Details about Mohamed Imen Gallali
This author is deceased. Access statistics for papers by Mohamed Imen Gallali.
Last updated 2026-06-09. Update your information in the RePEc Author Service.
Short-id: pga851
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Working Papers
2021
- On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis
Working Papers, HAL View citations (19)
See also Journal Article On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis, International Review of Financial Analysis, Elsevier (2021) View citations (9) (2021)
Journal Articles
2025
- Stock Returns’ Co-Movement: A Spatial Model with Convex Combination of Connectivity Matrices
Risks, 2025, 13, (6), 1-19
- The dynamic relationship between the bond and CDS markets of emerging countries: copula-GARCH
International Journal of Bonds and Derivatives, 2025, 4, (4), 281-307
2024
- Systemic risk, contagion and risk factors in the Tunisian banking system context: measures and determinants
Afro-Asian Journal of Finance and Accounting, 2024, 14, (2), 246-280
2023
- Contagion in the Euro area sovereign CDS market: a spatial approach
Journal of Risk Finance, 2023, 24, (5), 614-630 View citations (1)
- The Impact of Market Concentration on Bank Risk-Taking: Evidence from a Panel Threshold Model
Journal of the Knowledge Economy, 2023, 14, (4), 4170-4194 View citations (2)
2022
- Market pressure and cost of equity: Revisited
Finance Research Letters, 2022, 47, (PB) View citations (4)
- Over-the-counter market and corporate bond market development
International Journal of Entrepreneurship and Small Business, 2022, 47, (2/3), 284-304 View citations (1)
2021
- Dependence between Islamic banks and conventional banks and risk factors
International Journal of Banking, Accounting and Finance, 2021, 12, (3), 201-239 View citations (2)
- On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis
International Review of Financial Analysis, 2021, 77, (C) View citations (9)
See also Working Paper On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis, Working Papers (2021) View citations (19) (2021)
- The CDS-bond basis arbitrage in emerging markets: extreme sovereign risk
International Journal of Bonds and Derivatives, 2021, 4, (3), 196-220
- The Impact of Family Ownership on the Capital Structure of Palestinian Firms
International Journal of Economics & Business Administration (IJEBA), 2021, IX, (3), 32-52
- The impact of COVID-19 news, panic and media coverage on the oil and gold prices: An ARDL approach
Resources Policy, 2021, 72, (C) View citations (56)
2020
- Capital regulation and default risk: a comparative analysis between Islamic and conventional banks in MENA region
International Journal of Business and Emerging Markets, 2020, 12, (4), 437-449
- Entrenchment, director' networks, and CEO compensation
International Journal of Entrepreneurship and Small Business, 2020, 39, (1/2), 2-26
- Political connections and corporate debt: Evidence from two U.S. election campaigns
The Quarterly Review of Economics and Finance, 2020, 75, (C), 229-239 View citations (10)
2019
- Macroeconomic determinants of credit risk: a P-VAR approach evidence from Europe
International Journal of Monetary Economics and Finance, 2019, 12, (1), 15-24 View citations (4)
2018
- Credit risk stress testing: theory and practice of the Spanish evidence
International Journal of Management and Enterprise Development, 2018, 17, (2), 136-154
2017
- Contribution of Islamic banks to systemic risk
International Journal of Banking, Accounting and Finance, 2017, 8, (1), 52-92 View citations (3)
- Earnings Management, Equity-based Compensation, Economic Conjuncture and Governance Mechanisms: A Comparative Study between France and the United States
International Journal of Economics and Financial Issues, 2017, 7, (2), 585-600
- Managerial Ownership, Board of Directors, Equity-based Compensation and Firm Performance: A Comparative Study between France and the United States
Mediterranean Journal of Social Sciences, 2017, 8, (1), 78-95 View citations (1)
2016
- Contagion between Islamic and Conventional Banking: A GJR DCC-GARCH and VAR Analysis
International Business Research, 2016, 9, (10), 115-126
2014
- The Determinants Of Equity Based Compensation: A Bidimensional Validity Of The Agency Theory
Asian Academy of Management Journal of Accounting and Finance (AAMJAF), 2014, 10, (2), 117-145
2012
- Determinants of stock options awards: evidence from French firms
International Journal of Business Governance and Ethics, 2012, 7, (4), 279-300 View citations (1)
- Evaluation of VaR models' forecasting performance: the case of oil markets
International Journal of Financial Services Management, 2012, 5, (3), 197-215
Chapters
2026
- Climate Finance and Corporate Social Responsibility
Chapter 6 in Climate Finance & Accountability A Comprehensive and Holistic Approach, 2026, pp 161-185
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