Prof. Nedal Al-Fayoumi
Prof. Nedal Al-Fayoumi
Professor of Finance at Qatar University
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Cited by
Cited by
Ownership structure and earnings management in emerging markets: The case of Jordan
N Al-Fayoumi, B Abuzayed, D Alexander
International Research Journal of Finance and Economics 38 (1), 28-47, 2010
Systemic risk spillover across global and country stock markets during the COVID-19 pandemic
B Abuzayed, E Bouri, N Al-Fayoumi, N Jalkh
Economic Analysis and Policy 71, 180-197, 2021
Diversification and bank stability in the GCC
B Abuzayed, N Al-Fayoumi, P Molyneux
Journal of International Financial Markets, Institutions and Money 57, 17-43, 2018
Oil prices and stock market returns in oil importing countries: The case of Turkey, Tunisia and Jordan
NA Al-Fayoumi
European Journal of Economics, Finance and Administrative Sciences 16 (1), 84-98, 2009
The effect of qualified auditors' opinions on share prices: evidence from Jordan
AA Al‐Thuneibat, BA Khamees, NA Al‐Fayoumi
Managerial Auditing Journal 23 (1), 84-101, 2007
Ownership structure and corporate financing
NA Al-Fayoumi, BM Abuzayed
Applied Financial Economics 19 (24), 1975-1986, 2009
Market value, book value and earnings: is bank efficiency a missing link?
B Abuzayed, P Molyneux, N Al‐Fayoumi
Managerial Finance 35 (2), 156-179, 2009
Perception of stakeholders on corporate social responsibility of Islamic Banks in Jordan
V Di Bella, N Al-Fayoumi
EuroMed Journal of Business 11 (1), 30-56, 2016
Risk spillover from crude oil prices to GCC stock market returns: New evidence during the COVID-19 outbreak
B Abuzayed, N Al-Fayoumi
The North American Journal of Economics and Finance 58, 101476, 2021
Capital budgeting practices in the Jordanian industrial corporations
BA Khamees, N Al‐Fayoumi, AA Al‐Thuneibat
International journal of commerce and management 20 (1), 49-63, 2010
Information transmission among stock return indexes: Evidence from the Jordanian stock market
NA Al-Fayoumi, BA Khamees, AA Al-Thuneibat
International Research Journal of Finance and Economics 24 (2), 194-208, 2009
Co-movement across european stock and real estate markets
B Abuzayed, N Al-Fayoumi, E Bouri
International Review of Economics & Finance 69, 189-208, 2020
The determinants of capital flight: Evidence from MENA countries
NA Al-Fayoumi, MS AlZoubi, BM Abuzayed
International Business and Economic Research Journal 11, 1-10, 2011
Bank concentration, institutional quality, and economic growth: empirical evidence from MENA countries
B Abuzayed, N Al-Fayoumi
Review of International Business and Strategy 26 (2), 219-231, 2016
Assessment of the Jordanian banking sector within the context of GATS agreement
NA Al-Fayoumi, BM Abuzayed
Banks & bank systems, 69-79, 2009
Long range dependence in an emerging stock market’s sectors: volatility modelling and VaR forecasting
B Abuzayed, N Al-Fayoumi, L Charfeddine
Applied Economics 50 (23), 2569-2599, 2018
Competition in MENA countries banking markets
B Abuzayed, N Al-Fayoumi, H Gharaibeh
International Journal of Financial Services Management 5 (3), 272-301, 2012
Hedging UK stock portfolios with gold and oil: The impact of Brexit
B Abuzayed, N Al-Fayoumi, E Bouri
Resources Policy 75, 102434, 2022
Diversification and hedging strategies of green bonds in financial asset portfolios during the COVID-19 pandemic
B Abuzayed, N Al-Fayoumi
Applied Economics 55 (36), 4228-4238, 2023
Does openness enhance financial sector development? The experience of the Arab world
N Al-Fayoumi, B Abuzayed
EuroMed Journal of Business 9 (3), 318-332, 2014
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