Banks, Funds, and risks in islamic finance: Literature & future research avenues J Grira, C Labidi Finance Research Letters 41, 101815, 2021 | 64 | 2021 |
Quantile dependence between developed and emerging stock markets aftermath of the global financial crisis C Labidi, ML Rahman, A Hedström, GS Uddin, S Bekiros International review of financial analysis 59, 179-211, 2018 | 42 | 2018 |
Spillover effects and conditional dependence T Ané, C Labidi International Review of Economics & Finance 15 (4), 417-442, 2006 | 36 | 2006 |
Equity pricing in Islamic banks: International evidence J Grira, MK Hassan, C Labidi, I Soumaré Emerging Markets Finance and Trade 55 (3), 613-633, 2019 | 32 | 2019 |
Investor sentiment and aggregate volatility pricing C Labidi, S Yaakoubi The Quarterly Review of Economics and Finance 61, 53-63, 2016 | 32 | 2016 |
Does political risk matter for sovereign wealth funds? International evidence J Grira, C Labidi, W Rouatbi International Review of Financial Analysis 81, 101236, 2022 | 22 | 2022 |
Implied volatility surfaces and market activity over time T Ané, C Labidi Journal of Economics and Finance 25 (3), 259-275, 2001 | 21 | 2001 |
The impact of financial and economic factors on Islamic mutual fund performance: Evidence from multiple fund categories GS Uddin, JA Hernandez, C Labidi, V Troster, SM Yoon Journal of Multinational Financial Management 52, 100607, 2019 | 16 | 2019 |
Time-varying conditional dependence in Chinese stock markets T Ane, L Ureche-Rangau, C Labidi-Makni Applied Financial Economics 18 (11), 895-916, 2008 | 16 | 2008 |
National culture and socially responsible fund flows C Labidi, D Laribi, L Ureche-Rangau Emerging Markets Review 46, 100751, 2021 | 15 | 2021 |
Revisiting the finite mixture of Gaussian distributions with application to futures markets T Ané, C Labidi Journal of Futures Markets: Futures, Options, and Other Derivative Products …, 2001 | 13 | 2001 |
Middle East and North Africa region: Financial sector and integration SB Naceur, C Labidi Resource 5 (6.5), 5-7, 2010 | 8 | 2010 |
Return interval, dependence structure, and multivariate normality T Ané, C Labidi Journal of Economics and Finance 28 (3), 285-299, 2004 | 6 | 2004 |
How International Standards Apply to Emerging Countries? J Grira, C Labidi Risk Management in Emerging Markets, 587-605, 2016 | 4 | 2016 |
Price and volume effects around Islamic index revisions: the case of DJIM-GCC C Labidi, D Laribi, L Ureche-Rangau Managerial Finance 48 (2), 222-242, 2022 | 3 | 2022 |
Dynamic Spillovers between GCC and Global Markets: The Role of Economic Uncertainty T Berger, C Labidi, GS Uddin, J Siverskog | | 2016 |
The Impact of Global Uncertainty, Equity and Commodity Shocks on GCC Stock Markets: Evidence from Quantile Regression Analysis C Labidi, GS Uddin ICSB World Conference Proceedings, 1, 2015 | | 2015 |
Investor Sentiment and Systematic Volatility Pricing C Labidi, S Yaakoubi Available at SSRN 2131997, 2012 | | 2012 |
Modélisation des rendements par des mélanges discrets, dynamiques des surfaces de volatilités implicites et mécanismes de transmission internationaux C Labidi Paris 9, 2002 | | 2002 |
State Capitalism and Political Uncertainty in Banking: Empirical Evidence from Sovereign Wealth Funds N Boubakri, J Grira, C Labidi | | |