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Hasna Chaibi
Hasna Chaibi
Associate Professor , Faculté des Sciences Economiques et de Gestion de Tunis
Verified email at fsegt.utm.tn
Title
Cited by
Cited by
Year
Credit risk determinants: Evidence from a cross-country study
H Chaibi, Z Ftiti
Research in international business and finance 33, 1-16, 2015
5052015
The effects of liquidity risk and credit risk on bank stability: Evidence from the MENA region
A Ghenimi, H Chaibi, MAB Omri
Borsa Istanbul Review 17 (4), 238-248, 2017
3142017
Liquidity risk determinants: Islamic vs conventional banks
A Ghenimi, H Chaibi, MAB Omri
International Journal of Law and Management 63 (1), 65-95, 2021
552021
The effects of liquidity risk and credit risk on bank stability: Evidence from the MENA region. Borsa Istanbul Review, 17 (4), 238–248
A Ghenimi, H Chaibi, MAB Omri
482017
Credit risk determinants: Evidence from a cross-country study. Research in International Business and Finance, 33, 1–16
H Chaibi, Z Ftiti
332015
Determinants of problem loans: Non-performing loans vs. loan quality deterioration
H Chaibi
International Business Research 9 (10), 86-93, 2016
262016
The best asset pricing model for estimating cost of equity: Evidence from the Stock Exchange of Tunisia
S Ben Naceur, H Chaibi
Available at SSRN 979123, 2007
172007
Political risks and financial markets: emerging vs developed economies
B Ben Ghozzi, H Chaibi
EuroMed Journal of Business 17 (4), 677-697, 2022
112022
The Tunisian tourism business: What we learn about the European demand?
J Kamel, Z Ftiti, H Chaibi
Journal of Applied Business Research (JABR) 31 (6), 2079-2090, 2015
82015
Investment opportunity set, corporate accounting policy and discretionary accruals
H Chaibi, S Trabelsi, A Omri
Journal of Economic and Financial Modelling 1 (1), 1-12, 2014
72014
Adverse selection, debt capacity and corporate growth: An industry life cycle perspective
H Chaibi
Journal of Applied Business Research (JABR) 30 (1), 173-182, 2014
62014
Political uncertainty, financial crises, and stock market volatility: Evidence from MENA region
D Talbi, H Chaibi, A Maoueti
Journal of Public Affairs 22, e2783, 2022
52022
Research and development expenses under IFRS mandatory implementation: a value relevance approach
H Chaibi
Economic and Business Review 20 (3), 5, 2018
52018
The best asset pricing model for estimating industry costs of equity in Tunisia
H Chaibi, S Ben Naceur
Review of Middle East Economics and Finance 5 (3), 63-90, 2010
32010
The liquidity risk-credit risk-profitability trilogy: A comparative study between Islamic and conventional banks
A Ghenimi, H Chaibi, A Lajmi
Economics Bulletin 40 (3), 1900-1913, 2020
22020
The moderating role of tax avoidance on CSR and stock price volatility for oil and gas firms
O Amri, H Chaibi
EuroMed Journal of Business, 2023
12023
Interdependence between board and firm performance: Evidence from the stock exchange of Tunisia
I Lamiri, H Chaibi, H Khemiri
Corp Ownersh Control 5, 492-499, 2008
12008
Risk and performance of Islamic and conventional banks under COVID-19 pandemic: Evidence from MENA region
A Ghenimi, H Chaibi, MA Omri
Arab Gulf Journal of Scientific Research, 2024
2024
Financial Performance During the COVID-19 Crisis: The Role of Investment and Revenue
H Chaibi, F Hentati, I Ghzaouani
Crises and Uncertainty in the Economy, 159-170, 2023
2023
Value Relevance of R&D Expenditure before and After Ifrs Mandatory Implementation: Evidence From France
H Chaibi, L Louihek, M Hamed
International Journal of Management Sciences and Business Research 5 (8), 2016
2016
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