Papers
Published papers, book chapters and working papers, newest first. Each carries its full text and the original PDF.
- Affordable housing 1
- bay al-Dayn 1
- Corporate governance 9
- Credit Clearing 1
- Economics 1
- Fiat Money 16
- Gold Dinar 9
- Home Financing 5
- Interest 1
- Islam 1
- Islamic Finance 29
- Markets and Risk 10
- medium of exchange 1
- Monetary System 1
- Money and Payments 17
- Msmes 1
- Risk management 1
- SMEs 1
- Solar homes 1
- Sustainable development 1
- Trade credit 3
- Working Capital Management 2
2022
2021
2020
2019
- The Institute of Islamic Banking and Finance advancing Islamic finance industry worldwide
- Issues and challenges in contemporary affordable public housing schemes in Malaysia: Developing an alternative model
2018
- Simulation of Shariah compliant commodity backed currency system: a Turkish case-study
- Factors influence Islamic businesses and institutions to contribute cash waqf
- Identifying the optimal level of gold as a reserve asset using Black-Litterman model: the case for Malaysia, Turkey, KSA and Pakistan
- Adopting al-Hikr long term lease financing for Waqf and state lands in Malaysia to provide affordable public housing
- A Case for a Shari’ah Compliant Alternate Credit System to Facilitate Working Capital Management for Micro, Small and Medium Enterprises in Malaysia
- Viability of Trade Credit as an Underlying Asset in a Shari’ah Compliant Alternative Credit System
2017
- Testing the financial distress prediction model for sukuk-issuing companies in Malaysia
- Fiat money: From the current Islamic finance scholars’ perspective
- Financial market risk and gold investment in an emerging market: the case of Turkey
- Gold netting to strengthen financial system stability
- Is Gold Dinar the Appropriate Money in Islam?
2016
- Capital asset pricing model and pricing of Islamic financial instruments
- Viability cf implementing direct interest-free credit clearance system in Muslim countries
2015
- Micro-economic determinants of NAV of Islamic equity unit trust funds in Malaysia: an ARDL-Bounds testing approach
- Causal relationship between macro-economic indicators and funds unit prices behavior: evidence from Malaysian Islamic equity unit trust funds industry
- Revisiting the concepts of money, profit and interest from the perspective of value and diminishing marginal utility
- Acceptance of gold as an alternative currency: an empirical validation of adoption of innovation theory
- Combining local and global markets in asset pricing in emerging markets: evidence from three BRICS nations
2014
2013
- The Institute of Islamic Banking and Finance
- Relationship between macroeconomic variables and net asset value (NAV) of Islamic equity unit trust funds: cointegration evidence from Malaysian unit trust industry
- Let’s move to “Universal Corporate Governance Theory”
- Corporate governance theories from unconventional perspective
- The challenges of implementing gold dinar in Kelantan: An empirical analysis
2012
- An analysis of operationalization and acceptability of business to business transaction: a mixed method approach
- Efficient trade matrix and gold reserve requirement for commodity trade among OIC countries
- Gessel’s concept of free-money eliminating interest through information-money
- A measurement model of the determinants of financial exclusion among micro-entrepreneurs in Ilorin, Nigeria
- Impact of corporate governance on social and environmental information disclosure of Malaysian listed banks: panel data analysis
- Critical analysis of the viability of Islamic banking system in Nigeria (a case study of Lagos state)
- The role of institutional trust in the adoption of gold dinar in Kelantan: an empirical analysis
2011
- The impact of corporate governance on the voluntary accounting information disclosure in Malaysian listed banks
- Better corporate governance and risk in dual banking environment : evidence from Malaysia.
- Corporate Governance and Risk Management Information Disclosure in Malaysian Listed Banks: Panel Data Analysis
- A Panel Data Analysis on the Relationship between Corporate Governance and Bank Efficiency
2010
- Islamic pricing benchmarking
- An Islamic pricing benchmark
- Panel data analysis of Malaysian listed banks on corporate gevernance and risk
- Lending structure and 3-factor CAPM risk exposures: the case of Malaysia (Struktur pinjaman dan pendedahan risiko bagi 3-Faktor CAPM: kajian kes di Malaysia)
2009
- Lending structure and bank insolvency risk: a comparative study between Islamic and conventional banks
- The Impact of financial risks on profitability of Malaysian commercial banks : 1996-2005
- The Musharakah Mutanaqisah contract: some practical issues
- Riba and the Muslim destiny: a political economy perspective
- Money, interest and environment
- Integrating al-rahn with the gold dinar: the initial building-blocks towards a gold-based economy
- Gold dinar: the next component in Islamic economics, banking and finance
- Home financing through the Musharakah Mutanaqisah contracts: Some practical issues
- Ownership effect of fractional reserve banking:an islamic perspective
- Dynamic linkages among ASEAN-5 emerging stock markets
- Managing foreign exchange risk: Malaysian experience with respect to the 1997 financial crisis
2006
- Musharakah Mutanaqisah and Al-Bay’ Bithaman Ajil Contracts as means for homeownership: a conceptual comparison
- Seigniorage of fiat money and the Maqasid al-Shari’ah