All Stories

  1. Exploring the Nexus between Environmental Degradation and Human Health in the MENAT Region: The Role of Financial Institutions’ Development
  2. The effect of regulatory quality on the nexus between foreign direct investment and bank stability in a dual banking system
  3. How Does Climate Policy Uncertainty Impact Corporate Cash Holdings? Evidence from UAE
  4. Gold-backed cryptocurrencies in cryptocurrency portfolios: Evaluating their hedging capabilities and safe-haven characteristics during extreme market conditions
  5. Are Latin American stock markets connected? Exploring spillovers and the impact of risk factors
  6. Predictive Analytics in Portfolio Management: A Fusion of AI and Investment Economics for Optimal Risk-Return Trade-Offs
  7. Do board characteristics affect financial sustainability? The COVID-19 pandemic experience
  8. The influence of foreign direct investment on banking stability in a dual banking system during the COVID-19 pandemic and the global financial crisis
  9. Have the extraordinary circumstances of the COVID-19 outbreak and the Russian–Ukrainian conflict impacted the efficiency of cryptocurrencies?
  10. Did real economic uncertainty drive risk connectedness in the oil–stock nexus during the COVID-19 outbreak? A partial wavelet coherence analysis
  11. Does economic policy uncertainty drive the dynamic spillover among traditional currencies and cryptocurrencies? The role of the COVID-19 pandemic
  12. THE SYSTEMIC RISK IN THE GULF COOPERATION COUNCIL COUNTRIES’ EQUITY MARKETS AND BANKING SECTORS: A DYNAMIC COVAR APPROACH
  13. When bitcoin lost its position: Cryptocurrency uncertainty and the dynamic spillover among cryptocurrencies before and during the COVID-19 pandemic
  14. The impact of institutional quality and resources rent on health: The case of GCC
  15. Oil structural shocks, bank-level characteristics, and systemic risk: Evidence from dual banking systems
  16. Dividend policy, its asymmetric behavior and stock liquidity
  17. Economic policy uncertainty and dynamic spillover among precious metals under market conditions: Does COVID-19 have any effects?
  18. Cyclicality of bank credit growth: Conventional vs Islamic banks in the GCC
  19. The role of financial and epidemic crises on tourism loyalty
  20. The Impact of Sentiment on Commodity Return and Volatility
  21. Political risk and bank stability in the Middle East and North Africa region
  22. Implementation of cloud ERP in the SME: evidence from UAE
  23. The dynamic behavior of evolving efficiency: Evidence from the UAE stock markets
  24. Evaluating qualitative research in management accounting using the criteria of “convincingness”
  25. Long memory behavior in Singapore's tourism market
  26. Fractional integration in daily stock market indices at Jordan's Amman stock exchange
  27. Air Pollution and Economic Growth in MENA Countries: Testing EKC Hypothesis
  28. Time-varying exchange rate exposure and exchange rate risk pricing in the Canadian Equity Market
  29. Foreign exchange rate exposure: Evidence from Canada
  30. Pricing of the currency risk in the Canadian equity market
  31. Understanding oil and mineral resources in a political economy context: the case of the Middle East and North Africa (MENA)
  32. An Examination of Herd Behavior in the Jordanian Equity Market
  33. Asymmetric Effects and the Herd Behavior in the Australian Equity Market
  34. The Impact of the Use of Derivatives and Operational Hedging on Foreign Currency Risk Exposure