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Mouna Boujelbène Abbes
Mouna Boujelbène Abbes
Professor of finance
在 fsegs.usf.tn 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
Islamic stock markets and potential diversification benefits
MB Abbes, Y Trichilli
Borsa Istanbul Review 15 (2), 93-105, 2015
1522015
Risk and return of Islamic and conventional indices
M Boujelbène Abbes
International Journal of Euro-Mediterranean Studies 5, 1-23, 2012
1232012
Relationship between capital, risk and liquidity: a comparative study between Islamic and conventional banks in MENA region
IBS Mahdi, MB Abbes
Research in International Business and Finance 45, 588-596, 2018
1032018
Does overconfidence bias explain volatility during the global financial crisis?
MB Abbes
Transition Studies Review 19, 291-312, 2013
652013
The determinants of the performance and the sustainability of conventional and Islamic microfinance institutions
M Fersi, M Boujelbéne
Economics World 4 (5), 197-215, 2016
552016
Does hajj pilgrimage affect the Islamic investor sentiment?
MB Abbes, M Abdelhédi-Zouch
Research in International Business and Finance 35, 138-152, 2015
552015
Impact of COVID‐19 pandemic on risk transmission between googling investor’s sentiment, the Chinese stock and bond markets
T Mezghani, M Boujelbène, M Elbayar
China Finance Review International 11 (3), 322-348, 2021
462021
The contagion effect between the oil market, and the Islamic and conventional stock markets of the GCC country: Behavioral explanation
T Mezghani, M Boujelbène
International Journal of Islamic and Middle Eastern Finance and Management …, 2018
452018
The dynamic network connectedness and hedging strategies across stock markets and commodities: COVID-19 pandemic effect
T Mezghani, F Ben Hamadou, M Boujelbène Abbes
Asia-Pacific Journal of Business Administration 13 (4), 520-552, 2021
412021
Islamic and conventional portfolios optimization under investor sentiment states: Bayesian vs Markowitz portfolio analysis
Y Trichilli, MB Abbes, A Masmoudi
Research in International Business and Finance 51, 101071, 2020
412020
VOLATILITY SPILLOVER AND INVESTOR SENTIMENT: SUBPRIME CRISIS.
M Abdelhédi-Zouch, MB Abbes, Y Boujelbène
Asian Academy of Management Journal of Accounting & Finance 11 (2), 2015
332015
Behavioral explanation of contagion between oil and stock markets
A Ghorbel, M Abbes Boujelbene, Y Boujelbene
International Journal of Energy Sector Management 8 (1), 121-144, 2014
332014
Behavioral explanation for risk taking in Islamic and conventional banks
IBS Mahdi, MB Abbes
Research in International Business and Finance 45, 577-587, 2018
302018
Predicting the effect of Googling investor sentiment on Islamic stock market returns: A five-state hidden Markov model
Y Trichilli, M Boujelbène Abbes, A Masmoudi
International Journal of Islamic and Middle Eastern Finance and Management …, 2020
282020
Googling investor’s sentiment: powerful measure in conventional and Islamic MENA financial markets
Y Trichilli, M Abdelhédi, M Boujelbène Abbes
International Economic Journal 32 (3), 454-469, 2018
262018
Transmission of shocks between Chinese financial market and oil market
M Abdelhedi, M Boujelbène-Abbes
International Journal of Emerging Markets 15 (2), 262-286, 2019
222019
Overconfidence bias: Explanation of market anomalies French market case
MB Abbes, Y Boujelbene, A Bouri
Journal of Applied Economic Sciences 4 (1), 12-25, 2009
202009
The thermal optimal path model: does Google search queries help to predict dynamic relationship between investor’s sentiment and indexes returns?
Y Trichilli, M Abdelhédi, M Boujelbène Abbes
Journal of asset management 21 (3), 261-279, 2020
172020
Capital structure decisions of microfinance institutions and managerial behavioral biases: a survey and future directions
M Fersi, M Boujelbéne
ACRN Oxford Journal of Finance and Risk Perspectives 6 (1), 70-89, 2017
142017
Islamic stock markets and potential diversification benefits. Borsa Istanbul Review, 15 (2), 93–105
MB Abbes, Y Trichilli
142015
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