Prati
Aktham Maghyereh
Aktham Maghyereh
Ostala imenaAktham Almaghaireh, AKTHAM MAGHAYEREH, AKTHAM I. AL-MAGHYEREH
Professor of Finance, United Arab Emirates University
Potvrđena adresa e-pošte na uaeu.ac.ae - Početna stranica
Naslov
Citirano
Citirano
Godina
The directional volatility connectedness between crude oil and equity markets: New evidence from implied volatility indexes
AI Maghyereh, B Awartani
Energy Economics 57, 78-93, 2016
4472016
Dynamic spillovers between oil and stock markets in the Gulf Cooperation Council Countries
B Awartani, AI Maghyereh
Energy Economics 36, 28-42, 2013
4402013
Oil price shocks and emerging stock markets: A generalized VAR approach
A Maghyereh
Global stock markets and portfolio management, 55-68, 2006
3662006
The determinants of stock market development in the Middle‐Eastern and North African region
S Ben Naceur, S Ghazouani, M Omran, A Maghyereh
Managerial Finance 33 (7), 477-489, 2007
3492007
Oil prices and stock markets in GCC countries: new evidence from nonlinear cointegration analysis
A Maghyereh, A Al-Kandari
Managerial Finance 33 (7), 449-460, 2007
2682007
Institutions and corporate capital structure in the MENA region
M Belkhir, A Maghyereh, B Awartani
Emerging Markets Review 26, 99-129, 2016
2022016
Linking nuclear energy, human development and carbon emission in BRICS region: do external debt and financial globalization protect the environment?
M Sadiq, R Shinwari, M Usman, I Ozturk, AI Maghyereh
Nuclear Engineering and Technology 54 (9), 3299-3309, 2022
1762022
The co-movement between oil and clean energy stocks: A wavelet-based analysis of horizon associations
AI Maghyereh, B Awartani, H Abdoh
Energy 169, 895-913, 2019
1752019
Causal relations among stock prices and macroeconomic variables in the small, open economy of Jordan
AI Maghyereh
Open Economy of Jordan, 2002
1742002
Causal relations among stock prices and macroeconomic variables in the small, open economy of Jordan
AI Maghyereh
Open Economy of Jordan, 2002
1722002
Volatility spillovers and cross-hedging between gold, oil and equities: Evidence from the Gulf Cooperation Council countries
AI Maghyereh, B Awartani, P Tziogkidis
Energy Economics 68, 440-453, 2017
1662017
The relative risk performance of Islamic finance: a new guide to less risky investments
HA Al-Zoubi, AI Maghyereh
International journal of theoretical and applied finance 10 (02), 235-249, 2007
1522007
Empirical testing of the loss provisions of banks in the GCC region
TA Zoubi, O Al-Khazali, A Maghyereh
Managerial Finance 33 (7), 500-511, 2007
1292007
Asymmetric effects of oil price uncertainty on corporate investment
A Maghyereh, H Abdoh
Energy Economics 86, 104622, 2020
1252020
Corporate debt maturity in the MENA region: does institutional quality matter?
B Awartani, M Belkhir, S Boubaker, A Maghyereh
International Review of Financial Analysis 46, 309-325, 2016
1222016
Political risk and bank stability in the Middle East and North Africa region
M Al-Shboul, A Maghyereh, A Hassan, P Molyneux
Pacific-Basin Finance Journal 60, 101291, 2020
1152020
Tail dependence between Bitcoin and financial assets: Evidence from a quantile cross-spectral approach
A Maghyereh, H Abdoh
International Review of Financial Analysis 71, 101545, 2020
1132020
Bank distress prediction: Empirical evidence from the Gulf Cooperation Council countries
AI Maghyereh, B Awartani
Research in International Business and Finance 30, 126-147, 2014
1132014
The connectedness between crude oil and financial markets: Evidence from implied volatility indices
B Awartani, M Aktham, G Cherif
Journal of Commodity Markets 4 (1), 56-69, 2016
1122016
Crude oil prices and sectoral stock returns in Jordan around the Arab uprisings of 2010
E Bouri, B Awartani, A Maghyereh
Energy Economics 56, 205-214, 2016
1092016
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