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Publications de 2018

Publications de 2018

Publications de 2018 150 150 LARIMRAF
  1. Bekiros, S., Jlassi, M., Naoui, K., & Uddin, G. S. (2018). Risk perception in financial markets: On the flip side. International Review of Financial Analysis, 57, 184-206.
  2. Bougatef, K., & Korbi, F. (2018). The determinants of intermediation margins in Islamic and conventional banks. Managerial Finance, 44(6), 704-721.
  3. Dkhili, H., & Dhiab, L. B. (2018). The relationship between economic freedom and FDI versus economic growth: Evidence from the GCC countries. Journal of Risk and Financial Management, 11(4), 81.
  4. Dkhili, H., & Oweis, K. A. (2018). Does Research Output Matter for Economic Growth in Sub Saharan African Countries? Quantity and Quality Analysis. RIMCIS: Revista Internacional y Multidisciplinar en Ciencias Sociales, 7(3), 221-242.
  5. El Montasser, G., Naoui, K., & Fry, J. (2018). Speculative bubbles or explosive fundamentals in stock prices? New evidence from SADF and GSADF tests. Journal of Statistics and Management Systems, 21(1), 93-106.
  6. Henda, A. and Dkhili, H. (2018), « Are Financial Auditors Involved in the Determinants of Environmental Audit? » Accountancy Business and the Public Interest, pp. 132-141.
  7. Khelil, I., Akrout, O., Hussainey, K., & Noubbigh, H. (2018). Breaking the silence: An empirical analysis of the drivers of internal auditors’ moral courage. International Journal of Auditing, 22(2), 268-284.
  8. Khelil, I., Hussainey, K., & Noubbigh, H. (2018). Chief audit executives’ perceptions of drivers of moral courage: Tunisian evidence. International Journal of Accounting, Auditing and Performance Evaluation, 14(4), 315-337.
  9. Khémiri, W., & Noubbigh, H. (2018). Determinants of capital structure: Evidence from sub-Saharan African firms. The Quarterly Review of Economics and Finance, 70, 150-159.
  10. Mahmoud, I., & Naoui, K. (2018). Market efficiency: an information entropy perspective. International Journal of Management and Enterprise Development, 17(2), 95-120.
  11. Messai, A. S., & Gallali, M. I. (2018). Credit risk stress testing: theory and practice of the Spanish evidence. International Journal of Management and Enterprise Development, 17(2), 136-154.
  12. Oueslati, A., & Hammami, Y. (2018). Forecasting stock returns in Saudi Arabia and Malaysia. Review of Accounting and Finance, Vol.17, Issue.2, pp.259-279.
  13. Riahi, Y., & Hammami, Y. (2018). Accounting information and financial institutions’ credit spreads: the case of Tunisia. Journal of Applied Accounting Research, Forthcoming.
  14. Talbi, D., & Bougatef, K. (2018). The internal and external determinants of the intermediation margin of banks across MENA countries. EuroMed Journal of Business.
  15. Taleb, L. (2018). Dividend and stock repurchase announcement in Tunisia: A signaling approach. Global Journal of Management and Business Research.
  16. Taleb, L. (2018). Dividend Policy in Tunisia: A Signalling Approach. International Journal of Economics and Finance, 10(4), 84.
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