IUS Publications
Found 65 results
Filters: Author is Mehmed Ganić [Clear All Filters]
, “The Labour Market, Social Inequality and the Role of Emigration: The Case of the Western Balkan Economies: Recent Economic and Social Developments”, in Western Balkan Economies in Transition-Recent Economic and Social Developments, 1stst ed., vol. 1, Heidelberg, Germany: Springer Verlag , 2019, pp. 61-72.
, “Are Determinants of International Financial Integration in the European Transition Countries Different from Post-Transition Countries?”, Studies in Business and Economics, vol. 15, 1 vol., pp. 40-54, 2020.
, Financial Globalization in the Emerging Balkans: Exploring Financial Trends on the Eve of EU Membership. Palgrave Macmillan, Cham, 2020.
, “A Re-examination of the Validity of the Life Cycle Hypothesis (LCH): Evidence from Emerging Europe”, Croatian Economic Survey, vol. 22, 2 vol., pp. 73-99, 2020.
, “Is financial integration driver of income inequality? A panel co-integration analysis in Europe”, Int. J. of Economic Policy in Emerging Economies (IJEPEE), vol. 14, 1 vol., pp. 66-83, 2021.
, “How Does International Financial Integration Really Affect Post-Transition Countries' Growth? Empirical evidence from the CEE-10 countries”, Journal of Central Banking Theory and Practice, vol. 10, no. 3, pp. 117-136, 2021.
, “The impact of Governance upon Chinese Inward FDI: A System Generalized Method of Moments Technique”, Humanities and Social Sciences Letters, vol. 9, 2 vol., 2021.
, “A Test of the validity of Crowding-out (or- in) hypothesis: A new examination of link between public borrowing and private investment in Emerging Europe”, Croatia Operational Research Review, vol. 12, 1 vol., 2021.
, “Does Institutional Quality Matter for the IDP Hypothesis? Evidence from Emerging Europe”, Croatian Economic Survey, vol. 24, no. 1, 2022.
, “New regional trade architecture in the emerging Balkans: Challenges and perspectives beyond conflicts”, in THE WESTERN BALKANS COOPERATION, GEOPOLITICS AND ECONOMIC TRANSITIONS AND RELATIONS, vol. 1, Sarajevo, Bosnia and Herzegovina : International University of Sarajevo , 2022, pp. 216-231.
, “Can Credit Related Macroprudential Instruments Be Effective in Reducing the Correlation Between Economic and Credit Growth? Cross-Country Evidence”, Journal of Central Banking Theory and Practice, vol. 12, no. 2, pp. 165 - 183, 2023.
, “The Digitalization-Growth Nexus: Some Empirical Evidence from Four Regions with a Muslim Majority”, 12th Istanbul Finance Congress. Istanbul Technical University , Istanbul, 2023.
, “Does Regional Trade integration reinforce or weaken capital mobility? New evidence from Four Free trade areas”, Economics and Business Review, vol. 9, 3 vol., pp. 115-140, 2023.
, “Financialization and Growth nexus in the EU New member states (NMS): An ARDL Bounds Testing Approach and Granger causality analysis”, Journal of Financial Economic Policy, vol. 15, no. 4/5, pp. pp. 351-367., 2023.
, “The nexus between Financial inclusion and Income inequality: An Empirical evidence from the European Union”, Journal of Economic Cooperation and Development (JECD) , vol. 44, no. 3, 2023.
, “Exploring Causality Between Foreign Aid and Economic Growth: A Cross-Country Analysis”, VIII. International Applied Social Sciences Congress (C-iasoS 2024). ISBN: 978-625-94328-3-0. , vol. 1. ECONOMICS AND FINANCIAL RESEARCH ASSOCIATION, Ankara, Turkiye, 2024.
, “Nexus between digital banking and EU bank profitability: Empirical evidence from EU 27 countries”, in (ed.) Encyclopedia of Monetary Policy, Financial Markets and Banking (Elsevier Reference Collection in Social Sciences), vol. 1, Elsevier, 2024.
, “Nexus between Technological Innovation, FDI and Economic Growth”, in Encyclopedia of Monetary Policy, Financial Markets and Banking (Elsevier Reference Collection in Social Sciences). , vol. 1, New York : Elsevier, 2024.
, “Pull Factors and Capital Inflows: Empirical insights from Transformative Dynamics in Southeast Europe”, Naše gospodarstvo/Our economy, vol. 70, no. 4, pp. 12-22, 2024.
, “Dynamic market volatility: Evidence from the interdependence of cryptocurrency, stock market, and commodity market”, Journal of Corporate Governance, Insurance, and Risk Managemen, vol. 12, no. 2, pp. 108-122, 2025.
, “The Effects of Euroization on Monetary and Financial Stability: Empirical Evidence from Five Countries”, Economic Alternatives, vol. 31, no. 2, pp. Economic Alternatives, 2025, Issue 2, pp. 275-294, 2025.
, “Hierarchies in volatility transmission: A cross- sectional investigation of cryptocurrency, stocks and commodity markets.”, International Applied Social Sciences Congress – (C-IASOS – 2025), the Sapienza University- Rome, ITALY. Rome , Italy, ECONOMICS AND FINANCIAL RESEARCH ASSOCIATION, 2025.
, “The Impact of Political Institutions on Fiscal Sustainability in NMS 11 Countries: Mediating Effects of Economic Reforms”, Ekonomika, vol. 104, 4 vol., pp. 62-77, 2025.
, “A Panel Cointegration Analysis of Insurance Development and FDI Nexus”, in Financial Landscape Transformation: Technological Disruption, vol. 1, Emerald Publishing Limited, 2025, pp. 1-16.
, “Poverty Alleviation through Digital and Traditional Finance: Empirical Evidence from Emerging European Economies”, Comparative Southeast European Studies (COMPSEES), vol. 73, no. 4, pp. 528-550, 2025.
, “Technological Innovations and Poverty Alleviation: The Role of Digital and Traditional Financial Channels of Financial Inclusions in Emerging Europe”, in Building Sustainable Economies: Knowledge, Innovation, and Digitalization in the MENA Region, Nablus, Palestine, 2025.
, “Branchless Banking and Inclusive Growth: Comparative Evidence from European Emerging Economies”, Scientific Annals of Economics and Business, vol. 73, no. 1, pp. 39-60, 2026.
, “Digital distribution channel in the European health insurance”, in Innovation and challenges in the health insurance industry: A global perspective, New York: Nova Science Publishers, 2026, pp. 161-178.
, “Does the Circular Economy drive Sustainable Economic growth? Evidence from the European countries (NMS 11)”, in Sustainability Practices in Finance, Economics and Technology, Wiley Scrivener / John Wiley & Sons, 2026.
, “The impact of country risk factors on bank's earnings volatility in emerging Europe”, International Journal of Development Issues, pp. 1-19, 2026.