abdulganiyy, Abdulfattah Kolawole“... contract should be backed by long term capital to mitigate liquidity risk. This will ensure greater...”
Published 2018
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