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Tags: risk management
Articles tagged with: risk management
Bridging governance and technology for fraud detection: Evidence from regional development banks in Indonesia
Angginun Juwita Sari Harahap, Erlina
Banks and Bank Systems
Volume 21 2026, Issue #2
Artificial intelligence-driven predictive analytics and institutional performance in Gulf financial systems: Evidence from GCC financial institutions
Amer Morshed, Laith T. Khrais
Banks and Bank Systems
Volume 21 2026, Issue #1
Examining the effectiveness and implementation challenges of internal control systems for strategic risk management in private higher education institutions
Lorelie Alarcon, Jeffrey Franco, Gina Garcia, Bryan Barlis
Problems and Perspectives in Management
Volume 24 2026, Issue #1
IFRS 9 misalignment and its impact on Sukuk investment strategies: Evidence from Jordan
Abdulhadi Ramadan, Amer Morshed, Laith T. Khrais
Investment Management and Financial Innovations
Volume 22 2025, Issue #3
Impact of liquidity and operational risks on Jordanian banks’ stability: A comparative study of conventional and Islamic banks
Ahmed (Moham’d Mazen) Ahmad Khasawneh, Noor Aldeen Kassem Al-alawnh, Ahmad Salem Alkhazali, Mohammad Ismail Sulieman Alawamreh, Abutaber Thaer, Maher Azzam AlQadi
Banks and Bank Systems
Volume 21 2026, Issue #1
The effectiveness of Mabda’ At-Ta’awun in enhancing recovery rate and reducing NPF: Empirical evidence from Indonesian Islamic banking
Wahidullah, Jumaiyah, Moh Nasuka
Banks and Bank Systems
Volume 20 2025, Issue #4
How enterprise risk management mediates the relationship between board size and corporate social responsibility: Evidence from GCC Islamic banks
Awatif Hodaed Alsheikh, Warda Hodaed Alsheikh, Tamader Alsalami
Banks and Bank Systems
Volume 20 2025, Issue #1
Quality of financial reporting and the practice of enterprise risk management: Evidence from listed United States industrial companies
Ruba Bsoul, Amer Alhammouri, Hussein Alrabba
Investment Management and Financial Innovations
Volume 22 2025, Issue #2
Assessing the impact of IFRS 9’s Expected Credit Loss model on capital allocation in Jordanian banks
Mohammad Fawzi Shubita, Faez Hlail Srayyih, Sinan Abdullah Harjan, Dua’a Shubita, Majd Munir Iskandrani
Banks and Bank Systems
Volume 20 2025, Issue #2
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