金融风险管理对沙特资本市场股票流动性的影响(以伊斯兰银行为例)

Sara Alamin
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摘要

本研究旨在通过查看在沙特股票市场上市的伊斯兰银行及其采用的风险管理方法,确定金融风险管理对沙特资本市场股票流动性的影响,并确定阻碍此类银行活动的金融风险类型。在回顾以往的研究后,我们假设金融风险管理与股票流动性之间存在统计学上显著的关系。这项研究依据的是在沙特资本市场上市的四家伊斯兰银行公布的数据和财务报表。为了验证研究的假设,采用了历史,描述性分析和归纳方法。本研究最重要的发现之一是信用风险与股票流动性之间存在统计学上显著的关系。此外,沙特资本市场的流动性风险与股票流动性之间存在显著的正相关关系。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
The Impact of Financial Risk Management on the Liquidity of Stocks in the Saudi Capital Market (Applied to Islamic Banks)
This study aimed to identify the impact of financial risk management on the liquidity of stocks in the Saudi capital market, by looking at Islamic banks listed on the Saudi stock market and the risk management methods they employ, as well as to determine the types of financial risks that hinder the activities of such banks. After reviewing previous studies, it was hypothesized that there is a statistically significant relationship between financial risk management and stock liquidity. The study relied on published data and financial statements of four Islamic banks listed in the Saudi capital market. To test the hypothesis of the study, the historical, descriptive analytical, and inductive methods were employed. One of the most important findings of the study was the existence of a statistically significant relationship between credit risk and stock liquidity. In addition, there was a positive and statistically significant relationship between liquidity risk and stock liquidity in the Saudi capital market.
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