Ghassan, Hassan B. (2009): Non Linear Adjustment in the MLR Condition: Evidence from Threshold Cointegration. Published in: Journal of Economic Cooperation and Development , Vol. 30, No. 3 (2009): pp. 63-74.
Ghassan, Hassan B. and Taher, Farid B. (2013): Financial Stability of Islamic and Conventional Banks in Saudi Arabia: Evidence using Pooled and Panel Models. Published in: Gulf Research Center, Cambridge Conference Book GRM 2013 , Vol. 2, No. Islamic Finance: Risk, Stability, Growth (December 2013)
Ghassan, Hassan B. and Raiss, NourrEddine and ElMoudden, Abdesalam (2008): Test de l’Effet de la Fiscalité Foncière sur l’Investissement Touristique.
Ghassan, Hassan B. (2003): Test de l’effet de stabilisation automatique par la modélisation SVAR sans contrainte de long terme.
Ghassan, Hassan B. (2003): Relations de Long Terme entre Investissement, Déficit Extérieur et Autofinancement sur un Panel Sectoriel. Published in: Revue d'Economie et de Droit , Vol. 20, (17 December 2003): pp. 147-158.
Ghassan, Hassan B. (2001): Estimation Robuste des Equations d’Importation à Contamination Ponctuelle. Published in: Revue d'Economie et de Droit , Vol. 19, (25 September 2002): pp. 171-188.
Ghassan, Hassan B. (2000): Formes et méthodes d’estimation des systèmes récursifs dynamiques à double indice. Published in: Revue de l'Institut National de Statistique et d'Economie Appliquée , Vol. 19, (16 March 2002): pp. 61-79.
Ghassan, Hassan B. and ElHafidi, Miloud (1999): Tests de G-causalité et spécification d’un modèle économétrique: Application sur un panel sectoriel marocain. Published in: Revue d'Economie et de Droit , Vol. 18, (18 September 2000): pp. 117-136.
Achiq, Mohamed and Ghassan, Hassan B. and Meslouhi, Khalil (1998): Fluctuations conjoncturelles et croissance tendancielle de l’économie Marocaine.
Ghassan, Hassan B. (2003): Test de l’équivalence Ricardienne par la Modélisation SVAR. Published in: Revue de l'Institut National de Statistique et d'Economie Appliquée , Vol. 21, (15 June 2004): pp. 17-33.
Ghassan, Hassan B. (2011): Public and Private Investment in Saudi Economy: Evidence from Weak Exogeneity and Bound Cointegration Tests.
NAANAA, Abdellatif and Ghassan, Hassan B. (1997): Indicateurs économiques et financiers: Positionnement de l’Economie Marocaine par rapport à 10 Pays.
Albert, Pierre and Ghassan, Hassan B. and Huiban, Jean Pierre and Martin, Michel (1992): L'Industrie Laitière Française: Modèles d'Entreprises et Formes de Concurrence/Coordination Inter-Firmes.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2012): Long Run Relationship between IFDI and Domestic Investment in GCC Countries.
Ghassan, Hassan B. and Taher, Farid B. and AlDehailan, Salman (2010): هل تؤثر الأزمة المالية العالمية في الاقتصاد السعودي؟ تحليل عبر نموذج التقهقر الذاتي البنيوي. Published in: Islamic Economic Studies (Arabic Edition) , Vol. 17, No. 2 (7 September 2011): pp. 1-34.
Ghassan, Hassan B. and Banerjee, Prashanta K. (2013): A Threshold Cointegration Analysis of Asymmetric Adjustment of OPEC and non-OPEC Monthly Crude Oil Prices. Published in: Empirical Economics , Vol. 49, No. DOI: 10.1007/s00181-014-0848-0 (30 July 2014): pp. 305-323.
Ghassan, Hassan B. (2015): Islamic Consumer Model, Fairness Behavior and Asymptotic Utility.
Ghassan, Hassan B. and Drissi, Ramzi (2015): Long Run Current Account through theoretical Intertemporal Model.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2015): Long Run Relationship between IFDI and Domestic Investment in GCC Countries. Published in: Journal of Economics and Econometrics , Vol. 59, No. 2 (20 July 2016): pp. 16-43.
Ghassan, Hassan B. and Al-Jefri, Essam H. (2016): الحساب الجاري للاقتصاد السعودي عبر نموذج داخلي الزمن دلائل من منهجية نموذج التقهقر الذاتي البنيوي. Published in: Arab Economic and Business Journal , Vol. .., No. Forthcoming (2017): pp. 1-26.
Ghassan, Hassan B. and Al-Jefri, Essam H. (2015): الحساب الجاري في المدى البعيد عبر نموذج داخلي الزمن. Published in: Journal of Economic & Financial Research , Vol. 4, No. 1 (June 2017): pp. 81-102.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2012): اختبار أثر التقلب العنقودي لمؤشر تداول باستخدام الارتباط الذاتي المدحرج. Published in: Arab Economic and Business Journal , Vol. 8, (2013): pp. 1-5.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2012): أثر تحرير سوق رأس المال على التذبذب في سوق الأسهم السعودي. Published in: Journal of Development and Economic Policies , Vol. 14, No. 2 (2012): pp. 7-39.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2008): اختبار أثر مزاحمة الإنفاق الحكومي للإستثمار الخاص في الاقتصاد السعودي عبر المعاينة المعادة. Published in: Arab Economic and Business Journal , Vol. 4, (2009): pp. 34-41.
Ghassan, Hassan B. (2003): آثار عجز الميزانية على الإدخار الخاص في الإقتصاد المغربي عبر نمذجة التقهقر الذاتي البنيوي. Published in: Public Administration Journal , Vol. 44, No. 4 (16 September 2004): pp. 883-907.
Ghassan, Hassan B. (2002): الإنفاق العمومي والإستثمار الخاص اختبار أثر المزاحمة عبر المعاينة المعادة. Published in: Public Administration Journal , Vol. 43, No. 4 (12 July 2003): pp. 727-754.
Ghassan, Hassan B. and Ihnach, Houcine (2002): نظام الزكاة المالي وتحسين المعاش العام تقدير كمي شمولي في الاقتصاد المغربي. Published in: Public Administration Journal , Vol. 43, No. 1 (February 2003): pp. 65-113.
Ghassan, Hassan B. and AlDehailan, Salman (2009): اختبار التكامل المشترك غير الخطي بين الاستثمار الحكومي والاستثمار الخاص في الاقتصاد السعودي. Published in: Attaawun Quarterly Journal , Vol. 70, (26 April 2010): pp. 59-76.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2008): ما هي طبيعة العلاقة بين الإنفاق الحكومي والإستثمار الخاص في الإقتصاد السعودي؟. Published in: Attaawun Quarterly Journal , Vol. 68, (10 June 2009): pp. 15-38.
Ghassan, Hassan B. (2017): New alternative measuring financial stability. Published in: Turkish Economic Review , Vol. 4, No. 3 (September 2017): pp. 275-281.
Ghassan, Hassan B. and Krichene, Noureddine (2017): Financial Stability of Conventional and Islamic Banks: A Survey.
Ghassan, Hassan B. (2015): نموذج النفقة والإعتدال حسب كتابات الشيباني. Published in: Islamic Economic Studies (Arabic Version) , Vol. 23, No. 1 (November 2017): pp. 3-50.
Ghassan, Hassan B. and Al-Jefri, Essam H. (2015): Islamic Theoretical Intertemporal Model of the Current Account. Published in: Arab Economic and Business Journal , Vol. 11, No. 1 (June 2016): pp. 86-92.
Ghassan, Hassan B. (2016): Re-examining the equation of exchange according to Shariah rationale money. Published in: Turkish Economic Review , Vol. 5, No. 4 (December 2018): pp. 402-415.
Balli, Faruk and Basher, Syed Abul and Ghassan, Hassan B. and Alhajhoj, Hassan R. (2014): An Analysis of Returns and Volatility Spillovers and their Determinants in Emerging Asian and Middle Eastern Countries. Published in: International Review of Economics and Finance , Vol. 39, (8 May 2015): pp. 311-325.
Ghassan, Hassan B. and Taher, Farid B. (2015): Financial Stability of Islamic and Conventional Banks in Saudi Arabia: Evidence using Pooled and Panel Models. Published in: Book: Islamic Finance: Risk, Stability and Growth , Vol. 2, No. Chapter 3 at http://www.jstor.org/stable/j.ctt1df4hmj (January 2015): pp. 81-114.
Drissi, Ramzi and Ghassan, Hassan B. (2018): Sticky Price versus Sticky Information Price: Empirical Evidence in the New Keynesian Setting. Published in: International Journal of Applied Mathematics and Statistics , Vol. 58, No. 2 (7 July 2019): pp. 64-88.
Ghassan, Hassan B. and Guendouz, Abdelkarim (2018): Panel Modeling of Z-score: Evidence from Islamic and Conventional Saudi Banks. Published in: International Journal of Islamic and Middle Eastern Finance and Management No. https://doi.org/10.1108/IMEFM-04-2018-0122 (8 July 2019)
Krichene, Noureddine and Ghassan, Hassan B. (2017): The Preeminence of Gold and Silver as Shariah Money. Published in: Thunderbird International Business Review , Vol. 61, No. DOI: 10.1002/tie.22040 (20 March 2019): pp. 821-835.
Ghassan, Hassan B. and Guendouz, Abdelkarim (2018): Panel Modeling of Z-score: Evidence from Islamic and Conventional Saudi Banks. Published in: International Journal of Islamic and Middle Eastern Finance and Management , Vol. 12, No. 3 (8 July 2019): pp. 448-468.
Ghassan, Hassan B. and Drissi, Ramzi (2016): Intertemporal Modeling of the Current Account. Published in: Turkish Economic Review , Vol. 61, No. 3 (September 2019): pp. 185-199.
Ghassan, Hassan B. and Alhajhoj, Hassan R. and Balli, Faruk (2020): Bi-Demographic and Current Account Dynamics using SVAR Model: Evidence from Saudi Arabia. Published in: Economic Change and Restructuring No. https://doi.org/10.1007/s10644-021-09348-2 (19 September 2021): pp. 1-41.
Boulanouar, Zakaria and Ghassan, Hassan B. (2022): Modelling of Levels of Relationship Banking in Business Banking. Published in: Heliyon , Vol. 9, No. e18777 (17 May 2023): pp. 1-7.
Balli, Faruk and Ghassan, Hassan B. and Al-Jefri, Essam H. (2020): Sukuk and bond spreads. Published in: Journal of Economics and Finance , Vol. 45, No. 3 (20 March 2021): pp. 529-543.
Ghassan, Hassan B. (2015): A Consumer Model and Social Welfare Based on the Writings of Shibani (750-805 AD, 131-189 AH). Published in: PSL Quarterly Review , Vol. 69, No. 278 (2016): pp. 235-266.
Ghassan, Hassan B. and Alhajhoj, Hassan R. (2015): Long Run Dynamic Volatilities between OPEC and non-OPEC Crude Oil Prices. Published in: Applied Energy , Vol. 169, No. http://dx.doi.org/10.1016/j.apenergy.2016.02.057 (8 February 2016): pp. 384-394.
Ghassan, Hassan B. (2007): La condition de Marshall-Lerner-Robinson est-elle stable ? Approche par le test GLS cointégration à niveau et puissance améliorés. Published in: Revue des Economies Nord Africaines , Vol. 5, No. 1 (15 January 2008): pp. 21-48.
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