28 results on '"Boukhatem, Jamel"'
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2. Aggregate demand and inflation response to monetary policy shocks in Tunisia
3. Correction to: Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis
4. How does financial risk affect sukuk market development? Empirical evidence from ARDL approach
5. Causal interactions between trade openness, renewable electricity consumption, and economic growth in Asia-Pacific countries: Fresh evidence from a bootstrap ARDL approach
6. Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis
7. COVID-19 pandemic, oil prices and Saudi stock market: empirical evidence from ARDL modeling and Bayer–Hanck cointegration approach.
8. Modelling liquidity management in Islamic banks from a microeconomic perspective
9. Liquidity risk in the Saudi banking system: Is there any Islamic banking specificity?
10. Financial inclusion, institutional quality, and economic growth in MENA countries: some evidence from panel cointegration
11. What drives local currency bond market development in Saudi Arabia: do macroeconomic and institutional factors matter?
12. The Risk-Sharing Paradigm in Islamic Financial System: Myth or Reality?
13. The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries
14. What does the bond yield curve tell us about Tunisian economic activity?
15. Assessing the direct effect of financial development on poverty reduction in a panel of low- and middle-income countries
16. The bank-lending channel of monetary policy transmission in a dual banking system: empirical evidence from panel VAR modeling
17. Bond markets and banking crises in emerging market economies: The role of institutions
18. Stock and Bond Markets Co-movements in Selected MENA Countries: A Dynamic Coherence Function Approach
19. Correction to: Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis
20. Sukuk Market and Economic Welfare Nexus: A Partial Equilibrium Approach
21. IDE, exportations et croissance économique dans la région MENA
22. Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis
23. FINANCIAL INTEGRATION AND MACROECONOMIC VOLATILITY: NEW EVIDENCE FROM DSGE MODELING
24. CIBLAGE D’INFLATION ET PERFORMANCE MACROÉCONOMIQUE : NOUVELLE APPROCHE, NOUVELLE RÉPONSE
25. Chapter 26 - Stock and Bond Markets Co-movements in Selected MENA Countries: A Dynamic Coherence Function Approach
26. Does The Expectations Hypothesis Explain The Term Structure Of Treasury Bond Yields In Tunisia?
27. Effets directs du développement financier sur la pauvreté : validation empirique sur un panel de pays à bas et moyen revenu
28. Marchés obligataires et crises bancaires dans les pays émergents: le rôle des institutions.
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