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Details about Mohamad H. Shahrour

Workplace:College of Business, Accounting Finance Department, University of Doha for Science and Technology, Doha, Qatar

Access statistics for papers by Mohamad H. Shahrour.

Last updated 2025-03-28. Update your information in the RePEc Author Service.

Short-id: psh1311


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Working Papers

2023

  1. CEO stock ownership and firm default risk
    Post-Print, HAL
  2. Commodity Market Response to Geopolitical Events: Evidence from the Ukrainian-Russian Conflict
    Post-Print, HAL

2022

  1. Corporate Debt and the Global Economy
    Post-Print, HAL
  2. Corporate Social Responsibility and Firm Default Risk Mitigation: The Moderating Role of the Legal Context
    (Responsabilité sociale des entreprises et réduction du risque de défaillance: l’effet modérateur du système juridique)
    Post-Print, HAL View citations (1)
  3. Editorial: Towards a comprehensive review of corporate governance
    Post-Print, HAL
  4. Inflation: pourquoi la France résiste (pour l’instant) mieux que ses voisins
    Post-Print, HAL
  5. Intelligent Stock Prediction: A Neural Network Approach
    Post-Print, HAL
    See also Journal Article Intelligent stock prediction: A neural network approach, International Journal of Financial Engineering (IJFE), World Scientific Publishing Co. Pte. Ltd. (2023) Downloads View citations (2) (2023)
  6. Is the global housing market about to crash?
    Post-Print, HAL
  7. Marché immobilier: krach ou simple correction ?
    Post-Print, HAL
  8. Measuring the financial and social performance of French mutual funds: A data envelopment analysis approach
    Post-Print, HAL
    Also in Post-Print, HAL (2022)

    See also Journal Article Measuring the financial and social performance of French mutual funds: A data envelopment analysis approach, Business Ethics, the Environment & Responsibility, John Wiley & Sons, Ltd. (2022) Downloads (2022)

2021

  1. Corporate Social Responsibility and Firm Default Risk in the Eurozone: A Market-Based Approach
    Post-Print, HAL
    Also in Post-Print, HAL (2021) Downloads View citations (5)
    Post-Print, HAL (2020)

2019

  1. On the Inverse Relationship between Corporate Social Responsibility and Firm Default Risk: The Moderating Role of the Legal Origins
    Post-Print, HAL
  2. The Moderating Impact of Legal Origins on the CSR-Default Risk Relationship
    Post-Print, HAL

Journal Articles

2024

  1. Board diversity, female executives and stock liquidity: evidence from opposing cycles in the USA
    Review of Accounting and Finance, 2024, 23, (5), 581-597 Downloads View citations (1)
  2. Cross-market volatility dynamics in crypto and traditional financial instruments: quantifying the spillover effect
    Journal of Risk Finance, 2024, 26, (1), 1-21 Downloads
  3. The effect of capital empowerment on the lending competence of banks: Evidence from segmental analysis
    Economics Bulletin, 2024, 44, (2), 731 - 746 Downloads

2023

  1. Intelligent stock prediction: A neural network approach
    International Journal of Financial Engineering (IJFE), 2023, 10, (01), 1-14 Downloads View citations (2)
    See also Working Paper Intelligent Stock Prediction: A Neural Network Approach, Post-Print (2022) (2022)
  2. On the foundations of firm climate risk exposure
    Review of Accounting and Finance, 2023, 22, (5), 620-635 Downloads View citations (3)

2022

  1. Measuring the financial and social performance of French mutual funds: A data envelopment analysis approach
    Business Ethics, the Environment & Responsibility, 2022, 31, (2), 398-418 Downloads
    See also Working Paper Measuring the financial and social performance of French mutual funds: A data envelopment analysis approach, Post-Print (2022) (2022)
 
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