Stock market development and economic growth: the causal linkage GM Caporale, PGA Howells, AM Soliman Journal of economic development 29 (1), 33-50, 2004 | 579 | 2004 |
Endogenous growth models and stock market development: evidence from four countries GM Caporale, P Howells, AM Soliman Review of development economics 9 (2), 166-176, 2005 | 213 | 2005 |
Association between the energy and emission prices: An analysis of EU emission trading system AM Soliman, MA Nasir Resources Policy 61, 369-374, 2019 | 56 | 2019 |
Enterprise Risk Management and firm performance: an integrated model for the banking sector A Soliman, A Mukhtar Banks and Bank Systems, 2017 | 52 | 2017 |
Dependence structures among geopolitical risks, energy prices, and carbon emissions prices CK Lau, AM Soliman, J Albasu, G Gozgor Resources Policy 83, 103603, 2023 | 48 | 2023 |
Measuring enterprise risk management implementation: A multifaceted approach for the banking sector M Adam, AM Soliman, N Mahtab The Quarterly Review of Economics and Finance 87, 244-256, 2023 | 41 | 2023 |
The impact of geopolitical risk on CO2 emissions inequality: Evidence from 38 developed and developing economies L Chen, G Gozgor, CKM Lau, MK Mahalik, KN Rather, AM Soliman Journal of Environmental Management 349, 119345, 2024 | 39 | 2024 |
Asymmetric effects of energy inflation, agri-inflation and CPI on agricultural output: Evidence from NARDL and SVAR models for the UK AM Soliman, CK Lau, Y Cai, PK Sarker, S Dastgir Energy Economics 126, 106920, 2023 | 32 | 2023 |
The asymmetric effects of a common monetary policy in Europe GM Caporale, AM Soliman Journal of Economic Integration, 455-475, 2009 | 16 | 2009 |
Oil prices and geopolitical risk: fresh insights based on G ranger‐causality in quantiles analysis M Shahbaz, A Sharif, AM Soliman, Z Jiao, S Hammoudeh International Journal of Finance & Economics 29 (3), 2865-2881, 2024 | 15 | 2024 |
Stock prices and monetary policy: An impulse response analysis GM Caporale, AM Soliman International Journal of Economics and Financial Issues 3 (3), 701-709, 2013 | 15 | 2013 |
The long-term relationship between enterprise risk management and bank performance: the missing link in Nigeria A Soliman, A Mukhtar, M Shubita Banks and Bank Systems 13, 2018 | 14 | 2018 |
Renewable energy consumption, trade and inflation in MENA countries with augmented production function: Implications for the COP26 X Lu, S Farhani, AM Soliman, C Zhou, K Su Technological Forecasting and Social Change 194, 122712, 2023 | 13 | 2023 |
Energy commodity and stock market interconnectedness: evidence from carbon emission trading system Z Zhao, CKM Lau, A Soliman, S Farhani Technological Forecasting and Social Change 194, 122669, 2023 | 13 | 2023 |
Aspects of macroeconomic policy combinations and their effects on financial markets MA Nasir, AM Soliman Economic Issues 19 (1), 95-118, 2014 | 13 | 2014 |
Boosting productive capacity in OECD countries: Unveiling the roles of geopolitical risk and globalization S Pal, MK Mahalik, Q Zhao, F Liu, AM Soliman Technological Forecasting and Social Change 202, 123291, 2024 | 9 | 2024 |
The stability of the demand for money function in Islamic and non-Islamic monetary policy regimes IL Awad, AM Soliman Economic Issues 21 (Part 1), 2016 | 9 | 2016 |
Institutional design, macroeconomic policy coordination and implications for the financial sector in the UK MA Nasir, M Yagob, A Solimanc, J Wud Journal of Central Banking Theory and Practice 6 (3), 95-126, 2017 | 7 | 2017 |
A phenomenological analysis of managerial capability in SMEs in Nigeria G Roman, M Samy, A Soliman Mediterranean Journal of Social Sciences, 2016 | 7 | 2016 |
Operational aspect of the policy coordination for financial stability: role of Jeffreys–Lindley’s paradox in operations research MA Nasir, AM Soliman, M Shahbaz Annals of Operations Research 306, 57-81, 2021 | 6 | 2021 |