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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

  1. On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis
    Working Papers, HAL Downloads 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) Downloads View citations (9) (2021)

Journal Articles

2025

  1. Stock Returns’ Co-Movement: A Spatial Model with Convex Combination of Connectivity Matrices
    Risks, 2025, 13, (6), 1-19 Downloads
  2. 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 Downloads

2024

  1. 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 Downloads

2023

  1. Contagion in the Euro area sovereign CDS market: a spatial approach
    Journal of Risk Finance, 2023, 24, (5), 614-630 Downloads View citations (1)
  2. 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 Downloads View citations (2)

2022

  1. Market pressure and cost of equity: Revisited
    Finance Research Letters, 2022, 47, (PB) Downloads View citations (4)
  2. Over-the-counter market and corporate bond market development
    International Journal of Entrepreneurship and Small Business, 2022, 47, (2/3), 284-304 Downloads View citations (1)

2021

  1. Dependence between Islamic banks and conventional banks and risk factors
    International Journal of Banking, Accounting and Finance, 2021, 12, (3), 201-239 Downloads View citations (2)
  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) Downloads 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) Downloads View citations (19) (2021)
  3. The CDS-bond basis arbitrage in emerging markets: extreme sovereign risk
    International Journal of Bonds and Derivatives, 2021, 4, (3), 196-220 Downloads
  4. The Impact of Family Ownership on the Capital Structure of Palestinian Firms
    International Journal of Economics & Business Administration (IJEBA), 2021, IX, (3), 32-52 Downloads
  5. The impact of COVID-19 news, panic and media coverage on the oil and gold prices: An ARDL approach
    Resources Policy, 2021, 72, (C) Downloads View citations (56)

2020

  1. 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 Downloads
  2. Entrenchment, director' networks, and CEO compensation
    International Journal of Entrepreneurship and Small Business, 2020, 39, (1/2), 2-26 Downloads
  3. Political connections and corporate debt: Evidence from two U.S. election campaigns
    The Quarterly Review of Economics and Finance, 2020, 75, (C), 229-239 Downloads View citations (10)

2019

  1. Macroeconomic determinants of credit risk: a P-VAR approach evidence from Europe
    International Journal of Monetary Economics and Finance, 2019, 12, (1), 15-24 Downloads View citations (4)

2018

  1. Credit risk stress testing: theory and practice of the Spanish evidence
    International Journal of Management and Enterprise Development, 2018, 17, (2), 136-154 Downloads

2017

  1. Contribution of Islamic banks to systemic risk
    International Journal of Banking, Accounting and Finance, 2017, 8, (1), 52-92 Downloads View citations (3)
  2. 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 Downloads
  3. 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 Downloads View citations (1)

2016

  1. Contagion between Islamic and Conventional Banking: A GJR DCC-GARCH and VAR Analysis
    International Business Research, 2016, 9, (10), 115-126 Downloads

2014

  1. 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 Downloads

2012

  1. Determinants of stock options awards: evidence from French firms
    International Journal of Business Governance and Ethics, 2012, 7, (4), 279-300 Downloads View citations (1)
  2. Evaluation of VaR models' forecasting performance: the case of oil markets
    International Journal of Financial Services Management, 2012, 5, (3), 197-215 Downloads

Chapters

2026

  1. Climate Finance and Corporate Social Responsibility
    Chapter 6 in Climate Finance & Accountability A Comprehensive and Holistic Approach, 2026, pp 161-185 Downloads
 
Page updated 2026-06-10