Stock market reactions to sovereign credit rating changes: Evidence from four European countries I Fatnassi, Z Ftiti, H Hasnaoui Journal of Applied Business Research (JABR) 30 (3), 953-958, 2014 | 33 | 2014 |
The impact of bank capital on profitability and risk in GCC countries: Islamic vs. conventional banks H Hasnaoui, I Fatnassi Afro-Asian Journal of Finance and Accounting 9 (3), 243-268, 2019 | 7 | 2019 |
The impact of bank capital on profitability and risk in GCC countries: Islamic vs. conventional I Fatnassi, H Hasnaoui, Z Ftiti Research Papers in Economics working paper, 2014 | 7 | 2014 |
Measuring the selectivity and market timing performance of Islamic mutual funds in the KSA H Hasnaoui, I Fatnassi Accounting 7 (5), 1067-1072, 2021 | 5 | 2021 |
Value-at-Risk models for KSA insurance markets: conventional and Takaful H Hasnaoui Academy of Accounting and Financial Studies Journal 22 (4), 1-8, 2018 | 5 | 2018 |
The nexus between financial development and energy consumption in the high-income OECD members: a dynamic panel data analysis H Hasnaoui Professionals Center for Business Research 12, 2014 | 5 | 2014 |
Time-varying beta and the subprime financial crisis: Evidence from US industrial sectors H Hasnaoui, I Fatnassi Journal of Applied Business Research (JABR) 30 (5), 1465-1476, 2014 | 5 | 2014 |
Alternative Beta Risk Estimators in Emerging Markets: The Case of Tunisia H Hasnaoui Journal of Business and Finance 2 (1), 57-64, 2014 | 3 | 2014 |