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Jocelyn Grira
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Pricing beliefs: Empirical evidence from the implied cost of deposit insurance for Islamic banks
J Grira, MK Hassan, I Soumaré
Economic Modelling 55, 152-168, 2016
732016
Islamic banks and political risk: International evidence
M Belkhir, J Grira, MK Hassan, I Soumaré
The quarterly review of economics and finance 74, 39-55, 2019
642019
Sovereign wealth funds targets selection: A comparison with pension funds
N Boubakri, JC Cosset, J Grira
Journal of International Financial Markets, Institutions and Money 42, 60-76, 2016
552016
Banks, Funds, and Risks in Islamic Finance: Literature & Future Research Avenues
J Grira, C Labidi
Research Finance Letters 41, 101815, 2021
522021
Does Corporate Social Responsibility reporting improve financial performance? The moderating role of board diversity and gender composition
I Kahloul, H Sbai, J Grira
The Quarterly Review of Economics and Finance 84, 305-314, 2022
452022
Political risk and the cost of capital in the MENA region
M Belkhir, N Boubakri, J Grira
Emerging Markets Review 33, 155-172, 2017
442017
Sovereign wealth funds investment effects on target firms' competitors
N Boubakri, JC Cosset, J Grira
Emerging Markets Review 30, 96-112, 2017
372017
Sovereign Wealth Funds Targets and Equity Pricing: New Evidence from the Implied Cost of Equity of Publicly Traded Targets
S Boubaker, N Boubakri, A Grira, A Guizani
Journal of Corporate Finance 53, 202-224, 2018
362018
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
312019
The trilogy of ownership, income diversification, and performance nexus: empirical evidence from Tunisian banks
N Alouane, I Kahloul, J Grira
Finance Research Letters 45, 102180, 2022
302022
Top Management Insider Debt and Corporate Social Responsibility? Evidence from the US
S Boubaker, K Chebbi, J Grira
The Quarterly Review of Economics and Finance 78, 98-115, 2020
232020
Does Political Risk Matter for Sovereign Wealth Funds? International Evidence
J Grira, C Labidi, W Rouatbi
International Review of Financial Analysis 81, 101236, 2022
162022
Does Empathy Matter in Corporate Social Responsibility? Evidence from Emerging Markets
L Chourou, J Grira, S Saadi
Emerging Markets Review 46, 100776, 2021
162021
Rationality and Students’ Misconduct at University: Empirical Evidence and Policy Implications
J Grira, L Jaeck
International Education Studies 12 (3), 10-23, 2019
162019
Rationality or Politics? The Color of Black Gold Money
M Arouri, S Boubaker, W Grais, J Grira
Quarterly Review of Economics and Finance 70, 62-76, 2018
92018
Back to Government Ownership: The Sovereign Wealth Funds Phenomenon
J Grira
Finance Research Letters 34, 2020
82020
Bitcoin's hedging attributes against equity market volatility: empirical evidence during the COVID-19 pandemic
J Grira, S Guizani, I Kahloul
The Journal of Risk Finance 23 (5), 605-618, 2022
62022
How International Standards Apply to Emerging Countries?
J Grira, C Labidi
Risk Management in Emerging Markets: Issues, Framework, and Modeling, 587-605, 2016
42016
The trilogy of economic policy uncertainty, earnings management and firm performance: empirical evidence from France
I Kahloul, J Grira, K Hlel
Journal of Economics and Finance 47 (1), 184-206, 2023
22023
Models of Corporate Socially Responsible Banks: Financial Cooperatives, Islamic Banks, and Micro-Finance Institutions
N Boubakri, J Grira
Research Handbook of Investing in the Triple Bottom Line, 2018
12018
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Artikelen 1–20