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السجلات المعروضة 11 -- 20 من 78
Central banking and income inequality: The impact of monetary policy on income distribution
(
Routledge
, 2020 , Book chapter)
Since the 2007–2008 Global Financial Crisis, income inequality and income distribution matters have gained increasing attention not only in academia but also from professionals in advanced economies. Mainstream economists ...
Manufacturing and productivity in MENA: a long-term perspective
(
Economic Research Forum (ERF)
, 2022 , Other)
Productivity in the manufacturing sector is key for economic growth and employment opportunities in most developing economies. This column looks at total factor productivity (TFP) – the portion of output growth that comes ...
Culture, language, and accounting reform: a new perspective on IPSAS implementation
(
Emerald Publishing
, 2022 , Article)
Purpose: This study aims to explore the role that culture and language play in the implementation of International Public Sector Accounting Standards (IPSAS). Design/methodology/approach: The Hofstede–Gray and Huerta et ...
Financial inclusion and ethnic development: Evidence from satellite light density at night
(
Elsevier
, 2021 , Article)
We contribute to the nascent literature on financial inclusion by taking a meso-level perspective. Focusing on eleven ethnic groups in Nigeria and Senegal, we deal with the paucity of data at subnational levels by combining ...
Analysis of the resilience of the Turkey tourism industry to exogenous shocks: new evidence from a NARDL model
(
Taylor & Francis
, 2022 , Article)
This paper analyses the resilience of the Turkey tourism industry to exogenous shocks over the period from January 1997 to December 2018. Using the nonlinear autoregressive distributed lag model, our results show strong ...
Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks
(
Elsevier
, 2020 , Article)
The purpose of this paper is to investigate the impact of funding liquidity risk on the risk-taking behaviour of Islamic and conventional banks. Using bank-level and country-level data from 18 countries over the period ...
Co-movement across european stock and real estate markets
(
Elsevier
, 2020 , Article)
This study questions the reliability of securitized real estate investment trusts (REITs) for reducing risk in European stock investment portfolio during the global and European crisis periods. It considers co-movement and ...
The determinants of stock market index in Syria during the conflict period: Linear versus nonlinear approach
(
Gokhale Institute of Politics and Economics
, 2020 , Article)
The main purpose of this paper is to examine the long and the short-rum impact of the macroeconomic variables on the stock market index in Syria during the period 2010:Q1 - 2017:Q4. In addition, this paper aims to investigate ...
Stock market dependence in crisis periods: Evidence from oil price shocks and the Qatar blockade
(
Elsevier
, 2020 , Article)
This paper examines the correlation and the dependence patterns of the Qatar stock market with other markets using copula statistical theory and exploiting new datasets covering the period August 1998 to June 2018. To ...
Japanese Multinational Corporations and Corporate Tax Change
(
Inderscience
, 2021 , Article)
This paper examines the impact of the recent changes in Japanese taxation polices before and after the shift from a global taxation system to a territorial taxation system in 2009 on the income shifting activities of ...