Details about Mohammed M. Elgammal
Access statistics for papers by Mohammed M. Elgammal.
Last updated 2025-03-15. Update your information in the RePEc Author Service.
Short-id: pel282
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Journal Articles
2024
- A more sustainable future: Can politically connected CEOs spur the nexus between ESG performance and firm financial performance?
Journal of International Financial Markets, Institutions and Money, 2024, 96, (C) View citations (1)
- Does the extent of branchless banking adoption enhance the social and financial performance of microfinance institutions?
Applied Economics, 2024, 56, (14), 1671-1688
2023
- Are donor funds used effectively? An examination of Islamic and conventional microfinance institutions
International Journal of Islamic and Middle Eastern Finance and Management, 2023, 16, (5), 1009-1029
- Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers
Emerging Markets Review, 2023, 54, (C) View citations (7)
- The Effect of New and Traditional Sources of Financing on the Performance of Small and Entrepreneurship Businesses: The Case of Qatar
Cogent Economics & Finance, 2023, 11, (2), 2183667
2022
- Credit information sharing, nonperforming loans and economic growth: A cross-country analysis
Cogent Economics & Finance, 2022, 10, (1), 2045720 View citations (3)
- Terrorist attacks and bank financial stability: evidence from MENA economies
Review of Quantitative Finance and Accounting, 2022, 59, (1), 383-427 View citations (8)
- The impact of ownership structure and corporate governance on capital structure decisions in the UAE
International Journal of Accounting, Auditing and Performance Evaluation, 2022, 18, (1), 28-48
2021
- Herding behaviour in cryptocurrency and emerging financial markets
Cogent Economics & Finance, 2021, 9, (1), 1933681 View citations (1)
- Investor overconfidence in the South African exchange traded fund market
Cogent Economics & Finance, 2021, 9, (1), 1978190 View citations (1)
- Momentum and disposition effect in the US stock market
Cogent Economics & Finance, 2021, 9, (1), 1999004 View citations (1)
- Price and volatility spillovers between global equity, gold, and energy markets prior to and during the COVID-19 pandemic
Resources Policy, 2021, 74, (C) View citations (29)
2020
- Does investing in intellectual capital improve financial performance? Panel evidence from firms listed in Tanzania DSE
Cogent Economics & Finance, 2020, 8, (1), 1802815 View citations (2)
- Financing modes, risk, efficiency and profitability in Islamic banks: Modeling for the GCC countries
Cogent Economics & Finance, 2020, 8, (1), 1750258 View citations (5)
- Foreign Direct Investment Determinants in Oil Exporting Countries: Revisiting the Role of Natural Resources
Journal of Emerging Market Finance, 2020, 19, (1), 33-65 View citations (9)
- Manufactured goods’ export diversification in Saudi Arabia: A spatial panel approach
Cogent Economics & Finance, 2020, 8, (1), 1741309
- The impact of short-term debt on accruals-based earnings management – evidence from Vietnam
Cogent Economics & Finance, 2020, 8, (1), 1767851 View citations (1)
- The information content of US stock market factors
Studies in Economics and Finance, 2020, 37, (2), 323-346
2019
- Rational functions: an alternative approach to asset pricing
Applied Economics, 2019, 51, (20), 2091-2119 View citations (1)
2018
- Conference Review: The APMAA 13th Annual Conference
FIIB Business Review, 2018, 7, (1), 26-27
- Corporate governance and voluntary risk and forward-looking disclosures
Journal of Applied Accounting Research, 2018, 19, (4), 592-607 View citations (9)
2017
- Determinants of Takāful and conventional insurance demand: A regional analysis
Cogent Economics & Finance, 2017, 5, (1), 1291150 View citations (5)
- Impact of Muslim Holy Days on Asian stock markets: An empirical evidence
Cogent Economics & Finance, 2017, 5, (1), 1311096 View citations (7)
2016
- Do financial distress and liquidity crises affect value and size premiums?
Applied Economics, 2016, 48, (39), 3734-3751 View citations (2)
- Key determinants of inflation and monetary policy in the emerging markets: evidence from Vietnam
Afro-Asian Journal of Finance and Accounting, 2016, 6, (3), 210-223 View citations (2)
2014
- Value premium and default risk
Journal of Asset Management, 2014, 15, (1), 48-61 View citations (4)
2013
- Innovation and credit ratings, does it matter? UK evidence
Applied Economics Letters, 2013, 20, (5), 428-431 View citations (7)
Chapters
2024
- Political Connections and Capital Structure in the GCC Banks
Chapter 13 in BANKING RESILIENCE New Insights on Corporate Governance, Sustainability and Digital Innovation, 2024, pp 453-479
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