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Publications de 2022

Publications de 2022

Publications de 2022 150 150 LARIMRAF

1. Abdallah, N., Halim, D., & Gallali, M. (2022). The Contribution of Spatial Econometrics in the Field of Empirical Finance. Review of Economics and Finance, 20, 17-31.

2. Abdesslem, R. B., Chkir, I., & Dabbou, H. (2022). Is managerial ability a moderator? The effect of credit risk and liquidity risk on the likelihood of bank default. International Review of Financial Analysis, 80, 102044.

3. Abdesslem, R. B., Dabbou, H., & Gallali, M. I. (2022). The Impact of Market Concentration on Bank Risk-Taking: Evidence from a Panel Threshold Model. Journal of the Knowledge Economy, 1-25.

4. Amairi, H., Gallali, M. I., & Sassi, S. (2022). Market pressure and cost of equity: Revisited. Finance Research Letters, 47, 102749.

5. Arfaoui, M., Chkili, W., & Rejeb, A. B. (2022). Asymmetric and dynamic links in GCC Sukuk-stocks: Implications for portfolio management before and during the COVID-19 pandemic. The Journal of Economic Asymmetries, 25, e00244.

6. Arfaoui, N., & Naoui, K. (2022). Terrorism, investor sentiment, and stock market reaction: Evidence from the British and the French markets. Finance Research Letters, 46, 102462.

7. Arfaoui, N., & Yousaf, I. (2022). Impact of COVID-19 on volatility spillovers across international markets: evidence from VAR asymmetric BEKK GARCH model. Annals of Financial Economics (AFE), 17(01), 1-25.

8. Ben Lahouel, B., Taleb, L., Ben Zaied, Y., & Managi, S. (2022). Financial stability, liquidity risk and income diversification: evidence from European banks using the CAMELS–DEA approach. Annals of Operations Research, 1-32.

9. Ben Lahouel, B., Taleb, L., Kočišová, K., & Ben Zaied, Y. (2022). The threshold effects of income diversification on bank stability: an efficiency perspective based on a dynamic network slacks-based measure model. Annals of Operations Research, 1-38.

10. Ben Lahouel, B., Taleb, L., Managi, S., & Guesmi, K. (2022). The threshold effects of ICT on CO2 emissions: evidence from the MENA countries. Environmental Economics and Policy Studies, 1-21.

11. Ben Moussa, W., & Ben Godhbane, S. (2022). Bank efficiency and monetary policy: case of Tunisian Bank industry. African Journal of Accounting, Economics, Finance and Banking Research. 15(5).

12. Ben Osman, M., & Naoui, K. (2022). The Relationship Between US Stock, Commodity and Virtual Markets During COVID-19 Forced Crisis. In Financial Market Dynamics after COVID 19: The Contagion Effect of the Pandemic in Finance (pp. 11-23). Cham: Springer International Publishing.

13. Ben Soltane, H., & Naoui, K. (2022). Systematic illiquidity, characteristic illiquidity, and stock returns: Time-series analysis. International Journal of Advanced and Applied Sciences. 9(2), 72-80.

14. Ben Zaied, Y., Taleb, L., Ben Lahouel, B., & Managi, S. (2022). Sustainable water demand management and incentive tariff: evidence from a quantile-on-quantile approach. Environmental Modeling & Assessment, 1-14.

15. Berrich, O., Dabbou, H., & Gallali, M. I. (2022). Over-the-counter market and corporate bond market development. International Journal of Entrepreneurship and Small Business, 47(2-3), 284-304.

16. Boufateh, T., Attiaoui, I., & Kahia, M. (2022). Does asymmetric birch effect phenomenon matter for environmental sustainability of agriculture in Tunisia?. Environment, Development and Sustainability, 1-31.

17. Bougatef, K., & Nejah, I. (2022). The COVID-19 pandemic and herding behaviour among investors in Shariah-compliant stocks. Journal of Islamic Accounting and Business Research, (ahead-of-print).

18. Chortane, S. G., & Naoui, K. (2022, March). The impact of the Covid-19 crisis on the liquidity of cryptocurrencies. In 2022 International Conference on Decision Aid Sciences and Applications (DASA) (pp. 730-734). IEEE.

19. Derbali, A., Chenguel, M. B., Jamel, L., Jouirou, M., & Jouini, F. (2022). COVID-19 pandemic and co-movement dynamics among American and European stock markets. In Financial Transformations beyond the COVID-19 Health Crisis (pp. 309-346).

20. Derbali, A., Naoui, K., & Jamel, L. (2022). COVID-19 Surprises in China and in the USA: Which Is Useful in Explaining the Dynamic Nexus Among Energy Commodities and Bitcoin?. In Artificial Intelligence and COVID Effect on Accounting (pp. 53-71). Singapore: Springer Nature Singapore.

21. Derbali, A., Naoui, K., Sassi, M. B., & Amiri, M. M. (2022). Do COVID-19 epidemic explains the dynamic conditional correlation between China’s stock market index and international stock market indices?. The Chinese Economy, 55(3), 227-242.

22. Elkhaldi, A. H., & Abdullah, G. A. (2022). The Effect of Cloud Computing’s Advantages and Components on Time Savings and Data Privacy for the Quality of Electronic Banking Services. International Journal of Professional Business Review, 7(3), e0601-e0601.

23. Elmawazini, K., Chkir, I., Mrad, F., & Rjiba, H. (2022). Does green technology innovation matter to the cost of equity capital?. Research in International Business and Finance, 62, 101735.

24. Ghorbali, B., Naoui, K., & Derbali, A. (2022). Co-Movement Among COVID-19 Pandemic, Crude Oil, Stock Market of US, and Bitcoin: Empirical Evidence from WCA. In Artificial Intelligence and COVID Effect on Accounting (pp. 33-51). Singapore: Springer Nature Singapore.

25. Ghorbali, B., Naoui, K., & Derbali, A. M. S. Does Gold Act as a Safe Haven and Hedge for G7 Stock Markets? A Comparative Assessment between COVID-19 Versus Global Financial Crisis (GFC). SSRN Working Paper.

26. Jouini, F., Messai, A. S., & Derbali, A. M. S. (2022). The relationship between bitcoin and energy commodities: AutoRegressive distributed lag approach. International Journal of Financial Engineering, 9(04), 2250005.

27. Jouini, F., Messai, A. S., & Mhadheb, I. (2022). Interaction between commodity market and cryptocurrencies. International Journal of Economics and Business Research, 23(4), 465-481.

28. Jouirou, M., & Jouini, F. (2022). Corporate governance mechanisms and banking performance. Global Business and Economics Review, 27(4), 475-491.

29. Karamti, C., & Belhassine, O. (2022). COVID-19 pandemic waves and global financial markets: evidence from wavelet coherence analysis. Finance Research Letters, 45, 102136.

30. Ksiaa, H., & Gallali, M. I. (2022). The determinants of banking regulation in the MENA region. The Journal of Entrepreneurial Finance (JEF), 24(2), 1-22.

31. Lahouel, B. B., Taleb, L., & Kossai, M. (2022). Nonlinearities between bank stability and income diversification: A dynamic network data envelopment analysis approach. Expert Systems with Applications, 207, 117776.
32. Lahouel, B. B., Taleb, L., Zaied, Y. B., & Managi, S. (2022). Business case complexity and environmental sustainability: Nonlinearity and optimality from an efficiency perspective. Journal of Environmental Management, 301, 113870.

33. Lahouel, B. B., Taleb, L., Zaied, Y. B., & Managi, S. (2022). Does primary stakeholder management improve competitiveness? A dynamic network non-parametric frontier approach. Economic Modelling, 116, 106010.

34. Lahouel, B. B., Zaied, Y. B., Managi, S., & Taleb, L. (2022). Re-thinking about U: The relevance of regime-switching model in the relationship between environmental corporate social responsibility and financial performance. Journal of Business Research, 140, 498-519.

35. Lahouel, B. B., Zaied, Y. B., Taleb, L., & Kočišová, K. (2022). The assessment of socio-environmental performance change: A Benefit of the Doubt indicator based on Directional Distance Function and Malmquist productivity index. Finance Research Letters, 49, 103164.

36. Mighri, Z., Ghodbane, S. B., Soufeljil, M., & Redouane, A. (2023). The Corporate Social Responsibility of the Family SMEs: A Descriptive Analysis in the Context of Tunisia. In Examining the Vital Financial Role of SMEs in Achieving the Sustainable Development Goals (pp. 110-129). IGI Global.

37. Mirza, N., Naeem, M. A., Nguyen, T. T. H., Arfaoui, N., & Oliyide, J. A. (2023). Are sustainable investments interdependent? The international evidence. Economic Modelling, 119, 106120.

38. Saadaoui, Z., & Mokdadi, S. (2022). The Risk-Taking Behaviour of Tunisian Banks in the Post-Revolution Era: A Panel ARDL-PMG Approach. Asian Journal of Economics and Empirical Research, 9(1), 1-12.

39. Zaiane, S., Dabbou, H., & Gallali, M. I. (2022). The non-uniform relationship between CEO stock options and strategic risk-taking: the moderating role of firm performance. EuroMed Journal of Business, (ahead-of-print).

40. Zaiane, S., & Ellouze, D. (2022). Corporate social responsibility and firm financial performance: the moderating effects of size and industry sensitivity. Journal of Management and Governance, 1-41.

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