Details about Jamel Boukhatem
Access statistics for papers by Jamel Boukhatem.
Last updated 2026-01-25. Update your information in the RePEc Author Service.
Short-id: pbo1249
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Working Papers
2015
- Dette publique, qualité institutionnelle et croissance économique dans les pays de la région MENA: analyse par la méthode des moments généralisés
(Public debt, institutional quality and economic growth in MENA countries: a GMM approach)
MPRA Paper, University Library of Munich, Germany
2009
- Essai sur les déterminants empiriques de développement des marchés obligataires
Working Papers, HAL 
Also in EconomiX Working Papers, University of Paris Nanterre, EconomiX (2009) View citations (2)
2007
- Marchés obligataires et crises bancaires dans les pays émergents
EconomiX Working Papers, University of Paris Nanterre, EconomiX 
Also in Working Papers, HAL (2007)
Journal Articles
2025
- Financial inclusion, institutional quality, and economic growth in MENA countries: some evidence from panel cointegration
Macroeconomics and Finance in Emerging Market Economies, 2025, 18, (2), 319-342
2024
- Aggregate demand and inflation response to monetary policy shocks in Tunisia
Journal of Policy Modeling, 2024, 46, (3), 592-612 View citations (5)
- COVID-19 pandemic, oil prices and Saudi stock market: empirical evidence from ARDL modeling and Bayer–Hanck cointegration approach
Future Business Journal, 2024, 10, (1), 1-14
- The effects of financial risk components on local-currency bond markets: theory and empirical evidence
SN Business & Economics, 2024, 4, (4), 1-19 View citations (1)
2022
- The bank-lending channel of monetary policy transmission in a dual banking system: empirical evidence from panel VAR modeling
Cogent Economics & Finance, 2022, 10, (1), 2107765 View citations (2)
2021
- Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis
Annals of Operations Research, 2021, 297, (1), 53-76 View citations (10)
Also in Annals of Operations Research, 2024, 332, (1), 1265-1265 (2024)
- Sukuk Market and Economic Welfare Nexus: A Partial Equilibrium Approach
International Journal of Economics and Financial Issues, 2021, 11, (3), 142-145
- What drives local currency bond market development in Saudi Arabia: do macroeconomic and institutional factors matter?
Future Business Journal, 2021, 7, (1), 1-18 View citations (3)
2020
- Causal interactions between trade openness, renewable electricity consumption, and economic growth in Asia-Pacific countries: Fresh evidence from a bootstrap ARDL approach
Renewable and Sustainable Energy Reviews, 2020, 133, (C) View citations (26)
- Liquidity risk in the Saudi banking system: Is there any Islamic banking specificity?
The Quarterly Review of Economics and Finance, 2020, 77, (C), 206-219 View citations (2)
- Modelling liquidity management in Islamic banks from a microeconomic perspective
Finance Research Letters, 2020, 36, (C)
2019
- FINANCIAL INTEGRATION AND MACROECONOMIC VOLATILITY: NEW EVIDENCE FROM DSGE MODELING
Annals of Financial Economics (AFE), 2019, 14, (02), 1-19 View citations (6)
2018
- Ciblage d'inflation et performance macroéconomique: Nouvelle approche, nouvelle réponse
L'Actualité Economique, 2018, 94, (4), 481-505
- The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries
Borsa Istanbul Review, 2018, 18, (3), 231-247 View citations (38)
2017
- What does the bond yield curve tell us about Tunisian economic activity?
Research in International Business and Finance, 2017, 42, (C), 295-303 View citations (1)
2016
- Assessing the direct effect of financial development on poverty reduction in a panel of low- and middle-income countries
Research in International Business and Finance, 2016, 37, (C), 214-230 View citations (44)
2012
- Effets directs du développement financier sur la pauvreté: validation empirique sur un panel de pays à bas et moyen revenu
Mondes en développement, 2012, n°160, (4), 133-148 View citations (6)
- Marchés obligataires et crises bancaires dans les pays émergents: le rôle des institutions
Panoeconomicus, 2012, 59, (5), 625-646
Chapters
2020
- The Risk-Sharing Paradigm in Islamic Financial System: Myth or Reality?
Chapter 7 in Risk Factors and Contagion in Commodity Markets and Stocks Markets, 2020, pp 161-196
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