The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries J Boukhatem, FB Moussa Borsa Istanbul Review 18 (3), 231-247, 2018 | 289 | 2018 |
Assessing the direct effect of financial development on poverty reduction in a panel of low-and middle-income countries J Boukhatem Research in International Business and Finance 37, 214-230, 2016 | 201 | 2016 |
Causal interactions between trade openness, renewable electricity consumption, and economic growth in Asia-Pacific countries: Fresh evidence from a bootstrap ARDL approach T Ghazouani, J Boukhatem, CY Sam Renewable and Sustainable Energy Reviews 133, 110094, 2020 | 103 | 2020 |
The effect of Islamic banks on GDP growth: Some evidence from selected MENA countries. Borsa Istanbul Review, 18 (3), 231–247 J Boukhatem, F Ben Moussa | 46 | 2018 |
Liquidity risk in the Saudi banking system: Is there any Islamic banking specificity? J Boukhatem, M Djelassi The Quarterly Review of Economics and Finance 77, 206-219, 2020 | 26 | 2020 |
How does financial risk affect sukuk market development? Empirical evidence from ARDL approach J Boukhatem Heliyon 8 (5), 2022 | 24 | 2022 |
Bond market and macroeconomic stability in East Asia: a nonlinear causality analysis J Boukhatem, Z Ftiti, JM Sahut Annals of Operations Research 297 (1), 53-76, 2021 | 24 | 2021 |
The bank-lending channel of monetary policy transmission in a dual banking system: empirical evidence from panel VAR modeling J Boukhatem, M Djelassi Cogent Economics & Finance 10 (1), 2107765, 2022 | 21 | 2022 |
Effets directs du développement financier sur la pauvreté: validation empirique sur un panel de pays à bas et moyen revenu J Boukhatem, B Mokrani Mondes en développement 160 (4), 133-148, 2012 | 18 | 2012 |
Financial integration and macroeconomic volatility: New evidence from DSGE modeling T Ghazouani, R Drissi, J Boukhatem Annals of Financial Economics 14 (02), 1950007, 2019 | 13 | 2019 |
A nonlinear adjustment in real exchange rates under transaction costs hypothesis in developed and emerging countries R Drissi, J Boukhatem Quantitative Finance and Economics 4 (2), 220-235, 2020 | 12 | 2020 |
How does financial risk affect sukuk market development? Empirical evidence from ARDL approach. Heliyon, 8 (5), e09453 J Boukhatem | 9 | 2022 |
What drives local currency bond market development in Saudi Arabia: do macroeconomic and institutional factors matter? J Boukhatem Future Business Journal 7 (1), 65, 2021 | 8 | 2021 |
Dynamique du fardeau virtuel de la dette extérieure et croissance économique dans les PED: une approche empirique J Boukhatem, R Brini URMOFIB Université de Tunis El-Manar, Université de Sfax, 2012 | 7 | 2012 |
What does the bond yield curve tell us about Tunisian economic activity? J Boukhatem, H Sekouhi Research in International Business and Finance 42, 295-303, 2017 | 6 | 2017 |
Public debt, institutional quality and economic growth in MENA countries: a GMM approach J Boukhatem, M Kaabi MPRA Paper, 2015 | 6 | 2015 |
Essai sur les déterminants empiriques de développement des marchés obligataires J Boukhatem | 6 | 2009 |
Ciblage d’inflation et performance macroéconomique: nouvelle approche, nouvelle réponse Z Ftiti, JF Goux, J Boukhatem L'Actualité économique 94 (4), 481-505, 2018 | 5 | 2018 |
Marchés obligataires et crises bancaires dans les pays émergents: le rôle des institutions: Bond Markets and Banking Crises in Emerging Market Economies: The Role of Institutions J Boukhatem Panoeconomicus 59 (5), 625-646, 2012 | 5 | 2012 |
Modelling liquidity management in Islamic banks from a microeconomic perspective M Djelassi, J Boukhatem Finance Research Letters 36, 101341, 2020 | 4 | 2020 |