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Details about Seyed Alireza Athari Sr.

Workplace:Centre International de Recherche en Applications Managériales et Économiques (CIRAME) (International Center for Research on Management and Economics), Faculté de Gestion et Sciences Commerciales (Faculty of Business and Commercial Sciences), Université du Saint-Esprit de Kaslik (Holy Spirit University of Kaslik), (more information at EDIRC)

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


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Journal Articles

2025

  1. 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 Downloads
  2. 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 Downloads
  3. Impact of Financial Market uncertainty and Financial Crises on Dynamic Stock—Foreign Exchange Market Correlations: A New Perspective
    SAGE Open, 2025, 15, (1), 21582440251314719 Downloads

2024

  1. Do Environmental Tax and Energy Matter for Environmental Degradation in the UK? Evidence from Novel Fourier-Based Estimators
    Energies, 2024, 17, (22), 1-18 Downloads View citations (1)
  2. Do US states’ responses to COVID-19 restore investor sentiment? Evidence from S&P 500 financial institutions
    Financial Innovation, 2024, 10, (1), 1-21 Downloads
  3. 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 Downloads
  4. 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 Downloads
  5. Does country risk rating explain shadow banking development? Insights from advanced and emerging market economies
    Economic Systems, 2024, 48, (2) Downloads View citations (2)
  6. 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 Downloads View citations (1)
  7. Twitter-Based Economic Uncertainty and US Energy Market - An Investigation Using Wavelet Coherence
    Energy RESEARCH LETTERS, 2024, 5, (1), 1-7 Downloads

2023

  1. Does country risk impact the banking sectors’ non-performing loans? Evidence from BRICS emerging economies
    Financial Innovation, 2023, 9, (1), 1-30 Downloads View citations (5)
  2. 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 Downloads View citations (1)
  3. 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 Downloads View citations (4)
  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 Downloads View citations (6)
  5. 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 Downloads View citations (2)

2022

  1. Does investor protection affect corporate dividend policy? Evidence from Asian markets
    Bulletin of Economic Research, 2022, 74, (2), 579-598 Downloads View citations (4)
  2. 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 Downloads View citations (6)
  3. 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 Downloads View citations (14)
  4. 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 Downloads View citations (1)
  5. 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 Downloads View citations (2)
  6. Financial Inclusion, Political Risk, and Banking Sector Stability: Evidence from Different Geographical Regions
    Economics Bulletin, 2022, 42, (1), 99 - 108 Downloads View citations (8)
  7. THE ROLE OF FAMILY CONTROL IN DETERMINING THE CAPITAL STRUCTURE: EVIDENCE FROM NONFINANCIAL LISTED FIRMS
    Ekonomski pregled, 2022, 73, (3), 459-481 Downloads
  8. 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 Downloads View citations (3)
  9. 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 Downloads View citations (13)
  10. Towards Environmental Sustainability in China: Role of Globalization and Hydroelectricity Consumption
    Sustainability, 2022, 14, (7), 1-15 Downloads View citations (6)

2021

  1. 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 Downloads
  2. Dependency between sovereign credit ratings and economic risk: Insight from Balkan countries
    Journal of Economics and Business, 2021, 116, (C) Downloads View citations (7)
  3. Domestic political risk, global economic policy uncertainty, and banks’ profitability: evidence from Ukrainian banks
    Post-Communist Economies, 2021, 33, (4), 458-483 Downloads View citations (20)
  4. 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 Downloads View citations (10)
  5. 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 Downloads View citations (7)
  6. The real estate industry in Turkey: a time series analysis
    The Service Industries Journal, 2021, 41, (5-6), 427-439 Downloads View citations (12)
  7. Time-frequency dependencies of financial and economic risks in South American countries
    The Quarterly Review of Economics and Finance, 2021, 79, (C), 170-181 Downloads View citations (11)

2020

  1. 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 Downloads View citations (16)
  2. 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) Downloads View citations (12)

2019

  1. Nexus between Institutional Quality and Capital Inflows at Different Stages of Economic Development
    International Review of Finance, 2019, 19, (2), 435-445 Downloads View citations (4)

2016

  1. Investor protection and dividend policy: The case of Islamic and conventional banks
    Emerging Markets Review, 2016, 27, (C), 100-117 Downloads View citations (27)
 
Page updated 2025-09-09