Публикации автора
Balli, F.
Всего публикаций
42
Лет активности
6
Типов публикаций
1
2026 (4)
- Energy market deregulation: A new perspective on dividend smoothing
- Spillover dynamics between ESG returns and ethical fixed-income securities amid geopolitical and market volatility
- The Language of Uncertainty: Reading Türkiye's Economic Pulse Through Geopolitical Fog
- The global geopolitical-energy uncertainty index and total factor productivity: New evidence from firm-level analysis
2024 (8)
- Investment styles of islamic equity funds
- Cross-listing flows under uncertainty: an international perspective
- A multi-dimensional connectedness and spillover between green bond and Islamic banking equity: Evidence from country level analysis
- The decomposition of tourism demand and tourism receipts
- Firm productivity in the Energy-electricity sector over the last two decades with crisis: The role of cross-listing
- Exploring the dynamic links, implications for hedging and investment strategies between Sukuk and commodity market volatility: Evidence from country level analysis
- Downside risk connectedness between Islamic sectors and green bond markets: implications for hedging and investment strategies
- Sectoral uncertainty spillovers in emerging markets: A quantile time–frequency connectedness approach
2023 (7)
- Extreme connectedness of agri-commodities with stock markets and its determinants
- Contemporaneous and lagged R2 decomposed connectedness approach: New evidence from the energy futures market
- Impact of the Russia–Ukraine war on hospitality equity markets
- The extreme return connectedness between Sukuk and green bonds and their determinants and consequences for investors
- Dynamic connectedness between crude oil and equity markets: What about the effects of firm's solvency and profitability positions?
- Analysis of the frequency dynamics of spillovers and connectedness among Islamic and conventional banks and their determinants: evidence from Gulf Cooperative Council (GCC) markets
- Interconnectivity and investment strategies among commodity prices, cryptocurrencies, and G-20 capital markets: A comparative analysis during COVID-19 and Russian-Ukraine war
2022 (14)
- Immigration and regional housing markets: prices, rents, price-to-rent ratios and disequilibrium
- Geopolitical risk spillovers and its determinants
- Do conventional currencies hedge cryptocurrencies?
- Corporate dividend smoothing: The role of cross-listing
- Quantile connectedness between Sukuk bonds and the impact of COVID-19
- Direct real estate, securitized real estate, and equity market dynamic connectedness
- Spillovers from tourism demand to tourism equity indices
- Transition to Islamic equities: Systematic risk and Shari'ah compliance
- A new perspective on the linkages between tourism demand and business cycles
- COVID-19 and cryptocurrency market: Evidence from quantile connectedness
- Bi-demographic and current account dynamics using SVAR model: evidence from Saudi Arabia
- Spillovers between Sukuks and Shariah-compliant equity markets
- Spillovers on sectoral sukuk returns: evidence from country level analysis
- A note on COVID-19 instigated maximum drawdown in Islamic markets versus conventional counterparts
2021 (8)
- Spillovers to sectoral equity returns: do liquidity and financial positions matter?
- Sukuk and bond spreads
- Quantifying Return Spillovers in Global Real Estate Markets
- Hedging the downside risk of commodities through cryptocurrencies
- Firm-level political risk and Shari’ah compliance: equity capital cost and payouts policy
- Asymmetric relationship between gold and Islamic stocks in bearish, normal and bullish market conditions
- Why do U.S. uncertainties drive stock market spillovers? International evidence
- Information transmission between oil and housing markets