Access Statistics for Faruk Balli

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Multi-Dimensional Connectedness and Spillover between Green Bond and Islamic Banking Equity: Evidence from country level analysis 0 0 0 0 2 5 12 12
A tale of two shocks: What do we learn from the impacts of economic policy uncertainties on tourism? 0 0 0 1 2 4 7 43
An Analysis of Returns and Volatility Spillovers and their Determinants in Emerging Asian and Middle Eastern Countries 0 0 0 48 3 4 10 155
An Analysis of Returns and Volatility Spillovers and their Determinants in Emerging Asian and Middle Eastern Countries 0 0 0 24 1 1 14 108
Are Mortgage Rates Bubbling Up Trouble for Canadas Metropolitan Housing Sector? 0 0 0 33 7 8 15 220
Asymmetric connectedness and investment strategies between commodities and Islamic banks: Evidence from gulf cooperative council (GCC) markets 0 0 0 0 5 7 14 14
Bi-Demographic Changes and Current Account using SVAR Modeling 0 0 0 23 2 3 9 65
Bi-Demographic Changes and Current Account using SVAR Modeling: Evidence from Saudi Arabia 0 0 0 7 3 4 12 62
Bi-Demographic Changes and Current Account using SVAR Modeling: Evidence from Saudi Economy 0 0 0 28 2 2 6 100
Bi-Demographic and Current Account Dynamics using SVAR Model: Evidence from Saudi Arabia 0 0 0 13 3 7 16 38
Channels of risk-sharing among Canadian provinces: 1961--2006 0 0 0 30 5 9 18 147
Channels of risk-sharing among Canadian provinces: 1961–2006 0 0 0 17 0 1 5 101
Channels of risk-sharing at a micro level: savings, investments and the risk aversion heterogeneity 0 0 1 21 2 3 12 110
Determinants of Risk Sharing Through Remittances: Cross-Country Evidence 0 0 1 169 1 1 10 175
Exploring the dynamic links, implications for hedging and investment strategies between sukuk and commodity market volatility: Evidence from country level analysis 0 0 0 0 0 1 5 5
From Home Bias to Euro Bias: Disentangling the Effects of Monetary Union on the European Financial Markets 0 0 0 93 0 2 8 270
Globalization and international risk-sharing: do political and social factors matter more than economic integration? 0 0 1 65 0 2 7 215
Income and consumption smoothing and welfare gains across Pacific Island countries: The role of remittances and foreign aid 0 0 0 40 0 1 5 140
Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments 0 0 0 43 1 5 15 182
Income smoothing and foreign asset holdings 0 0 0 20 3 3 3 78
International Income Risk-Sharing and the Global Financial Crisis of 2008- 2009 0 0 0 55 0 0 8 286
International Income Risk-Sharing and the Global Financial Crisis of 2008--2009 0 0 0 57 1 3 11 193
International Portfolio Inflows to GCC Markets. Are There any General Patterns? 0 0 0 82 3 3 13 310
Is the US dollar a suitable anchor for the newly proposed GCC currency? 0 0 0 16 1 4 9 99
Modelling the Currency in Circulation for the State of Qatar 0 0 0 64 3 5 13 149
Monetary Union Among Arab Gulf Cooperation Council (AGCC) Countries: Does the symmetry of shocks extend to the non-oil sector? 0 0 0 72 2 4 8 435
New Patterns in International Portfolio Allocation and Income Smoothing 0 0 0 34 3 4 11 178
On The Road to Monetary Union – Do Arab Gulf Cooperation Council Economies React in the same way to United States' Monetary Policy Shocks? 0 0 0 65 2 3 13 234
On the Feasibility of Monetary Union: Does It Make Sense to Look for Shocks Symmetry across Countries When None of the Countries Constitutes an Optimum Currency Area? 0 0 0 14 3 3 8 113
On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors 0 0 0 11 5 8 17 102
On the global determinants of visiting home 0 0 0 51 1 2 10 117
Output gap and inflation nexus: the case of United Arab Emirates 0 0 0 42 2 3 11 196
Risk Sharing among OECD and EU Countries: The Role of Capital Gains, Capital Income, Transfers, and Saving 0 0 0 183 0 4 18 394
Risk Sharing in the Middle East and North Africa: The Role of Remittances and Factor Incomes 0 0 0 12 3 3 7 91
Risk Sharing in the Middle East and North Africa: The Role of Remittances and Factor Incomes 0 0 1 38 1 1 10 146
Risk Sharing through Capital Gains 0 0 0 29 4 5 10 128
Risk Sharing through Capital Gains 0 0 0 88 4 5 16 253
Risk sharing among economic sectors 0 0 1 41 3 4 9 62
Sectoral Equity Returns in the Euro Region: Is There any Room for Reducing the Portfolio Risk? 0 0 0 45 3 3 12 184
Sectoral equity returns and portfolio diversification opportunities across the GCC region 0 0 0 29 1 3 17 147
Spillover Effects on Government Bond Yields in Euro Zone. Does Full Financial Integration Exist in European Government Bond Markets? 0 0 0 191 4 5 15 668
Sukuk and bond spreads 0 0 0 16 4 4 14 52
The Determinants of the Volatility of Returns on Cross-Border Asset Holdings 0 0 1 77 4 6 24 202
The Patterns of cross-border portfolio investments in the GCC region: do institutional quality and the number of expatriates play a role? 0 0 0 32 1 3 7 152
The Role of Institutions, Culture, and Wellbeing in Explaining Bilateral Remittance Flows: Evidence Both Cross-Country and Individual-Level Analysis 0 0 0 26 3 3 14 224
Toward Understanding Outbound GCC International Tourism: The Role of Expatriates and Institutional Quality 0 0 0 4 4 8 22 50
Towards Understanding Outbound GCC International Tourism: The Role of Expatriates and Institutional Quality 0 0 1 3 3 3 9 20
Which Output Gap Measure Matters for the Arab Gulf Cooperation Council Countries (AGCC): The Overall GDP Output Gap or the Non-Oil Sector Output Gap? 0 0 0 50 5 7 19 254
Total Working Papers 0 0 7 2,102 115 182 558 7,679


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A hybrid achromatic metalens 0 0 0 0 2 5 13 16
A multi-dimensional connectedness and spillover between green bond and Islamic banking equity: Evidence from country level analysis 0 0 1 4 3 3 12 23
A note on COVID-19 instigated maximum drawdown in Islamic markets versus conventional counterparts 0 0 0 2 5 6 12 19
A small open economy DSGE model with workers' remittances 1 3 11 30 11 19 39 92
An analysis of returns and volatility spillovers and their determinants in emerging Asian and Middle Eastern countries 0 0 0 19 4 9 16 113
An empirical assessment of monetary discretion: The case of Pakistan 0 0 1 18 2 5 20 159
An examination of the oil market at the outset of the Russia-Ukraine conflict 0 0 3 3 2 7 28 28
An investigation of the frequency dynamics of spillovers and connectedness among GCC sectoral indices 0 0 0 0 5 8 17 21
Analysis of the frequency dynamics of spillovers and connectedness among Islamic and conventional banks and their determinants: evidence from Gulf Cooperative Council (GCC) markets 0 0 1 2 1 2 6 9
Asymmetric connectedness and investment strategies between commodities and Islamic banks: Evidence from gulf cooperative council (GCC) markets 0 0 1 1 4 4 13 19
Asymmetric relationship between gold and Islamic stocks in bearish, normal and bullish market conditions 0 1 5 10 0 6 22 53
Bi-demographic and current account dynamics using SVAR model: evidence from Saudi Arabia 0 0 1 6 5 5 11 25
Bond market integration of emerging economies and bilateral linkages 0 0 0 5 1 3 9 27
COVID-19 and cryptocurrency market: Evidence from quantile connectedness 0 0 1 16 3 4 12 52
Can happiness predict future volatility in stock markets? 0 1 2 20 4 11 22 97
Channels of Risk Sharing at Micro Level: Savings, Investments and Risk Aversion Heterogeneity 0 0 2 12 0 2 12 46
Channels of risk-sharing among Canadian provinces: 1961–2006 0 0 1 34 1 2 13 141
Connectedness of cryptocurrencies and prevailing uncertainties 0 0 1 10 1 5 9 28
Consumption smoothing and housing capital gains: evidence from Australia, Canada, and New Zealand 0 0 1 4 1 3 12 17
Contemporaneous and lagged R2 decomposed connectedness approach: New evidence from the energy futures market 0 0 6 15 6 20 55 88
Corporate dividend smoothing: The role of cross-listing 0 1 4 24 2 7 25 65
Corporate net income and payout smoothing under Shari'ah compliance 0 0 0 5 2 2 8 34
Cross-country determinants of economic policy uncertainty spillovers 0 0 1 64 5 7 20 281
Cross-listing flows under uncertainty: an international perspective 0 1 2 2 2 4 11 17
Decomposing the Income Insurance Channel across OECD and Emerging Markets 0 0 0 5 1 3 7 42
Demographic-governance factors shaping cryptocurrency holding behavior 0 0 0 0 2 4 9 9
Determinants of risk sharing through remittances 0 0 3 45 9 11 28 155
Determinants of risk sharing via exports: trade openness and specialisation 0 0 1 14 0 1 7 37
Determinants of sector of holders international equity holdings 0 0 0 3 2 3 5 41
Direct real estate, securitized real estate, and equity market dynamic connectedness 0 0 2 3 3 5 11 22
Diversification across ASEAN-wide sectoral and national equity returns 0 0 1 6 1 1 17 98
Do conventional currencies hedge cryptocurrencies? 0 0 0 1 1 5 11 25
Does inflation bias stabilize real growth? Evidence from Pakistan 0 0 0 14 5 5 11 106
Downside risk connectedness between Islamic sectors and green bond markets: implications for hedging and investment strategies 0 0 0 0 2 5 8 11
Dynamic connectedness between crude oil and equity markets: What about the effects of firm's solvency and profitability positions? 0 0 0 2 5 6 19 34
Economic policy uncertainty spillover effects on sectoral equity returns of New Zealand 0 0 0 9 2 4 11 61
Economic uncertainties, macroeconomic announcements and sukuk spreads 2 2 4 13 3 5 9 36
Emigrants’ visit home and remittance inflows nexus 0 0 0 1 0 1 12 14
Energy commodity uncertainties and the systematic risk of US industries 0 0 2 13 1 4 16 75
Energy market deregulation: A new perspective on dividend smoothing 0 0 0 0 1 3 6 6
Estimating the output gap for the UAE: a production function approach 0 0 0 21 0 0 1 74
Exploring the dynamic links, implications for hedging and investment strategies between Sukuk and commodity market volatility: Evidence from country level analysis 0 0 0 4 5 6 15 21
Extreme connectedness of agri-commodities with stock markets and its determinants 0 2 5 6 3 9 20 28
Firm productivity in the Energy-electricity sector over the last two decades with crisis: The role of cross-listing 0 0 0 1 5 7 15 25
Firm‐level political risk and Shari’ah compliance: equity capital cost and payouts policy 0 0 1 5 1 3 22 35
Foreign portfolio diversification and risk-sharing 0 0 0 33 1 3 7 118
From home bias to Euro bias: Disentangling the effects of monetary union on the European financial markets 0 0 0 56 1 5 15 250
Geopolitical risk and tourism demand in emerging economies 0 2 4 15 3 10 31 83
Geopolitical risk spillovers and its determinants 1 1 11 47 8 19 49 143
Globalization and international risk-sharing: The role of social and political integration 0 0 1 21 3 5 16 126
Hedging the downside risk of commodities through cryptocurrencies 0 1 2 24 0 1 13 58
How closely is the US stock market linked to Caribbean tax havens? 0 0 5 5 1 7 29 29
How important are prices in long-haul travel? Evidence from New Zealand 0 0 2 5 6 11 28 32
Immigration and regional housing markets: prices, rents, price-to-rent ratios and disequilibrium 0 1 3 21 1 6 25 78
Impact of the Russia–Ukraine war on hospitality equity markets 0 2 3 3 2 8 16 20
Impacts of exported Turkish soap operas and visa-free entry on inbound tourism to Turkey 0 0 1 31 6 11 24 154
Income and consumption smoothing and welfare gains across Pacific Island Countries: The role of remittances and foreign aid 0 0 0 30 1 2 11 184
Income insurance and the determinants of income insurance via foreign asset revenues and foreign liability payments 0 0 0 20 2 3 8 126
Income smoothing and foreign asset holdings 0 0 0 17 1 4 8 72
Information transmission between oil and housing markets 0 2 3 7 1 15 22 53
Interconnectivity and investment strategies among commodity prices, cryptocurrencies, and G-20 capital markets: A comparative analysis during COVID-19 and Russian-Ukraine war 0 0 4 15 9 27 60 89
International Portfolio Inflows to GCC Markets: Are There Any General Patterns? 0 0 0 49 2 3 9 191
International arrivals forecasting for Australian airports and the impact of tourism marketing expenditure 0 0 0 3 0 2 13 34
International income risk-sharing and the global financial crisis of 2008–2009 0 0 0 41 3 4 5 163
International tourism demand, number of airline seats and trade triangle: Evidence from New Zealand partners 0 0 0 1 2 3 12 26
Investment styles of islamic equity funds 0 0 1 2 0 0 14 26
Is the US Dollar a Suitable Anchor for the Newly Proposed GCC Currency? 0 0 0 0 3 5 12 52
Islamic equity markets versus their conventional counterparts in the COVID‐19 age: Reaction, resilience, and recovery 0 0 3 11 3 3 15 30
Low-inflation-targeting monetary policy and differential unemployment rate: Is monetary policy to be blamed for the financial crisis? — Evidence from major OECD countries 1 1 2 39 3 4 17 219
Market reaction to macroeconomic anouncements: green vs conventional bonds 0 1 2 14 2 3 14 37
Measuring economic country-specific uncertainty in Türkiye 0 0 3 5 2 9 33 49
Modelling the currency in circulation for the State of Qatar 0 0 0 0 1 1 2 6
Modelling the tourism receipt's volatility 0 0 0 10 1 2 5 53
Modelling the volatility of international visitor arrivals to New Zealand 0 0 1 8 2 3 11 69
Network Connectedness of World's Islamic Equity Markets 0 0 0 7 2 3 6 20
New Zealand business tourism 0 0 0 3 4 6 12 41
Oil Price and Stock Market Synchronization in Gulf Cooperation Council Countries 0 0 1 21 1 1 3 72
On the choice of an anchor for the GCC currency: does the symmetry of shocks extend to both the oil and the non-oil sectors? 0 0 0 10 4 6 12 94
On the empirics of risk-sharing across MENA countries 0 0 0 12 4 5 12 92
On the feasibility of monetary union among Gulf Cooperation Council (GCC) countries: does the symmetry of shocks extend to the non-oil sector? 0 0 0 16 2 2 9 85
On the feasibility of monetary union: Does it make sense to look for shocks symmetry across countries when none of the countries constitutes an optimum currency area? 0 0 0 11 1 8 18 89
Output gap and inflation nexus: the case of United Arab Emirates 0 0 0 16 1 2 9 87
Possible Best Currency Basket Selection from the Perspective of Real Effective Exchange Rate 0 0 0 10 3 3 9 56
Quantifying Return Spillovers in Global Real Estate Markets 0 0 0 3 3 5 19 50
Quantile connectedness between Sukuk bonds and the impact of COVID-19 0 1 2 6 4 5 13 31
Research Note: The Impact of Marketing Expenditure on International Tourism Demand for the Cook Islands 0 0 0 2 3 3 10 26
Risk Sharing and Institutional Quality: Evidence from OECD and Emerging Economies 0 0 0 3 3 4 18 30
Risk sharing in the Middle East and North Africa 0 0 0 7 0 2 10 59
Risk sharing role of foreign aid in developing countries 0 0 0 4 1 1 4 22
Risk sharing through capital gains 0 0 0 0 0 1 34 44
Risk sharing through capital gains 0 0 0 59 2 10 59 294
SHARIAH COMPLIANT FIRMS AND RISK SHARING UNDER PANDEMIC ERA 0 0 0 0 1 2 6 7
Sectoral equity returns and portfolio diversification opportunities across the GCC region 0 0 0 21 5 8 15 146
Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk? 0 0 0 26 5 7 13 134
Sectoral equity returns in the Euro region: Is there any room for reducing portfolio risk? 0 0 0 4 0 1 6 46
Sectoral uncertainty spillovers in emerging markets: A quantile time–frequency connectedness approach 0 1 6 8 10 17 48 57
Shari'ah compliance requirements and the cost of equity capital 0 0 2 12 2 2 9 54
Specialization in national output and international cross-listing 0 0 0 1 4 4 8 11
Spillover effects on government bond yields in euro zone. Does full financial integration exist in European government bond markets? 0 0 0 52 2 2 7 198
Spillover network of commodity uncertainties 0 1 1 27 0 5 14 105
Spillovers and the determinants in Islamic equity markets 0 0 1 10 5 6 19 112
Spillovers between Sukuks and Shariah-compliant equity markets 0 0 3 19 3 4 15 48
Spillovers from tourism demand to tourism equity indices 0 0 0 1 0 0 2 5
Spillovers on sectoral sukuk returns: evidence from country level analysis 0 0 3 11 0 2 10 28
Spillovers to sectoral equity returns: do liquidity and financial positions matter? 0 0 2 7 3 4 10 23
Sukuk and bond spreads 1 2 2 11 7 15 45 137
Tail risk spillovers between Islamic sectoral equities and bond markets: a time-frequency domain approach 0 1 1 1 0 7 15 15
The Language of Uncertainty: Reading Türkiye's Economic Pulse Through Geopolitical Fog 0 0 1 1 1 4 10 10
The decomposition of tourism demand and tourism receipts 0 0 1 2 2 3 16 17
The determinants of the volatility of returns on cross-border asset holdings 0 0 0 11 2 4 11 107
The effect of macroeconomic announcements at a sectoral level in the US and European Union 0 3 3 19 2 6 15 81
The extreme return connectedness between Sukuk and green bonds and their determinants and consequences for investors 0 1 11 22 4 6 31 58
The global geopolitical-energy uncertainty index and total factor productivity: New evidence from firm-level analysis 1 2 2 2 5 14 15 15
The impact of the Hizmet movement on Turkey's bilateral trade 1 1 1 15 5 9 19 99
The impacts of immigrants and institutions on bilateral tourism flows 0 0 0 13 1 4 8 91
The patterns of cross-border portfolio investments in the GCC region: do institutional quality and the number of expatriates play a role? 0 0 0 9 3 4 12 101
The predictors of intent to leave in the accounting and finance sector in Asia-Pacific countries: a cross-industrial meta-analysis study 0 1 1 2 2 4 4 9
The relevance and relative robustness of sources of inflation bias in Pakistan 0 1 1 7 6 9 21 104
The transmission of market shocks and bilateral linkages: Evidence from emerging economies 0 0 0 13 2 5 16 84
Time and frequency domain quantile coherence of emerging stock markets with gold and oil prices 1 1 1 4 3 3 18 52
Time-Varying Spillover Effects on Sectoral Equity Returns 0 0 0 27 6 6 8 95
Time-frequency comovement among green bonds, stocks, commodities, clean energy, and conventional bonds 0 1 3 53 4 8 31 200
Time‐frequency dynamics between fear connectedness of stocks and alternative assets 0 1 1 4 1 2 8 20
Transition to Islamic equities: Systematic risk and Shari'ah compliance 0 0 0 3 5 6 15 21
Unveiling the impact of oil price shocks on global sukuk markets: a focus on quantile coherence and time-frequency connectedness 0 0 0 0 1 2 3 3
WOULD AUSTRALIA–NEW ZEALAND BE A VIABLE CURRENCY UNION? EVIDENCE FROM INTERSTATE RISK-SHARING PERFORMANCES 0 0 0 4 1 6 12 39
What monetary discretion can and cannot do under boom and bust cycles? Evidence from an emerging economy 0 0 1 3 1 2 7 19
Why do U.S. uncertainties drive stock market spillovers? International evidence 0 1 2 12 1 8 23 51
Total Journal Articles 9 41 168 1,632 337 687 2,003 8,589
5 registered items for which data could not be found


Chapter File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Correction to: Proceedings of the 2022 International Conference on Economics, Smart Finance and Contemporary Trade (ESFCT 2022) 0 0 0 0 2 2 2 2
Peer-Review Statements 0 0 0 0 4 4 4 4
The Impact of the EMU on Channels of Risk Sharing between Member Countries 0 0 0 73 1 1 7 319
Total Chapters 0 0 0 73 7 7 13 325


Statistics updated 2026-05-06