, Tunisia
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International Journal of Economics and Financial Issues Vol. 12 No. 3 (2022) - Articles
On the Effectiveness of Stock Index Futures for Tail Risk Protection
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International Journal of Economics and Financial Issues Vol. 12 No. 4 (2022) - Articles
Fuzzy Measures of Monetary and Non-monetary Deprivations in Tunisia
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International Journal of Economics and Financial Issues Vol. 12 No. 5 (2022) - Articles
The Impact of Internal Governance Mechanisms on Tax Risk in Developing Countries: An Empirical Analysis
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International Journal of Economics and Financial Issues Vol. 12 No. 5 (2022) - Articles
Revisit of Tunisia’s Money Demand Function: What About Oil Price and Exchange Rate Effects?
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International Journal of Economics and Financial Issues Vol. 12 No. 6 (2022) - Articles
Financial Performance of Islamic Versus Conventional Banks a Comparative Analysis for Jordan
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International Journal of Economics and Financial Issues Vol. 12 No. 6 (2022) - Articles
The Stock Market Reaction to Securities Class Action Filings
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International Journal of Economics and Financial Issues Vol. 13 No. 1 (2023) - Articles
Capital Structure Determinants: New Evidence from the MENA Region Countries
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International Journal of Economics and Financial Issues Vol. 13 No. 1 (2023) - Articles
Technological Change, Growth and Income Inequality
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International Journal of Economics and Financial Issues Vol. 13 No. 1 (2023) - Articles
Do Payment Technology Innovations Affect Currency Demand in Tunisia?
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International Journal of Economics and Financial Issues Vol. 13 No. 4 (2023) - Articles
Testing the Non-Linear Relationship between Liquidity Risk and Bank Stability in the MENA Region
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International Journal of Economics and Financial Issues Vol. 13 No. 5 (2023) - Articles
Investor Attention in Cryptocurrency Markets: Examining the Effects of Vaccination and COVID-19 Spread through a Wavelet Approach
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International Journal of Economics and Financial Issues Vol. 13 No. 5 (2023) - Articles
Revisiting the Causality between Oil Prices and Stock Markets in Selected MENA Countries: A Bootstrap Rolling-window Approach
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International Journal of Economics and Financial Issues Vol. 13 No. 6 (2023) - Articles
Searching for a Threshold effect in the Diversification-profitability Relationship. Evidence from the MENA Banks
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International Journal of Economics and Financial Issues Vol. 13 No. 6 (2023) - Articles
Impact of the Global Financial Crisis and the Tunisia’s Jasmine Revolution on the Corporate Capital Structure: Evidence from Four Arab Countries
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International Journal of Economics and Financial Issues Vol. 14 No. 1 (2024) - Articles
Interaction between Migration and Economic Growth through Unemployment in the Context of Political Instability in the MENA Region
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International Journal of Economics and Financial Issues Vol. 14 No. 2 (2024) - Articles
Banking Regulation and Financial Soundness Nexus in View of the Crisis: An Islamic Banking Perspective
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International Journal of Economics and Financial Issues Vol. 14 No. 2 (2024) - Articles
A Panel-corrected Standard Error (PCSE) Framework to Estimate Capital Structure and Banking Performance within the Tunisian Context
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International Journal of Economics and Financial Issues Vol. 1 No. 2 (2011) - Articles
Financial Liberalization and Banking Profitability: A Panel Data Analysis for Tunisian Banks
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International Journal of Economics and Financial Issues Vol. 1 No. 4 (2011) - Articles
The Relationship between Interest Rate, Exchange Rate and Stock Price: A Wavelet Analysis
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International Journal of Economics and Financial Issues Vol. 2 No. 3 (2012) - Articles
Democracy, Investment and Economic Growth
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International Journal of Economics and Financial Issues Vol. 2 No. 2 (2012) - Articles
Value-at-Risk Analysis for the Tunisian Currency Market: A comparative study
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International Journal of Economics and Financial Issues Vol. 2 No. 3 (2012) - Articles
Tests of Parameters Instability: Theoretical Study and Empirical Applications on Two Types of Models (ARMA Model and Market Model)
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International Journal of Economics and Financial Issues Vol. 2 No. 4 (2012) - Articles
Universal Banking and Credit Risk: Evidence from Tunisia
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International Journal of Economics and Financial Issues Vol. 3 No. 1 (2013) - Articles
Subprime Crisis and Financial Contagion: Evidence from Tunisia
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International Journal of Economics and Financial Issues Vol. 3 No. 2 (2013) - Articles
Market Structure and Performance of Tunisian Banks
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International Journal of Economics and Financial Issues Vol. 3 No. 3 (2013) - Articles
Dynamic Conditional Correlation Analysis of Stock Market Contagion: Evidence from the 2007-2010 Financial Crises
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International Journal of Economics and Financial Issues Vol. 3 No. 2 (2013) - Articles
Trade Liberalization and Fight Against Poverty
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International Journal of Economics and Financial Issues Vol. 4 No. 1 (2014) - Articles
Price Limit and Financial Contagion: Protection or Illusion? The Tunisian Stock Exchange Case
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International Journal of Economics and Financial Issues Vol. 3 No. 2 (2013) - Articles
Bank Failure Prediction With Logistic Regression
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International Journal of Economics and Financial Issues Vol. 3 No. 3 (2013) - Articles
Study of Speculative Bubbles: The Contribution of Approximate Entropy
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International Journal of Economics and Financial Issues Vol. 3 No. 3 (2013) - Articles
The Capital Structure through the Trade-Off Theory: Evidence from Tunisian Firm
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International Journal of Economics and Financial Issues Vol. 3 No. 4 (2013) - Articles
Micro and Macro Determinants of Non-performing Loans
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International Journal of Economics and Financial Issues Vol. 3 No. 4 (2013) - Articles
Global Financial Crisis: Did Exchange Rate Politics Help Emerging Countries To Be More Resilient?
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International Journal of Economics and Financial Issues Vol. 3 No. 4 (2013) - Articles
Financial Decision of Tunisian Firms in the Context of Market Timing Theory
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International Journal of Economics and Financial Issues Vol. 4 No. 1 (2014) - Articles
Measuring Liquidity Risk in an Emerging Market: Liquidity Adjusted Value at Risk Approach for High Frequency Data
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International Journal of Economics and Financial Issues Vol. 4 No. 1 (2014) - Articles
The Relationship Between Economic Growth and Income Inequality
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International Journal of Economics and Financial Issues Vol. 4 No. 2 (2014) - Articles
Democracy: A Determinant Factor in Reducing Inflation
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International Journal of Economics and Financial Issues Vol. 4 No. 2 (2014) - Articles
Debt and Economic Growth
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International Journal of Economics and Financial Issues Vol. 4 No. 2 (2014) - Articles
Can Bank be a Cause of Contagion during the Global Financial Crisis?
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International Journal of Economics and Financial Issues Vol. 4 No. 3 (2014) - Articles
Corruption and Education: Empirical Evidence
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International Journal of Economics and Financial Issues Vol. 4 No. 3 (2014) - Articles
Transboundary Pollution, R&D Spillovers, Absorptive Capacity and International Trade
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International Journal of Economics and Financial Issues Vol. 4 No. 3 (2014) - Articles
Capital Asset Pricing Model with Frictions: Application to the Tunisian Stock Market
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International Journal of Economics and Financial Issues Vol. 4 No. 3 (2014) - Articles
Board Structure and Firm Performance: Evidence from French Firms Listed in SBF 120
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International Journal of Economics and Financial Issues Vol. 4 No. 4 (2014) - Articles
Measuring Liquidity in an Emerging Market: The Tunis Stock Exchange
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International Journal of Economics and Financial Issues Vol. 5 No. 1 (2015) - Articles
The Determinants of Bank Liquidity: Case of Tunisia
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International Journal of Economics and Financial Issues Vol. 5 No. 2 (2015) - Articles
Earnings Response Coefficient as a Measure of Market Expectations: Evidence from Tunis Stock Exchange
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International Journal of Economics and Financial Issues Vol. 5 No. 2 (2015) - Articles
A GARCH Examination of the Relationship Between Trading Volume and Conditional Volatility in the Tunisian Stock Market: Evidence for the Information Flow paradigm
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International Journal of Economics and Financial Issues Vol. 5 No. 2 (2015) - Articles
The Determinants of Banking Performance in Front of Financial Changes: Case of Trade Banks in Tunisia
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International Journal of Economics and Financial Issues Vol. 6 No. 1 (2016) - Articles
Do Structural Breaks Affect Portfolio Designs and Hedging Strategies? International Evidence from Stock-Commodity Markets Linkages
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International Journal of Economics and Financial Issues Vol. 7 No. 1 (2017) - Articles
Earnings and Dividend Announcements: Are They Interactive? Evidence from the French Context
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International Journal of Economics and Financial Issues Vol. 7 No. 2 (2017) - Articles
Earnings Management, Equity-based Compensation, Economic Conjuncture and Governance Mechanisms: A Comparative Study between France and the United States
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International Journal of Economics and Financial Issues Vol. 7 No. 2 (2017) - Articles
Overconfidence bias, over/under-reaction of financial analysts on the Tunisian stock market, and their impact on the earnings forecasts
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International Journal of Economics and Financial Issues Vol. 7 No. 2 (2017) - Articles
What Would Influence Firm Valuation? Financial Reporting and Shareholder Governance
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International Journal of Economics and Financial Issues Vol. 7 No. 3 (2017) - Articles
Managers' Entrenchment, Governance and Bank Performance
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International Journal of Economics and Financial Issues Vol. 7 No. 3 (2017) - Articles
Banking Institutions Governance and Stock Market and Financial Performance
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International Journal of Economics and Financial Issues Vol. 7 No. 3 (2017) - Articles
Political Connections and Debt Access: The Case of Tunisian Firms
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International Journal of Economics and Financial Issues Vol. 7 No. 6 (2017) - Articles
Impact of Financial Crisis on GDP Growth: The Case of Developed and Emerging Countries
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International Journal of Economics and Financial Issues Vol. 7 No. 3 (2017) - Articles
Trading Volume Levels and Stock Returns: Empirical Behavioral Analysis
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International Journal of Economics and Financial Issues Vol. 7 No. 4 (2017) - Articles
Capital Structure Choices and Behavioral Biases: An Application to a Panel of US Industrial Companies
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International Journal of Economics and Financial Issues Vol. 8 No. 1 (2018) - Articles
Terrorism and Economic Growth
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International Journal of Economics and Financial Issues Vol. 8 No. 2 (2018) - Articles
Investment-Cash Flow Sensitivity and Growth Opportunities
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International Journal of Economics and Financial Issues Vol. 8 No. 2 (2018) - Articles
Regulation and Banking Performance in Liberalization Context
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International Journal of Economics and Financial Issues Vol. 8 No. 2 (2018) - Articles
Board of Directors, Ownership Structure, Regulation and Bank Performance: What Can Change After the Financial Crisis
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International Journal of Economics and Financial Issues Vol. 8 No. 5 (2018) - Articles
Gold - Silver Nexus: A Threshold Cointegration Approach
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International Journal of Economics and Financial Issues Vol. 9 No. 1 (2019) - Articles
Financial Cointegration and the Vector Error Correction Model: The Case of MENA Countries
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International Journal of Economics and Financial Issues Vol. 9 No. 1 (2019) - Articles
The Moderating Effect of Audit Quality on CEO Compensation and Tax Avoidance: Evidence from Tunisian Context
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International Journal of Economics and Financial Issues Vol. 9 No. 3 (2019) - Articles
Volatility Spillovers among the Cryptocurrency Time Series
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International Journal of Economics and Financial Issues Vol. 9 No. 2 (2019) - Articles
Inside Local Governance: How Well Is Debt Managed?
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International Journal of Economics and Financial Issues Vol. 9 No. 3 (2019) - Articles
Socioeconomic Impacts of Digitisation in Saudi Arabia
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International Journal of Economics and Financial Issues Vol. 9 No. 4 (2019) - Articles
Delayed Fiscal Adjustment and Economic Growth: Empirical Evidence using Autoregressive Distributed Lag Bound Testing Model
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International Journal of Economics and Financial Issues Vol. 10 No. 3 (2020) - Articles
Is the Tunisian Central Bank following a Linear or a Nonlinear Augmented Taylor Rule?
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International Journal of Economics and Financial Issues Vol. 10 No. 3 (2020) - Articles
The Dynamic Linkages between Stock Market and Foreign Exchange Market: Evidence from an Emerging Market
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International Journal of Economics and Financial Issues Vol. 10 No. 4 (2020) - Articles
Challenges of Islamic Insurance
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International Journal of Economics and Financial Issues Vol. 10 No. 5 (2020) - Articles
Financial Stability and Bank Capital: The Case of Islamic Banks
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International Journal of Economics and Financial Issues Vol. 10 No. 6 (2020) - Articles
The Day of the Week Effect: Unconditional and Conditional Market Risk Analysis
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International Journal of Economics and Financial Issues Vol. 12 No. 1 (2022) - Articles
The Quality Effect of Auditing on Tax Compliance: Evidence from Tunisian Context
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International Journal of Economics and Financial Issues Vol. 11 No. 3 (2021) - Articles
Microfinance, Financial Development, Foreign Aid, and Income Inequality: Evidence from Sub-Saharan Africa
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International Journal of Economics and Financial Issues Vol. 12 No. 2 (2022) - Articles
Time Varying Dependence in the Cryptocurrency Market and COVID 19 Panic Index: An Empirical Investigation
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International Journal of Economics and Financial Issues Vol. 11 No. 6 (2021) - Articles
The Impact of Cash Holding on Debt Cost
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International Journal of Economics and Financial Issues Vol. 12 No. 1 (2022) - Articles
Does Economic Policy Uncertainty Affect Exchange Rate in China and Japan? Evidence from Threshold Cointegration with Asymmetric Adjustment
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International Journal of Economics and Financial Issues Vol. 13 No. 3 (2023) - Articles
Systemic Risk: A Comparative Study between Public and Private Banks
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International Journal of Economics and Financial Issues Vol. 13 No. 6 (2023) - Articles
Modeling the Subscription Ratio and IPO Returns Non-Linear Relationship: Evidence from the Tunisian Stock Market
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International Journal of Economics and Financial Issues Vol. 3 No. 1 (2013) - Articles
Herding Behavior Under Markets Condition: Empirical Evidence on the European Financial Markets
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International Journal of Economics and Financial Issues Vol. 2 No. 4 (2012) - Articles
Poverty, Growth and Inequality in Developing Countries
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International Journal of Economics and Financial Issues Vol. 4 No. 3 (2014) - Articles
Financial Liberalization, Foreign Direct Investment and Economic Growth: A Dynamic Panel Data Validation
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International Journal of Economics and Financial Issues Vol. 4 No. 4 (2014) - Articles
The Impact of Misalignment on FDI in the Developing Countries
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International Journal of Economics and Financial Issues Vol. 10 No. 4 (2020) - Articles
Corporate Governance and Operational Risk: Empirical Evidence
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International Journal of Economics and Financial Issues Vol. 11 No. 3 (2021) - Articles
Exchange Rate Determination: Mixed Microstructural and Macroeconomic Approach
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International Journal of Economics and Financial Issues Vol. 8 No. 2 (2018) - Articles
Audit Committee and Discretionary Loan Loss Provisions in Tunisian Commercial Banks
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International Journal of Economics and Financial Issues Vol. 11 No. 4 (2021) - Articles
The Determinants of the European Banking Crisis
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International Journal of Economics and Financial Issues Vol. 6 No. 4 (2016) - Articles
Kou Jump Diffusion Model: An Application to the S&P 500; Nasdaq 100 and Russell 2000 Index Options
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