Sign In

Department of Finance and Accounting Research Output

  • Lucey, B., Yahya, M., Khoja, L., Uddin, G.S. and Ahmed, A., 2024. Interconnectedness and risk profile of hydrogen against major asset classes. Renewable and Sustainable Energy Reviews192, p.114223.

  • Croci, E., Hertig, G., Khoja, L. and Lan, L.L., 2023. Board characteristics and firm resilience: Evidence from disruptive events. Corporate Governance: An International Review.

  • Saci, K., 2023. Volatility Transmission across Stocks and International Markets during the COVID-19 Pandemic: Lessons from the GCC Countries. Journal of Business Studies Quarterly13(1), pp.1-14.

  • Saci, K. and Mansour, W., 2023. Risk Sharing, SMEs' Financial Strategy, and Lending Guarantee Technology. Risks11(2), p.33.

  • Saci, K., 2022. Modelling the Relationship Between Trading Volume and Stock Returns Volatility for Islamic and Conventional Banks: The Case of Saudi Arabia نمذجة العلاقة بين حجم التداول وتقلب عوائد الأسهم للبنوك الإسلامية والتقليدية: حالة المملكة العربية السعودية. Journal of King Abdulaziz University: Islamic Economics35(1), pp.41-55.

  • Mansour, W., Ajmi, H. and Saci, K., 2021. Regulatory policies in the global Islamic banking sector in the outbreak of COVID-19 pandemic. Journal of Banking Regulation, pp.1-23.

  • Ajmi, H., Arfaoui, N. and Saci, K., 2021. Volatility transmission across international markets amid COVID 19 pandemic. Studies in Economics and Finance38(5), pp.926-945.

  • ​Mansour, W., Saci, K. and Khalifa, S., 2017. How do financing conditions impact firm behavior? Evidence from the Gulf zone. Emerging Markets Finance and Trade53(4), pp.952-967.​

  • Uddin, G.S., Hedström, A., Yahya, M. and Khoja, L.H. 2023.Tail-based Risk Network in Energy Sectors. In Pathways to a Clean, Stable, and Sustainable Energy Future, 44th IAEE International Conference, 4-9 February, Riyadh. Saudi Arabia.

  • Saci, K .2023. Managing Knowledge Sustainability. 18th International Forum on Knowledge Asset Dynamics (IFKAD), 7-9 June, Matera-Italy.

  • Saci, K .2020. Modelling the Relationship between Trading Volume and Stock Returns Volatility. 12th International Conference of Islamic Finance, 14-16 June, Istanbul. Turkey​

For an optimal experience please
rotate your device to portrait mode