Mohammed Bouaddi, Ph.D.
Affiliations: | 2010 | Economics | HEC Montreal (Canada) |
Area:
Finance, Commerce-Business Economics, StatisticsGoogle:
"Mohammed Bouaddi"Parents
Sign in to add mentorMichel Normandin | grad student | 2010 | HEC Montreal (Canada) | |
(Essais sur les Proprietes de la Distribution des Rendements des Actifs Financiers et les Facteurs Fondamentaux.) |
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Publications
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Basuony MAK, Bouaddi M, Ali H, et al. (2021) The effect of COVID-19 pandemic on global stock markets: Return, volatility, and bad state probability dynamics. Journal of Public Affairs. e2761 |
Elshennawy A, Bouaddi M. (2020) Sources of firm-level heterogeneity in labour productivity in Egypt’s manufacturing sector Empirical Economics. 1-24 |
Farooq O, Ahmed N, Bouaddi M. (2018) Stock price synchronicity and its effect on stock market volatility: evidence from the MENA region American J. of Finance and Accounting. 5: 276-292 |
Bouaddi M, Larocque D, Normandin M. (2015) Equity premia and state-dependent risks International Review of Economics and Finance. 38: 393-409 |
Douch M, Farooq O, Bouaddi M. (2015) Stock price synchronicity and tails of return distribution Journal of International Financial Markets, Institutions and Money. 37: 1-11 |
Kakeu J, Bouaddi M. (2015) Empirical evidence of news about future prospects in the risk-pricing of oil assets Energy Economics |
Farooq O, Bouaddi M, Ahmed N. (2013) Financial centers and portfolio performance: Evidence from an emerging market Journal of Applied Business Research. 29: 1815-1823 |
Farooq O, Bouaddi M, Ahmed N. (2013) "Day of the week" and its effect on stock market volatility: Evidence from an emerging market Journal of Applied Business Research. 29: 1727-1736 |
Bouaddi M, Taamouti A. (2012) Portfolio risk management in a data-rich environment Financial Markets and Portfolio Management. 26: 469-494 |