All Stories

  1. Are Islamic bonds a good safe haven for stocks? Implications for portfolio management in a time-varying regime-switching copula framework
  2. Do commodities effectively hedge real estate risk? A multi-scale asymmetric DCC approach
  3. Directional predictability of implied volatility: From crude oil to developed and emerging stock markets
  4. Exploring the effect of ICT and tourism on economic growth: a study of Israel
  5. Directional predictability and time-varying spillovers between stock markets and economic cycles
  6. The Determinants of Credit Risk: Analysis of US Industry-level Indices
  7. Electricity and growth nexus dynamics in Singapore : Fresh insights based on wavelet approach
  8. Does Globalisation Worsen Environmental Quality in Developed Economies?
  9. Can economic policy uncertainty and investors sentiment predict commodities returns and volatility?
  10. The lead-lag relationship between U.S. industry-level credit and stock markets
  11. Asymmetric determinants of CDS spreads: U.S. industry-level evidence through the NARDL approach
  12. Relationship between developed, European and South Asian stock markets: a multivariate analysis
  13. Commodities and Stock Investment