b. Books

[B7] Barnett, W. and Jawadi, F. (2015), Monetary Policy in the Context of the Financial Crisis, Monograph series: International Symposia in Economic Theory and Econometrics, Ed. Emerald Group Publishing Limited, Mars, Vol.24, Bingley.

[B6] Dufrénot, G., Jawadi, F. and Louhichi, W. (2014), Market Microstructure and Nonlinear Dynamics : Keeping Financial Crisis in Context , Ed. Springer, 350 pages, Berlin.

[B5] Barnett, W. and Jawadi, F. (2013), Recent Developments in Alternative Finance: Empirical Assessments and Economic Implications, Monograph series: International Symposia in Economic Theory and Econometrics, Ed. Emerald Group Publishing Limited, December, Vol.22, Bingley.

[B4] Barnett, W. and Jawadi, F. (2010), Nonlinear Modeling of Economic and Financial Time-Series, Monograph series: International Symposia in Economic Theory and Econometrics, Ed. Emerald Group Publishing Limited, December, Vol.20, 220 pages, Bingley.

[B3] Arouri, M., Jawadi, F. and Nguyen, D. (2010), The Dynamics of Emerging Stock Markets:Empirical assessments and implications, Book Series Contributions to Management Sciences, Ed. Springer, Février, 205 pages, Berlin.

[B2] Arouri, M., Jawadi, F. et Nguyen, D. (2010), Intégration financière et évaluation des actifs financiers, Collection Finance, Ed. Hermès Sciences Publishing, 225 pages, Paris.

[B1] Jawadi, F. et Sahut, J.M. (2009), Inefficience et dynamique des marchés boursiers, Ed. L’Harmattan, Mars, 218 pages, Paris.