All Stories

  1. Are herding transmissions in the gulf cooperation council stock markets regional or international?
  2. Asymmetric Responses of Economic Growth to Daily Oil Price Changes: New Global Evidence from Mixed-data Sampling Approach
  3. Oil price uncertainty and equity returns
  4. The effect of market structure, regulation, and risk on banks efficiency
  5. Bank distress prediction: Empirical evidence from the Gulf Cooperation Council countries
  6. Directional spillovers from the U.S. and the Saudi market to equities in the Gulf Cooperation Council countries
  7. Dynamic spillovers between oil and stock markets in the Gulf Cooperation Council Countries
  8. Financial integration of GCC banking markets: A non-parametric bootstrap DEA estimation approach
  9. Return and volatility spillovers between Dubai financial market and Abu Dhabi Stock Exchange in the UAE
  10. Modeling and Forecasting Value-at-Risk in the UAE Stock Markets: The Role of Long Memory, Fat Tails and Asymmetries in Return Innovations
  11. Does issuing government debt needed as a Ponzi scheme in Islamic finance
  12. The tail behavior of extreme stock returns in the Gulf emerging markets
  13. Testing for long-range dependence in stock market returns: a further evidence from MENA emerging stock markets
  14. Oil prices and stock markets in GCC countries: new evidence from nonlinear cointegration analysis
  15. THE RELATIVE RISK PERFORMANCE OF ISLAMIC FINANCE: A NEW GUIDE TO LESS RISKY INVESTMENTS
  16. Price Limit and Volatility in Taiwan Stock Exchange: Some Additional Evidence from the Extreme Value Approach
  17. Monetary policy and the central bank's securities
  18. A nonparametric cointegration analysis of the forward rate unbiasedness hypothesis
  19. The long-run relationship between stock returns and inflation in developing countries: further evidence from a nonparametric cointegration test
  20. Value‐at‐risk under extreme values: the relative performance in MENA emerging stock markets
  21. Regional Integration of Stock Markets in MENA Countries
  22. Free trade agreements and equity market integration: the case of the US and Jordan
  23. Examining complex unit roots in the MENA countries industrial production indices
  24. Is there a diversification benefit from investing in the Arab Gulf stock markets? A multivariate GARCH analysis
  25. The Effect of Financial Liberalization on the Efficiency of Financial Institutions: The Case of Jordanian Commercial Banks
  26. Electronic Trading and Market Efficiency in an Emerging Market: The Case of the Jordanian Capital Market
  27. Causal Relations among Stock Prices and Macroeconomic Variables in the Small, Open Economy of Jordan