Volume 22, issue 3, May 2021
7 articles in this issue
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Prospect theory and risk-taking behavior: an empirical investigation of Islamic and conventional banks
Authors
- Yousra Trichilli
- Hana Kharrat
- Mouna Boujelbène Abbes
- Content type: Original Article
- Published: 22 April 2021
- Pages: 163 - 178
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Hedging Islamic and conventional stock markets with other financial assets: comparison between competing DCC models on hedging effectiveness
Authors
- Wajdi Hamma
- Ahmed Ghorbel
- Anis Jarboui
- Content type: Original Article
- Published: 01 March 2021
- Pages: 179 - 199
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Expected returns with leverage constraints and target returns
Authors
- Leon (Liang) Xin
- Shanshan Ding
- Content type: Original Article
- Published: 07 January 2021
- Pages: 200 - 208
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Dynamic copula-based expectile portfolios
Authors
- Maziar Sahamkhadam
- Content type: Original Article
- Published: 22 March 2021
- Pages: 209 - 223
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Portfolio management and dependence structure between cryptocurrencies and traditional assets: evidence from FIEGARCH-EVT-Copula
Authors
- Ahmed Jeribi
- Mohamed Fakhfekh
- Content type: Original Article
- Published: 04 March 2021
- Pages: 224 - 239
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Correction to: Do board characteristics affect bank performance? Evidence from the Eurozone
Authors
- Ahmed Bouteska
- Content type: Correction
- Published: 10 March 2021
- Pages: 240 - 240