Details about Seyed Alireza Athari Sr.
Access statistics for papers by Seyed Alireza Athari Sr..
Last updated 2025-09-08. Update your information in the RePEc Author Service.
Short-id: pat156
Jump to Journal Articles
Journal Articles
2025
- Bridging Sustainable Development: The Nexus of Business Safety, Health Management, and Corporate Social Sustainability—Do Affective Commitment and Emotional Intelligence Mediate?
Sustainability, 2025, 17, (7), 1-16
- How do climate policy uncertainty and renewable energy and clean technology stock prices co-move? evidence from Canada
Empirical Economics, 2025, 68, (1), 353-371
- Impact of Financial Market uncertainty and Financial Crises on Dynamic Stock—Foreign Exchange Market Correlations: A New Perspective
SAGE Open, 2025, 15, (1), 21582440251314719
2024
- Do Environmental Tax and Energy Matter for Environmental Degradation in the UK? Evidence from Novel Fourier-Based Estimators
Energies, 2024, 17, (22), 1-18 View citations (1)
- Do US states’ responses to COVID-19 restore investor sentiment? Evidence from S&P 500 financial institutions
Financial Innovation, 2024, 10, (1), 1-21
- Do governance settings moderate the effect of country risk on firms' cash holdings? Evidence from China
International Journal of Banking, Accounting and Finance, 2024, 14, (2), 247-278
- Does a country’s sovereign credit rating drive capital inflows into emerging European markets? Evidence from Balkan region
The Economics and Finance Letters, 2024, 11, (3), 174-185
- Does country risk rating explain shadow banking development? Insights from advanced and emerging market economies
Economic Systems, 2024, 48, (2) View citations (2)
- Examining the Quadratic Impact of Sovereign Environmental, Social, and Governance Practices on Firms’ Profitability: New Insights from the Financial Industry in Gulf Cooperation Council Countries
Sustainability, 2024, 16, (7), 1-26 View citations (1)
- Twitter-Based Economic Uncertainty and US Energy Market - An Investigation Using Wavelet Coherence
Energy RESEARCH LETTERS, 2024, 5, (1), 1-7
2023
- Does country risk impact the banking sectors’ non-performing loans? Evidence from BRICS emerging economies
Financial Innovation, 2023, 9, (1), 1-30 View citations (5)
- Examining the Impact of Entrepreneurial Orientation on New Venture Performance in the Emerging Economy of Lebanon: A Moderated Mediation Analysis
Sustainability, 2023, 15, (15), 1-21 View citations (1)
- The Role of Country Governance in Achieving the Banking Sector’s Sustainability in Vulnerable Environments: New Insight from Emerging Economies
Sustainability, 2023, 15, (13), 1-15 View citations (4)
- The impact of external governance and regulatory settings on the profitability of Islamic banks: Evidence from Arab markets
International Journal of Finance & Economics, 2023, 28, (2), 2124-2147 View citations (6)
- World pandemic uncertainty and German stock market: evidence from Markov regime-switching and Fourier based approaches
Quality & Quantity: International Journal of Methodology, 2023, 57, (2), 1923-1936 View citations (2)
2022
- Does investor protection affect corporate dividend policy? Evidence from Asian markets
Bulletin of Economic Research, 2022, 74, (2), 579-598 View citations (4)
- Does the country’s political and economic risks trigger risk-taking behavior in the banking sector: a new insight from regional study
Journal of Economic Structures, 2022, 11, (1), 1-10 View citations (6)
- Driving green bond market through energy prices, gold prices and green energy stocks: evidence from a non-linear approach
Economic Research-Ekonomska Istraživanja, 2022, 35, (1), 6479-6499 View citations (14)
- Examining the Impact of Financial Literacy, Financial Self-Control, and Demographic Determinants on Individual Financial Performance and Behavior: An Insight from the Lebanese Crisis Period
Sustainability, 2022, 14, (22), 1-17 View citations (1)
- Examining the Impacts of Environmental Characteristics on Shariah-Based Bank’s Capital Holdings: Role of Country Risk and Governance Quality
The Economics and Finance Letters, 2022, 9, (1), 99-109 View citations (2)
- Financial Inclusion, Political Risk, and Banking Sector Stability: Evidence from Different Geographical Regions
Economics Bulletin, 2022, 42, (1), 99 - 108 View citations (8)
- THE ROLE OF FAMILY CONTROL IN DETERMINING THE CAPITAL STRUCTURE: EVIDENCE FROM NONFINANCIAL LISTED FIRMS
Ekonomski pregled, 2022, 73, (3), 459-481
- The Dynamic Impact of Renewable Energy and Economic Growth on CO 2 Emissions in China: Do Remittances and Technological Innovations Matter?
Sustainability, 2022, 14, (21), 1-17 View citations (3)
- Time–frequency return co-movement among asset classes around the COVID-19 outbreak: portfolio implications
Journal of Economics and Finance, 2022, 46, (4), 736-756 View citations (13)
- Towards Environmental Sustainability in China: Role of Globalization and Hydroelectricity Consumption
Sustainability, 2022, 14, (7), 1-15 View citations (6)
2021
- A global perspective of the role of domestic economic, financial and political risks in inbound tourism
International Journal of Emerging Markets, 2021, 18, (10), 4191-4213
- Dependency between sovereign credit ratings and economic risk: Insight from Balkan countries
Journal of Economics and Business, 2021, 116, (C) View citations (7)
- Domestic political risk, global economic policy uncertainty, and banks’ profitability: evidence from Ukrainian banks
Post-Communist Economies, 2021, 33, (4), 458-483 View citations (20)
- The (Un)sticky role of exchange and inflation rate in tourism development: insight from the low and high political risk destinations
Current Issues in Tourism, 2021, 24, (12), 1670-1685 View citations (10)
- The effects of institutional settings and risks on bank dividend policy in an emerging market: Evidence from Tobit model
International Journal of Finance & Economics, 2021, 26, (3), 4493-4515 View citations (7)
- The real estate industry in Turkey: a time series analysis
The Service Industries Journal, 2021, 41, (5-6), 427-439 View citations (12)
- Time-frequency dependencies of financial and economic risks in South American countries
The Quarterly Review of Economics and Finance, 2021, 79, (C), 170-181 View citations (11)
2020
- Global competitiveness and capital flows: does stage of economic development and risk rating matter?*
Asia-Pacific Journal of Accounting & Economics, 2020, 27, (4), 426-450 View citations (16)
- Time-frequency co-movements between bank credit supply and economic growth in an emerging market: Does the bank ownership structure matter?
The North American Journal of Economics and Finance, 2020, 54, (C) View citations (12)
2019
- Nexus between Institutional Quality and Capital Inflows at Different Stages of Economic Development
International Review of Finance, 2019, 19, (2), 435-445 View citations (4)
2016
- Investor protection and dividend policy: The case of Islamic and conventional banks
Emerging Markets Review, 2016, 27, (C), 100-117 View citations (27)
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|