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Karim Mimouni
Karim Mimouni
Professor of Finance, Qatar University
Verified email at qu.edu.qa
Title
Cited by
Cited by
Year
Volatility dynamics for the S&P500: Evidence from realized volatility, daily returns, and option prices
P Christoffersen, K Jacobs, K Mimouni
The Review of Financial Studies 23 (8), 3141-3189, 2010
3512010
Do financial crises alter the dynamics of corporate capital structure? Evidence from GCC countries
R Zeitun, A Temimi, K Mimouni
The Quarterly Review of Economics and Finance 63, 21-33, 2017
1412017
Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks
H Smaoui, K Mimouni, H Miniaoui, A Temimi
Pacific-Basin Finance Journal 64, 101436, 2020
762020
The impact of Sukuk on the performance of conventional and Islamic banks
K Mimouni, H Smaoui, A Temimi, M Al Azzam
Pacific-Basin Finance Journal 54, 42-54, 2019
742019
Can human development and political stability improve environmental quality? New evidence from the MENA region
Z Mrabet, M Alsamara, K Mimouni, A Mnasri
Economic Modelling, 2021
712021
Sukuk, banking system, and financial markets: Rivals or complements?
H Smaoui, K Mimouni, A Temimi
Economics Letters 161, 62-65, 2017
532017
Can remittances alleviate energy poverty in developing countries? New evidence from panel data
K Barkat, M Alsamara, K Mimouni
Energy Economics 119, 106527, 2023
512023
An empirical comparison of affine and non-affine models for equity index options
P Christoffersen, K Jacobs, K Mimouni
Available at SSRN 891127, 2006
452006
What drives energy efficiency? New evidence from financial crises
K Mimouni, A Temimi
Energy Policy 122, 332-348, 2018
382018
The Impact of Sukuk on the Insolvency Risk of Conventional and Islamic Banks
H Smaoui, K Mimouni, A Temimi
Applied Economics 52 (8), 806-824, 2020
362020
How does the tax status of a country impact capital structure? Evidence from the GCC region
A Temimi, R Zeitun, K Mimouni
Journal of Multinational Financial Management 37, 71-89, 2016
342016
Do oil producing countries offer international diversification benefits? Evidence from GCC countries
K Mimouni, L Charfeddine, M Al Azzam
Economic Modelling 57, 263-280, 2016
322016
Currency risk and microcredit interest rates
M Al Azzam, K Mimouni
Emerging Markets Review 31, 80-95, 2017
28*2017
The impact of socioeconomic factors and financial access on microfinance institutions
M Al Azzam, K Mimouni, MA Ali
International journal of economics and finance 4 (4), 61-71, 2012
272012
Is exchange rate risk priced in microfinance?
M Al Azzam, K Mimouni
Research in International Business and Finance 36, 520-531, 2016
22*2016
Nonlinear filtering in affine term structure models: Evidence from the term structure of swap rates
P Christoffersen, K Jacobs, L Karoui, K Mimouni
Available at SSRN 1147343, 2009
222009
The impact of liquidity on debt maturity after a financial crisis: Evidence from the Gulf Cooperation Council region
K Mimouni, A Temimi, M Goaied, R Zeitun
Emerging Markets Finance and Trade 55 (1), 181-200, 2019
152019
Models for S&P 500 dynamics: evidence from realized volatility, daily returns, and option prices
PF Christoffersen, K Jacobs, K Mimouni
Unpublished manuscript, McGill University, 2006
152006
Subsidies vs. deposits and cost inefficiency in microfinance
M Al Azzam, K Mimouni, H Smaoui, A Temimi
Journal of Economic Behavior & Organization 198, 212-235, 2022
12*2022
Do sukuk spur infrastructure development?
H Smaoui, K Mimouni, I Ben Salah
International Journal of Islamic and Middle Eastern Finance and Management …, 2021
122021
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