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Details about Rim Mansour El Khoury

Workplace:Adnan Kassar School of Business, Lebanese American University, (more information at EDIRC)

Access statistics for papers by Rim Mansour El Khoury.

Last updated 2025-12-17. Update your information in the RePEc Author Service.

Short-id: pel400


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Working Papers

2023

  1. Spillover analysis across FinTech, ESG, and renewable energy indices before and during the Russia–Ukraine war: International evidence
    Post-Print, HAL Downloads View citations (35)

2022

  1. Applying Benford’s Law to detect accounting data manipulation in the pre-and post-financial engineering periods: Evidence from Lebanon
    Working Papers of LaRGE Research Center, Laboratoire de Recherche en Gestion et Economie (LaRGE), Université de Strasbourg Downloads
  2. Exploring the performance of responsible companies in G20 during the COVID-19 outbreak
    Post-Print, HAL Downloads View citations (10)
  3. The impact of green supply chain management practices on environmental performance during COVID-19 period: the case of discretionary companies in the G-20 countries
    Post-Print, HAL

Journal Articles

2025

  1. Are interconnectedness and spillover alike across green sectors during the COVID-19 and the Russia–Ukraine conflict?
    Energy Economics, 2025, 144, (C) Downloads View citations (2)
  2. Asymmetric connectedness among regional green economies, carbon markets, and oil shocks
    International Review of Economics & Finance, 2025, 103, (C) Downloads
  3. Effects of domestic and foreign financial stress on stock returns in Asia-Pacific countries
    Global Finance Journal, 2025, 67, (C) Downloads
  4. ICOs conceptual unveiled: scholarly review of an entrepreneurial finance innovation
    Financial Innovation, 2025, 11, (1), 1-47 Downloads
  5. Is connectedness between commodity volatility indices and G-7 stock market returns the same across return quantiles?
    Journal of Multinational Financial Management, 2025, 79, (C) Downloads
  6. Japanese stock market sectoral dynamics: A time and frequency analysis
    International Journal of Finance & Economics, 2025, 30, (2), 1249-1274 Downloads
  7. The impact of carbon awareness, country-governance, and innovation on the cost of equity: Evidence from oil and gas firms
    Research in International Business and Finance, 2025, 73, (PB) Downloads View citations (1)
  8. Towards sustainability: Examining financial, economic, and societal determinants of environmental degradation
    Research in International Business and Finance, 2025, 73, (PA) Downloads View citations (9)

2024

  1. Assessing systemic risk spillovers from FinTech to China’s financial system
    The European Journal of Finance, 2024, 30, (8), 803-826 Downloads View citations (1)
  2. Dynamic connectedness among regional FinTech indices in times of turbulences
    Applied Economics Letters, 2024, 31, (7), 670-675 Downloads View citations (2)
  3. EXCHANGE RATES AND STOCK MARKET DYNAMICS: ISLAMIC VERSUS CONVENTIONAL FINANCIAL SYSTEMS
    Journal of Islamic Monetary Economics and Finance, 2024, 10, (3), 551-586 Downloads
  4. Extreme dynamic connectedness and hedging strategy across commodity, bond, currency, and stock markets: Evidence from Asian Pacific, Canada, Mexico, and US countries
    International Review of Economics & Finance, 2024, 96, (PA) Downloads View citations (2)
  5. Factors Affecting Auditor Change Decisions: The Case of United Kingdom
    SAGE Open, 2024, 14, (3), 21582440241259844 Downloads View citations (1)
  6. Impact of global macroeconomic factors on spillovers among Australian sector markets: Fresh findings from a wavelet‐based analysis
    Australian Economic Papers, 2024, 63, (1), 78-105 Downloads View citations (3)
  7. Interplay between renewable energy and fossil fuel markets: Fresh evidence from quantile-on-quantile and wavelet quantile approaches
    Energy Economics, 2024, 140, (C) Downloads View citations (6)
  8. Natural disasters, stock price volatility in the property-liability insurance market and sustainability: An unexplored link
    Socio-Economic Planning Sciences, 2024, 91, (C) Downloads View citations (4)
  9. Navigating uncertainty: a study of the S&P GCC composite index’s connectedness during times of crises
    Journal of Islamic Accounting and Business Research, 2024, 15, (8), 1359-1383 Downloads
  10. Quantile spillovers and connectedness between oil shocks and stock markets of the largest oil producers and consumers
    Journal of Commodity Markets, 2024, 34, (C) Downloads View citations (18)
  11. Quantile time-frequency connectedness among G7 stock markets and clean energy markets
    The Quarterly Review of Economics and Finance, 2024, 93, (C), 71-90 Downloads View citations (5)
  12. Tail-risk spillovers and interconnectedness in international logistics markets: a QVAR approach
    Cogent Economics & Finance, 2024, 12, (1), 2411558 Downloads
  13. The nexus of Green finance and renewable energy on CO2 emissions
    Business Strategy and the Environment, 2024, 33, (8), 8911-8928 Downloads View citations (1)

2023

  1. Applying Benford's law to detect accounting data manipulation in the pre- and post-financial engineering periods
    Journal of Applied Accounting Research, 2023, 24, (4), 745-768 Downloads View citations (1)
  2. Dynamic asymmetric connectedness in technological sectors
    The Journal of Economic Asymmetries, 2023, 27, (C) Downloads View citations (25)
  3. ESG and financial performance of banks in the MENAT region: concavity–convexity patterns
    Journal of Sustainable Finance & Investment, 2023, 13, (1), 406-430 Downloads View citations (17)
  4. Extreme risk spillovers and hedging strategies between Indonesia sectorial stocks and commodity markets
    International Journal of Emerging Markets, 2023, 20, (1), 428-467 Downloads View citations (4)
  5. Initial Coin Offerings: a Hybrid Empirical Review
    Small Business Economics, 2023, 61, (3), 891-908 Downloads View citations (11)
  6. Post-Brexit exchange rate volatility and its impact on UK exports to eurozone countries: A bounds testing approach
    Oeconomia Copernicana, 2023, 14, (1), 135-168 Downloads View citations (3)
  7. Quantile dependencies and connectedness between the gold and cryptocurrency markets: Effects of the COVID-19 crisis
    Research in International Business and Finance, 2023, 65, (C) Downloads View citations (32)
  8. The nonlinear and negative tail dependence and risk spillovers between foreign exchange and stock markets in emerging economies
    Journal of International Financial Markets, Institutions and Money, 2023, 82, (C) Downloads View citations (16)

2022

  1. Intellectual Structure of Knowledge Management: A Bibliometric Analysis of the Journal of Information and Knowledge Management
    Journal of Information & Knowledge Management (JIKM), 2022, 21, (01), 1-37 Downloads
  2. Is corporate governance a good predictor of SMEs financial performance? Evidence from developing countries (the case of Lebanon)
    Journal of Sustainable Finance & Investment, 2022, 12, (1), 13-43 Downloads View citations (12)
  3. Leadership Moderating the Impact of Personality Traits on Sales Performance
    International Journal of E-Business Research (IJEBR), 2022, 18, (1), 1-21 Downloads
  4. Risk management and bank performance: evidence from the MENA region
    Journal of Financial Reporting and Accounting, 2022, 21, (5), 974-998 Downloads View citations (2)

2021

  1. The predictive capacity of GARCH-type models in measuring the volatility of crypto and world currencies
    PLOS ONE, 2021, 16, (1), 1-17 Downloads View citations (8)
  2. Triple vectorial analysis of financial development impact on economic growth: evidence from the Middle East and Central Asia
    International Journal of Emerging Markets, 2021, 18, (10), 4301-4319 Downloads

2020

  1. Market Volatility of the Three Most Powerful Military Countries during Their Intervention in the Syrian War
    Mathematics, 2020, 8, (5), 1-21 Downloads View citations (2)
  2. Regulation, bank capital, and bank risk: evidence from the Lebanese banking industry
    Journal of Banking Regulation, 2020, 21, (3), 241-255 Downloads View citations (1)

2015

  1. Do macroeconomic factors matter for stock returns? Evidence from the European automotive industry
    International Journal of Monetary Economics and Finance, 2015, 8, (1), 71-84 Downloads View citations (2)
 
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