The impact of macroeconomic and conventional stock market variables on Islamic index returns under regime switching S Bahloul, M Mroua, N Naifar Borsa Istanbul Review 17 (1), 62-74, 2017 | 139 | 2017 |
Disclosure, Shariah governance and financial performance in Islamic banks M Ben Abdallah, S Bahloul Asian Journal of Economics and Banking 5 (3), 234-254, 2021 | 83 | 2021 |
Dynamic return and volatility connectedness between commodities and Islamic stock market indices S Bahloul, I Khemakhem Resources Policy 71, 101993, 2021 | 77 | 2021 |
Do regional and global uncertainty factors affect differently the conventional bonds and sukuk? New evidence N Naifar, M Mroua, S Bahloul Pacific-Basin Finance Journal 41, 65-74, 2017 | 74 | 2017 |
Selected MENA countries' attractiveness to G7 investors F Abid, S Bahloul Economic Modelling 28 (5), 2197-2207, 2011 | 53 | 2011 |
Are Islamic indexes, Bitcoin and gold, still “safe-haven” assets during the COVID-19 pandemic crisis? S Bahloul, M Mroua, N Naifar International Journal of Islamic and Middle Eastern Finance and Management …, 2021 | 48 | 2021 |
Performance analysis of Islamic and conventional portfolios: The emerging markets case L Trabelsi, S Bahloul, F Mathlouthi Borsa Istanbul Review 20 (1), 48-54, 2020 | 40 | 2020 |
Further evidence on international Islamic and conventional portfolios diversification under regime switching S Bahloul, M Mroua, N Naifar Applied Economics 49 (39), 3959-3978, 2017 | 32 | 2017 |
Financial development and economic growth in MENA countries F Abid, S Bahloul, M Mroua Journal of Policy Modeling 38 (6), 1099-1117, 2016 | 29 | 2016 |
The impact of macroeconomic and conventional stock market variables on Islamic index returns under regime switching. Borsa Istanbul Review, 17 (1), 62–74 S Bahloul, M Mroua, N Naifar | 23 | 2017 |
Further evidence on the effect of financial performance and governance on the Islamic banks' disclosure M Ben Abdallah, S Bahloul Asian Journal of Accounting Research 8 (2), 110-121, 2023 | 22 | 2023 |
A quantile regression approach to evaluate the relative impact of global and local factors on the MENA stock markets S Bahloul, N Ben Amor International Journal of Emerging Markets 17 (10), 2763-2786, 2022 | 21 | 2022 |
Should investors include bitcoin in their portfolio? New evidence from a bootstrap-based stochastic dominance approach M Mroua, S Bahloul, N Naifar Applied Economics Letters 29 (1), 53-62, 2022 | 21 | 2022 |
A combined analytic hierarchy process and goal programming approach to international portfolio selection in the presence of investment barriers S Bahloul, F Abid International Journal of Multicriteria Decision Making 3 (1), 1-20, 2013 | 20 | 2013 |
Re-evaluating the hedge and safe-haven properties of Islamic indexes, gold and Bitcoin: evidence from DCC–GARCH and quantile models S Bahloul, M Mroua, N Naifar Journal of Islamic Accounting and Business Research 14 (8), 1167-1181, 2023 | 13 | 2023 |
Co-movement and causal relationships between conventional and Islamic stock market returns under regime-switching framework F Mathlouthi, S Bahloul Journal of Capital Markets Studies 6 (2), 166-184, 2022 | 11 | 2022 |
Regime-switching behaviour in the conditional volatility of MENA stock market returns S Bahloul, F Abid Journal of Emerging Market Finance 13 (3), 253-278, 2014 | 9 | 2014 |
The impact of the COVID-19 pandemic on the financial performance and stability of Islamic banks M Ben Abdallah, S Bahloul Journal of Islamic Accounting and Business Research, 2024 | 6 | 2024 |
The influence of solvency and liquidity ratios on profitability of Tunisian banks: the moderating effect of asset quality MB Abdallah, S Bahloul African Journal of Economic and Management Studies, 2024 | 4 | 2024 |
Do Ṣukūk and Islamic indexes act as safe refuge to conventional stock markets? Evidence from Markov-switching CAPM approach S Bahloul, F Mathlouthi Islamic Economic Studies 30 (1), 64-83, 2022 | 3 | 2022 |