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Publications de 2024

Publications de 2024

Publications de 2024 150 150 LARIMRAF
  1. Alwan, A. H., &Bougatef, K. (2024). The quality of tax accounting in accordance with international internal auditing standards: The case of Iraq. Tec Empresarial, 19(1), 29-48.
  2. Arfaoui, N., Naeem, M. A., Maherzi, T., &Kayani, U. N. (2024). Can green investment funds hedge climate risk?. Finance ResearchLetters, 60, 104961.
  3. Atrous, R., &Abaoub, E. (2024). The Home Bias: Evolution, Determinants, and Financial Crises. International Journal of Economics and Finance, 16(7).
  4. Ayed, N., &Bougatef, K. (2024). Performance Assessment of Logistic Regression (LR), Artificial Neural Network (ANN), Fuzzy Inference System (FIS) and Adaptive Neuro-Fuzzy System (ANFIS) in Predicting Default Probability: The Case of a Tunisian Islamic Bank. ComputationalEconomics, 64(3), 1803-1835.
  5. Azzaoui, A., &Bougatef, K. Accounting Treatment of Contractors’ Dues and its Impact on Project Completion and Government Accounting System: Evidence from Iraq.
  6. Belgacem, S., Hadriche, M., &Belhaj, F. (2024). Bank Supervision and bank’s Outcomes: The Case of Tunisia. Journal of African Business, 1-18.
  7. Belhassine, O. (2023). Economic Policy Uncertainty And Investment: A Comparative Analysis Of India And Brazil.
  8. Belhassine, O., &Riahi, M. (2025). Searching for safe haven assets against American and European stocks during the Russo-Ukrainian War. Studies in Economics and Finance, 42(2), 352-372.
  9. Belhoula, M. M., El Montasser, G., Naoui, K., &Guesmi, K. (2023). Adaptive market efficiency and geopolitical risk in agricultural commodity markets. Management & Prospective, 40(6), 36-57.
  10. Belhoula, M. M., Mensi, W., & Al-Yahyaee, K. H. (2024). Dynamic speculation and efficiency in European natural gas markets during the COVID-19 and Russia-Ukraine crises. Resources Policy, 98, 105362.
  11. Belhoula, M. M., Mensi, W., & Al-Yahyaee, K. H. (2024). Dynamic speculation and efficiency in European natural gas markets during the COVID-19 and Russia-Ukraine crises. Resources Policy, 98, 105362.
  12. Belhoula, M. M., Mensi, W., &Naoui, K. (2024). Dynamic efficiency in MENA stock markets during COVID-19 outbreak and vaccines. International Journal of EmergingMarkets.
  13. Belhoula, M. M., Mensi, W., &Naoui, K. (2024). Impacts of investor’s sentiment, uncertainty indexes, and macroeconomic factors on the dynamic efficiency of G7 stock markets. Quality&Quantity, 58(3), 2855-2886.
  14. Ben Brayek, A., Ameur, H. B., &Alharbi, F. M. (2024). The Importance of Bitcoin and Commodities as Investment Diversifiers in OPEC and Non-OPEC Countries. Economies, 12(12), 351.
  15. Ben Lahouel, B., Taleb, L., Ben Zaied, Y., &Managi, S. (2024). Financial stability, liquidity risk and income diversification: evidence from European banks using the CAMELS–DEA approach. Annals of Operations Research, 334(1), 391-422.
  16. Ben Lahouel, B., Taleb, L., Managi, S., &Guesmi, K. (2024). The threshold effects of ICT on CO2 emissions: evidence from the MENA countries. EnvironmentalEconomics and Policy Studies, 26(2), 285-305.
  17. Berrich, O., Mafakheri, F., &Dabbou, H. (2024). Renewable Energy Transition and the Paris Agreement: How Governance Quality Makes a Difference?. Energies, 17(17), 4238.
  18. Bilel, H., &Khammassi, I. (2024). Can Company Radiation Announcement Influence Investor Sentiment and Predict Abnormal Returns? Tunisia Evidence. Journal of Ecohumanism, 3(8), 366-380.
  19. Bilel, H., &Khammassi, I. (2024). Determinants for the Decision of Delisting Companies from Stock Exchange: A Case Study of Tunisia, Egypt and Morocco. Theoretical and PracticalResearch in Economic Fields, 15(4), 909-927.
  20. Bougatef, K., &Nejah, I. (2024). Does Russia–Ukraine war generate herding behavior in Moscow Exchange?. Review of behavioral finance, 16(1), 85-95.
  21. Chafai, A., Khémiri, W., Tobar, R., Attia, E. F., &Abozeid, H. O. (2024). The moderating effect of audit quality on the relationship between financial inclusion and corporate investment: new evidence from the Middle East and North Africa region. CogentEconomics& Finance, 12(1), 2378121.
  22. Chakroun, M. A., &Gallali, M. I. (2024). Systemic risk, contagion and risk factors in the Tunisian banking system context: measures and determinants. Afro-Asian Journal of Finance and Accounting, 14(2), 246-280.
  23. Dkhili, H. (2023). Does environmental, social and governance (ESG) affect market performance? The moderating role of competitive advantage. Competitiveness Review: An International Business Journal, 34(2), 327-352.
  24. Elkhaldi, A. H., Naamane, M., &Chikhaoui, M. (2024). Examining the impact of multidimensional economic factors on performance: Evidence from the Tunisian insurance companies. Journal of Infrastructure, Policy and Development, 8(7), 4840.
  25. Elkhaldi, A., Abdul Kareem, A. A. A., Arfawi, M., &Smolo, E. (2024). Measuring Financial Inclusion for MENA Countries Using Sarma (2016) Approach. Journal of Economic Cooperation & Development, 45(2).
  26. Ellouz, N. Z. (2024). L’effet de la politique de distribution des dividendes sur la volatilité des prix: Le rôle modérateur de la structure de propriété, Cas des entreprises tunisiennes cotées. Journal of Academic Finance, 15(2), 19-40.
  27. Farza, K., Gabsi, M., Moussa, S., & Omri, A. (2024). Technological integration and energy‐efficiency innovation: The mediating effect of energy management evidence from Egypt. African Development Review, 36(3), 519-534.
  28. Fatnassi, I., & Hammami, Y. (2024). Assessing systemic risk of Islamic banks during the COVID-19 pandemic crisis. Applied Economics Letters, 31(11), 1037-1044.
  29. Gaies, B., Chaâbane, N., Arfaoui, N., &Sahut, J. M. (2024). On the resilience of cryptocurrencies: A quantile-frequency analysis of bitcoin and ethereum reactions in times of inflation and financial instability. Research in International Business and Finance, 70, 102302.
  30. Gaies, B., Nakhli, M. S., &Arfaoui, N. (2025). Crypto resource management: solving the puzzle of bitcoin mining and climate policy uncertainty. The Journal of Risk Finance, 26(2), 272-294.
  31. Ghadhab, W., &Naoui, K. (2024). Stress test micro-prudentiel inversé comme outil de gestion du risque du crédit: Impact de l’intégration de la statistique bayésienne. Journal of Academic Finance, 15(1), 108-122.
  32. GHADHAB, W., & NAOUI, K. (2024). Stress test micro prudentiel inversé pour la gestion du risque du crédit: Étude de cas sur l’intégration de la statistique bayésienne dans une banque Tunisienne. Journal of Academic Finance, 15(1).
  33. Ghafel, O. A., & Bougatef, K. (2024). The Impact of Inflation on Bank Profitability: Empirical Evidence from Iraq. Pakistan Journal of Life and Social Sciences (PJLSS), 22(10.57239).
  34. Ghallabi, F., Bougatef, K., &Mnari, O. (2024). Calendar anomalies and asymmetric volatility of returns in the Indonesian stock market: conventional vs Islamic indices. Journal of Islamic Accounting and Business Research.
  35. Ghodbane, S. B. (2024). The role of the Common Reporting Standard (CRS) in reducing tax evasion “Applied research on a sample of financial institutions”. Economic and Administrative Studies Journal, 3(2), 122-142.
  36. Ghorbali, B., Naoui, K., &Derbali, A. M. S. (2024). Does Gold React as a Safe Haven and Hedge for G7 Stock Markets? Comparative Assessment of the COVID-19 Pandemic vs. Global Financial Crisis. In Blockchain Applications for Smart Contract Technologies (pp. 48-71). IGI Global.
  37. Goutte, S., & Mhadhbi, M. (2024). Analyzing Crisis Dynamics: How metal-energy Markets influence green electricity investments. EnergyEconomics, 134, 107614.
  38. Kadhim, L. T., & Bougatef, K. (2024). The Impact of International Accounting and Auditing Standards on the Quality of Financial Reporting. Environmental & Social Management Journal/Revista de Gestão Social e Ambiental, 18(8).
  39. Kasraoui, A., &Naoui, K. (2024). The determinants of transfer pricing: Evidence from Tunisian listed firms. Educoretax, 4(7), 814-824.
  40. Khammassi, I., Boufateh, T., Naoui, K., Alrawad, M., &Lutfi, A. (2024). The role of stress tests in enhancing bank transparency: a comparative study of Islamic and conventional banks. Economics-Innovative and Economics Research Journal,12(1), 71-100.
  41. Khelil, I., Khlif, H., &Achek, I. (2024). Anti-corruption reporting: A review empirical literature. Journal of Money Laundering Control, (ahead-of-print).
  42. Khémiri, W., Attia, E. F., &Chafai, A. (2024). How financial inclusion moderates the curvilinear nexus between tangible investment and sustainable firm growth: new evidence from the Middle East and North Africa region. Sustainability, 16(6), 2573.
  43. Khémiri, W., Chafai, A., Attia, E. F., Tobar, R., & Farid Fouad, H. (2024). Trade-off between financial inclusion and Islamic bank stability in five GCC countries: the moderating effect of CSR. Cogent Business & Management, 11(1), 2300524.
  44. Kossentini, H., Belhassine, O., & Zenaidi, A. (2024). ESG index performance: European evidence. Journal of Asset Management, 1-13.
  45. Lakhal, F., Ben Saad, I., Lakhal, N., & Gaaya, S. (2024). How do socially responsible companies engage in tax avoidance practices? Evidence from France. Management international/International Management/Gestion Internacional, 28(5).
  46. Mhadhbi, M. (2024). The interconnected carbon, fossil fuels, and clean energy markets: Exploring Europe and China’s perspectives on climate change. Finance ResearchLetters, 62, 105185.
  47. Mohammed, B. I., & Bougatef, K. (2024). The Role of Strategic Planning in Making Credit Decision: The Case of Iraqi Commercial Banks. Pakistan Journal of Life and Social Sciences, 22(2), 1288-1296.
  48. Mokdadi, S., &Naoui, K. (2024). Bank shareholding, corporate governance and the adjustment cost of debts. International Journal of Banking, Accounting and Finance, 14(3), 279-298.
  49. Mokni, K., El Montasser, G., Ajmi, A. N., &Bouri, E. (2024). On the efficiency and its drivers in the cryptocurrency market: the case of Bitcoin and Ethereum. Financial Innovation, 10(1), 39.
  50. Mselmi, A., & Mahmoud, I. (2024). Cryptocurrencies Versus Gold: Safe-Haven Competition. International Journal of Economics and Financial Issues, 14(6), 201-210.
  51. Naeem, M. A., Arfaoui, N., Karim, S., & Lim, W. M. (2024). Tourism market in turbulent times: evidence of asymmetric connectedness. Current Issues in Tourism, 27(23), 4104-4133.
  52. Naeem, M. A., Senthilkumar, A., Arfaoui, N., &Mohnot, R. (2024). Mapping fear in financial markets: Insights from dynamic networks and centrality measures. Pacific-Basin Finance Journal, 85, 102368.
  53. Osman, M. B., Galariotis, E., Guesmi, K., Hamdi, H., &Naoui, K. (2024). Are markets sentiment driving the price bubbles in the virtual?. International Review of Economics& Finance, 89, 272-285.
  54. Srairi, S. (2024). The Impact of Corporate Governance on Bank Risk-taking: Evidence of Islamic Banks in Gulf Cooperation Council (GCC) Countries. International Journal of Islamic Finance and Sustainable Development, 16(3), 4-22.
  55. Srairi, S. (2024). The impact of risk and Fintech on ESG performance: evidence from gulf cooperation council (GCC) banks. Journal of Chinese Economic and Business Studies, 1-42.
  56. Yousaf, I., Arfaoui, N., &Gubareva, M. (2024). Spillovers and hedging effectiveness between oil and US equity sectors: Evidence from the COVID pre-and post-vaccination phases. Research in International Business and Finance, 69, 102204.
  57. Zaiane, S. (2024). The nonlinear relationship between CEO stock options and strategic risk taking: the moderating role of CEO characteristics. Corporate Governance: The International Journal of Business in Society.
  58. Zaiane, S., & Dabbou, H. (2024). The nonlinear relationship between financial constraints and R&D investment: the mediating role of executive stock options. Journal of Economic Studies, 51(6), 1165-1181.
  59. Zargar, F. N., Mohnot, R., Hamouda, F., &Arfaoui, N. (2024). Risk dynamics in energy transition: Evaluating downside risks and interconnectedness in fossil fuel and renewable energy markets. Resources Policy, 92, 105032.
  60. Zerriaa, M. (2024). Life insurance and economic growth Nexus: Evidence from the MENA region. International Journal of Economics and Finance, 16(9), 1-23.
  61. Zerriaa, M. Life Insurance and Economic Growth Nexus: Evidence from Tunisia.
  62. Zribi, W., Boufateh, T., Lahouel, B. B., & Urom, C. (2024). Uncertainty shocks, investor sentiment and environmental performance: Novel evidence from a PVAR approach. International Review of Financial Analysis, 93, 103196.
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