@incollection{, F595D05CB22C1755CBE498772DD16340 , author={{Ines BenSalah}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}174112 } @incollection{b0, , title={{Risk in Islamic banking}} , author={{ PAbedifar } and { ATarazi } and { PMolyneux }} , journal={{Review of Finance}} 17 , year={2013. 2035e2096} } @incollection{b1, , title={{Credit rights and corporate risk-taking}} , author={{ VAcharya } and { YAmihud } and { LLitov }} , journal={{Journal of Financial Economics}} 102 1 , year={2011} } @incollection{b2, , title={{Money, liquidity, and monetary policy}} , author={{ TAdrian } and { HSShin }} , journal={{American Economic Review}} 99 , year={2009} } @book{b3, , title={{Product Development in Islamic Banks}} , author={{ HAhmed }} , year={2011} , publisher={Edinburgh University Press} , address={Edinburgh} } @incollection{b4, , title={{Liquidity Risk Management: A comparative study between Conventional and Islamic Banks of Pakistan}} , author={{ MFAkhtar } and { KAli } and { SSadaqat }} , journal={{Interdisciplinary Journal of Research in Business}} 1 1 , year={2011} } @incollection{b5, , title={{Some Tests of Specification For Panel Data: Monte Carlo Evidence and An Application to Employment Equations}} , author={{ MArellano } and { SBond }} , journal={{Review of Economic Studies}} 58 2 , year={1991} } @incollection{b6, , title={{Profit Sharing Investment Accounts In Islamic Banks: regulatory problems and possible solutions}} , author={{ SArcher } and { RA AKarim }} , journal={{Journal of banking and regulations}} 10 , year={2009} } @book{b7, , title={{Determinants of Bank's Net Interest Margin in Indonesia}} , author={{ AAscarya } and { DYumanita }} , year={2010} , note={International Conference on Eurasian Economies} } @book{b8, , title={{Liquidity, banking regulation and the macroeconomy: Evidence on bank liquidity holdings from a panel of UK-resident banks}} , author={{ OAspachs } and { ENier } and { MTiesset }} , year={2005} , note={Working paper, Bank of England} } @incollection{b9, , title={{Ownership structure and risk in publicly held and privately owned banks}} , author={{ TABarry } and { LLepetit } and { ATarazi }} , journal={{Journal of Banking and Finance}} 35 , year={2011} } @incollection{b10, , title={{Why Do US Firms Hold So Much More Cash than They Used To?}} , author={{ TBates } and { KKahle } and { RStulz }} , journal={{Journal of Finance}} 64 , year={2009} } @incollection{b11, , title={{Islamic vs. Conventional banking: business model, efficiency and stability}} , author={{ TBeck } and { ADemirguc-Kent } and { OMerrouche }} , journal={{Journal of Banking & Finance}} 37 2 , year={2013} } @book{b12, , title={{Determinants of Liquidity Risk in Islamic Banks: A Panel Study" Islamic Management and Business}} , author={{ BenJedidia } and { KHHamza }} ISSN 2222-2839 , year={2015} , publisher={Paper} 7 } @incollection{b13, , title={{Le Risque De Liquidité Pour Une Banque Islamique : Enjeux Et Gestion}} , author={{ .KBen Jedidia } and { MJlassi }} , journal={{Etudes en Economie Islamique}} 7 1) , year={2013} } @incollection{b14, , title={{Distribution Free Estimates of Efficiency in The US Banking Industry and ?Tests of The Standard Distributional Assumptions}} , author={{ Berger }} , journal={{Journal of productivity analysis}} 4 , year={1993} } @incollection{b15, , title={{The Impact of Liquidity on Bank Profitability}} , author={{ EBordeleau } and { CGraham }} , booktitle={{Bank of Canada Working Paper/Document de travail}} , year={2010} } @incollection{b16, , title={{Size and The Performance of Banking firms: Testing the Predictions of Theory}} , author={{ JBoyd } and { DRunkle }} , journal={{Journal of Monetary Economics}} 31 , year={1993} } @incollection{b17, , title={{Islamic bank regulators will be better prepared to supervise the Islamic banking system if they take into account that they should improve their Profit and Loss Sharing investment in order to reduce their liquidity risk}} , booktitle={{addition, it is essential to strengthen instruments of liquidity risk management}} , note={From a practical perspective} } @book{b18, , title={{Operational efficiency and performance of Islamic banks}} , author={{ KBrown } and { MKHassan } and { MSkully }} , editor={Hassan, M.K. and Lewis, M.K.} , year={2007} , address={Cheltenham} , note={Handbook of Islamic Banking} } @book{b19, , title={{Cooperative banks and financial stability. IMF working paper 2}} , author={{ MCihak } and { HHesse }} , year={2007} , publisher={IMF} , address={Washington, DC} } @book{b20, , title={{Islamic banks and financial stability: An empirical analysis. IM and F working paper 16}} , author={{ MCihak } and { HHesse }} , year={2008} , publisher={IMF} , address={Washington, DC} } @incollection{b21, , title={{Product Mix and Earnings Volatility at Commercial Banks: Evidence from A Degree of Total Leverage Model}} , author={{ DeYoung } and { RRoland } and { KP }} , journal={{Journal of Financial Intermediation}} 10 , year={2001} } @incollection{b22, , title={{Private credit in 129 countries}} , author={{ SDjankov } and { CMcliesh } and { AShleifer }} , journal={{Journal of Financial Economics}} 84 2 , year={2007} } @incollection{b23, , title={{Bank Regulatory Capital and Liquidity: Evidence from US and European Publicly Traded Banks}} , author={{ IDistinguin } and { CRoulet } and { ATarazi }} , journal={{Journal of Banking and Finance}} 37 , year={2013} } @incollection{b24, , title={{Profit Distribution Management by Islamic Banks: An Empirical Investigation}} , author={{ SFarook } and { KHassan } and { GClinchc }} , journal={{The Quarterly Review of Economics and Finance}} 52 , year={2012} } @incollection{b25, , title={{Loan Growth and riskiness of banks}} , author={{ DFoos } and { LNorden } and { MWeber }} , journal={{Journal of Banking and Finance}} 34 , year={2010} } @incollection{b26, , title={{Risk, Capital and Financial Crisis: Evidence for GCC Banks}} , author={{ SGhosh }} , journal={{Borsa_Istanbul Review}} 14 3 , year={2014} } @incollection{b27, , title={{The X-efficiency of Islamic banks}} , author={{ MKHassan }} , journal={{Islamic Economic Studies}} 13 2 , year={2006} } @book{b28, , title={{Does capital regulation matter for bank behaviour? Evidence for German savings bank}} , author={{ FHeid } and { DPorath } and { SStolz }} , year={2004} , note={Deutsche Bundes bank discussion paper 3. Bonn: Bundes bank} } @incollection{b29, , title={{Trends and Challenges in Islamic Finance}} , author={{ HHesse } and { JAndreas } and { JSolé }} , journal={{World Economics}} 9 2 , year={2008} } @incollection{b30, , title={{The dark side of bank wholesale funding}} , author={{ RHuang } and { LRatnovski }} , journal={{Journal of Financial Intermediation}} 20 , year={2011} } @incollection{b31, , title={{The impact of government ownership on bank risk}} , author={{ GIannotta } and { GNocera } and { ASironi }} , journal={{Journal of Financial Intermediation}} 22 , year={2013} } @incollection{b32, , title={{Issues in Strengthening Liquidity Management of Institutions Offering Islamic Financial Services: The Development of Islamic Money Markets}} , journal={{Islamic Financial Service Board (IFSB)}} , year={2008} } @incollection{b33, , booktitle={{Islamic Financial Services Industry, Stability Report}} , year={2013} } @incollection{b34, , title={{Estimating the Profitability of Islamic Banking: Evidence from Bank Muamalat Indonesia}} , author={{ HIzhar } and { MAsutay }} , journal={{Review of Islamic Economics}} 11 2 , year={2007} } @incollection{b35, , title={{Risk-based capital, portfolio risk, and bank capital: a simultaneous equations approach}} , author={{ KJacques } and { PNigro }} , journal={{Journal of Economics and Business}} 49 , year={1997} } @incollection{b36, , title={{Bank capital buffer and risk adjustment decisions}} , author={{ TJokipii } and { AMilne }} , journal={{Journal of Financial Stability}} 7 , year={2011} } @incollection{b37, , title={{How 'Islamic' is Islamic banking?}} , author={{ FKhan }} , journal={{J. Econ. Behav. Organ}} 76 , year={2010} } @book{b38, , title={{The Relationship between Capital, Liquidity and Risk in Commercial Banks" the ninth young economists 'seminar to the twentieth Dubrovnik economic conference organized by the Croatian national bank}} , author={{ TKochubey } and { DKowalczyk }} , year={2014} } @incollection{b39, , title={{The Role of Securitization in Bank Liquidity and Funding Management}} , author={{ ELutskina }} , journal={{Journal of Financial Economics}} 100 , year={2011} } @incollection{b40, , title={{Relationship Between Capital, Risk and Efficiency: A Comparative Study Between Islamic And Conventional Banks of Bangladesh}} , author={{ MDMiah } and { KSharmeen }} , journal={{International; Journal of Islamic and Middle Eastern Finance and Management}} 8 2 , year={2015} } @book{b41, , title={{When the Rivers Run Dry: Liquidity and The Use of Wholesale Funds in The Transmission of The US Subprime Crisis}} , author={{ CRaddatz }} , year={2010} , publisher={The World Bank} , address={Washington, DC} } @incollection{b42, , title={{Factors Affecting the Risk-taking Behavior of Commercial Banks in Bangladesh}} , author={{ MMRahman } and { KM KUddin } and { SMoudud-Ul-Huq }} , journal={{Applied Finance and Accounting}} 1 2 , year={2015} } @incollection{b43, , title={{Liquidity, Risk Taking, and the Lender of Last Resort}} , author={{ RRepullo }} , journal={{International Journal of Central Banking}} , year={2005} } @incollection{b44, , title={{State of Liquidity Management in Islamic Financial Institutions}} , author={{ SASalman }} , journal={{Islamic Economic Studies}} 21 1 , year={2013} } @incollection{b45, , title={{The relationship between risk and capital in commercial banks}} , author={{ REShrieves } and { DDahl }} , journal={{Journal of Banking and Finance}} 16 , year={1992} } @incollection{b46, , title={{Liquidity of Czech Commercial Banks and its Determinants}} , author={{ PVodova }} , journal={{International Journal of Mathematical Models and Methods in Applied Sciences}} 6 , year={2011} } @book{b47, , title={{Islamic Law and Finance: Religion, Risk, and Return}} , author={{ FEVogel } and { SLHayes } and { Iii }} , year={1998} , publisher={Kluwer Law International} , address={The Hague} } @incollection{b48, , title={{Determinants of bank profitability in Macao}} , author={{ AP IVong } and { HSChan }} , journal={{Macau Monetary Research Bulletin}} 12 6 , year={2009. 2013} , publisher={World Development Indicators} } @incollection{b49, , title={{Profitability of Islamic Banks in Malaysia: An Empirical Analysis}} , author={{ SWas Iuzzaman } and { HB ATarmizi }} , journal={{Journal of Islamic Economics, Banking and Finance}} 6 4 , year={2010} }