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Can human development and political stability improve environmental quality? New evidence from the MENA region
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Elsevier
, 2021 , Article)
We investigate the effects of human development and political stability on environmental quality and examine whether they are viable tools for improving environmental policies. The literature finds that countries can reduce ...
Pass-through of import cost into consumer prices and inflation in GCC countries: Evidence from a nonlinear autoregressive distributed lags model
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Elsevier
, 2020 , Article)
This paper explores the asymmetric response of consumer prices to import costs using a nonlinear approach that investigates the long and the short run asymmetric pass-through. Quarterly data over the period of 1990-2014 ...
Dynamic volatility transmission and portfolio management across major cryptocurrencies: Evidence from hourly data
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Elsevier
, 2020 , Article)
This study used hourly data to examine the dynamic conditional correlations and hedging strategies in the main cryptocurrency markets: Bitcoin (BTC), Ethereum (ETH), Litecoin (LTC), and Ripple (XRP). Multivariate generalized ...
Hedging UK stock portfolios with gold and oil: The impact of Brexit
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Elsevier
, 2022 , Article)
The purpose of this paper is to examine dynamic co-movements and portfolio management strategies between UK stock indices (aggregate market index and sector indices) and each of gold and crude oil futures markets, during ...
Risk spillover from crude oil prices to GCC stock market returns: New evidence during the COVID-19 outbreak
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Elsevier
, 2021 , Article)
In this study, we examine oil price extreme tail risk spillover to individual Gulf Cooperation Council (GCC) stock markets and quantify this spillover's shift before and during the COVID-19 pandemic. A dynamic conditional ...
Do economic downturns affect air pollution? Evidence from the global financial crisis
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Routledge
, 2021 , Article)
This paper investigates the impact of the 2008 global financial crisis on CO2 emissions within the Environmental Kuznets Curve hypothesis framework. Using a sample of 68 countries for the period 1960 to 2014, we unveil ...
Stock market dependence in crisis periods: Evidence from oil price shocks and the Qatar blockade
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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 ...
The relevance of supply side taxation for attracting foreign direct investment to developing countries: evidence from Egypt
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University of New South Wales
, 2021 , Article)
Many developing countries commonly use tax incentives as a key instrument for attracting foreign direct investment (FDI). Empirical studies have identified a causal relationship between FDI and a number of determinants ...
Asymmetric impacts of insurance premiums on the non-oil GDP: some new empirical evidence
(
Routledge
, 2020 , Article)
In this paper, we study the influence of insurance premium on the non-oil gross domestic product in Saudi Arabia. We implement the nonlinear autoregressive distributed lags. The results show that the relationships between ...
Does minority management affect a firm's capital structure? Evidence from Japan
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Elsevier
, 2022 , Article)
This study evaluates the effect of minority management (MG) on capital structure for a sample of listed Japanese companies over three sectors. We used a dynamic panel, threshold-based model that can control for endogeneity ...