The impact of COVID-19 news, panic and media coverage on the oil and gold prices: An ARDL approach H Atri, S Kouki, M imen Gallali Resources Policy 72, 102061, 2021 | 137 | 2021 |
Determinants of bank profitability in Western European Countries evidence from system GMM estimates AS Messai, MI Gallali, F Jouini International business research 8 (7), 30, 2015 | 48 | 2015 |
Financial leading indicators of banking distress: A micro prudential approach-Evidence from Europe AS Messai, MI Gallali Asian Social Science 11 (21), 78, 2015 | 41 | 2015 |
Islamic banks and financial stability: An empirical analysis of the Gulf countries MA Chakroun, MI Gallali International Journal of Business and Commerce 5 (3), 64-87, 2015 | 40 | 2015 |
On the asymmetric relationship between stock market development, energy efficiency and environmental quality: A nonlinear analysis M Mhadhbi, MI Gallali, S Goutte, K Guesmi International Review of Financial Analysis 77, 101840, 2021 | 35 | 2021 |
Political connections and corporate debt: Evidence from two US election campaigns I Chkir, MI Gallali, M Toukabri The Quarterly Review of Economics and Finance 75, 229-239, 2020 | 29 | 2020 |
A dynamic analysis of financial contagion: the case of the subprime crisis GM Imen, A Rim Journal of Business Studies Quarterly 4 (2), 11, 2012 | 24 | 2012 |
Macroeconomic determinants of credit risk: A P-VAR approach evidence from Europe AS Messai, MI Gallali International Journal of Monetary Economics and Finance 12 (1), 15-24, 2019 | 23 | 2019 |
Audit quality, timely disclosure, and the cost of debt: Tunisian evidence I Achek, MI Gallali Journal of Modern Accounting and Auditing 11 (4), 194-209, 2015 | 18 | 2015 |
Managerial ownership, board of directors, equity-based compensation and firm performance: A comparative study between France and the United States M Bouras, MI Gallali Mediterranean Journal of Social Sciences 8 (1), 78-95, 2017 | 16 | 2017 |
Stock markets volatility and international diversification MI Gallali, B Kilani Journal of Business Studies Quarterly 1 (4), 21, 2010 | 15 | 2010 |
Competition and efficiency: Comparative analysis between Islamic and conventional banks of MENA region B Amal, IG Mohamed International Journal of Business and Commerce 5 (3), 20-40, 2015 | 12 | 2015 |
The Board of Directors and Executive Compensation in the Context of Crisis: A Comparative Study Between the United States and France. M Bouras, MI Gallali International Journal of Business 21 (1), 2016 | 9 | 2016 |
Contribution of Islamic banks to systemic risk MA Chakroun, MI Gallali International Journal of Banking, Accounting and Finance 8 (1), 52-92, 2017 | 6 | 2017 |
The non-uniform relationship between CEO stock options and strategic risk-taking: the moderating role of firm performance S Zaiane, H Dabbou, MI Gallali EuroMed Journal of Business 18 (4), 511-531, 2023 | 4 | 2023 |
Market pressure and cost of equity: Revisited H Amairi, MI Gallali, S Sassi Finance Research Letters 47, 102749, 2022 | 4 | 2022 |
Dependence between Islamic banks and conventional banks and risk factors MA Chakroun, MI Gallali International Journal of Banking, Accounting and Finance 12 (3), 201-239, 2021 | 4 | 2021 |
Market risk in Islamic and conventional banks MA Chakroun, S Sebai, MI Gallali International Journal of Business and Commerce 5 (05), 66-93, 2016 | 4 | 2016 |
Credit risk stress testing: theory and practice of the Spanish evidence AS Messai, MI Gallali International Journal of Management and Enterprise Development 17 (2), 136-154, 2018 | 3 | 2018 |
Contagion between Islamic and conventional banking: a GJR DCC-GARCH and VAR analysis MA Chakroun, MI Gallali International Business Research 9 (10), 115-126, 2016 | 3 | 2016 |